LEGG MASON INC
13F-HR, 1999-05-17
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 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:    Legg Mason, Inc.
Address: 100 Light Street
         Baltimore, MD 21202

13F File Number: 28-1700

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: Kathi D. Bair
Title: Asst. Vice President
Phone: 410-454-2744
Signature, Place, and Date of Signing: 

     Kathi D. Bair       Baltimore, MD       May 14, 1998


Report Type (Check only one.):

[X]       13F HOLDINGS REPORT. 
[ ]       13F NOTICE. 
[ ]       13F COMBINATION REPORT. 

List of Other Managers Reporting for this Manager:

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


<PAGE>

                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      7
Form 13F Information Table Entry Total: 4,517
Form 13F Information Table Value Total: $18,176,610,485

List of Other Included Managers:

No.         13F File Number    Name
01          28-1891            Bartlett and Co.
02          28-377             Batterymarch Financial Management, Inc.
03          28-2204            Brandywine Asset Management, Inc.
04          28-1062            Gray, Siefert & Co., Inc.
05          28-1701            Legg Mason Capital Management, Inc.
06          28-1599            Legg Mason Fund Adviser, Inc.
07          28-5474            Legg Mason Wood Walker, Incorporated


<PAGE>


<TABLE>
<CAPTION>
              FORM 13F                     NAME OF REPORTING MANAGER:                         BARTLETT - INST ID# 71934

                                                                                              FOR POSITIONS HELD AS OF 3/31/999

               Item 1:                              Item 2:                  Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class            CUSIP Number       Fair Market Value          Shares or
                                                                                                  (X $1000)           Principal Amt.
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                        <C>                         <C>                <C>
A D C Telecommunications Inc.                    Common Stock               000886101                   12                 250
ABN Amro Hldg NV Sponsored ADR                   ADR                        000937102                   39               1,882
Aflac Corp. New                                  Common Stock               001055102                  120               2,200
AMR Corp.                                        Common Stock               001765106               19,079             325,780
AT & T Corp.                                     Common Stock               001957109               33,480             419,478
AT&T Corp - Liberty Media - A                    Common Stock               001957208               10,174             193,326
APT Satellite Holdings Ltd ADR                   ADR                        00203R105                  342             136,800
Abbott Laboratories                              Common Stock               002824100                7,736             165,255
Aceto Corp.                                      Common Stock               004446100                   60               5,100
ACNielsen Corp.                                  Common Stock               004833109                  101               3,706
Adams Express                                    Common Stock               006212104                   18                 670
Adobe Systems Inc.                               Common Stock               00724F101                   68               1,200
Aeroquip Vickers Inc.                            Common Stock               007869100                   21                 360
Aegon N V                                        ADR                        007924103                  219               2,433
Aetna Inc.                                       Common Stock               008117103                4,807              57,916
Affymetrix Inc.                                  Common Stock               00826T108                  295               8,480
Agribrands International Inc                     Common Stock               00849R105                    2                  60
Airtouch Communications Inc.                     Common Stock               00949T100                3,479              36,004
AKZO Nobel NV Spons ADR                          ADR                        010199305                  358               9,676
Alabama Power Capt Trust II                      Preferred Stock            010388205                   25               1,000
Alberta Energy Co Ltd                            Common Stock               012873105                   98               4,000
Albertson's Inc.                                 Common Stock               013104104                1,116              20,555
Alcoa Inc.                                       Common Stock               013817101                  147               3,560
Alcoa Inc                                        Preferred Stock            013817200                   38                 500
Alcatel Alsthom Sponsored ADR                    ADR                        013904305                   38               1,650
Allegheny Energy Inc.                            Common Stock               017361106                  201               6,800
Allegheny Teledyne Inc.                          Common Stock               017415100                    4                 200
Allen Telecom Inc.                               Common Stock               018091108                  359              55,300
Allergan Inc.                                    Common Stock               018490102                  141               1,600
Allergan Specialty Therap-A                      Common Stock               018494104                    1                  80
Alliance Communications Corp.                    Common Stock               01853E204                1,166              74,000
Alliant Techsystem                               Common Stock               018804104                    1                  10
Allied Irish Banks Plc                           ADR                        019228402                2,156              20,835
Allied Signal Corp.                              Common Stock               019512102                   39                 800
Allis Chalmers Corp.                             Common Stock               019645407                    0                   3
Allmerica Financial Corp.                        Common Stock               019754100                    9                 158
The Allstate Corp.                               Common Stock               020002101                  463              12,495
Allstate Financing I 7.95% Cum                   Preferred Stock            020013207                   26               1,000
Alltel Corp.                                     Common Stock               020039103                  166               2,665
Alydaar Software Corp.                           Common Stock               022610109                    8               1,500
ALZA Corp. Com                                   Common Stock               022615108                  459              12,000
Ambac Financial Group, Inc.                      Common Stock               023139108                   18                 325
Amcast Industrial Corp                           Common Stock               023395106                    8                 500
Ameren Corp.                                     Common Stock               023608102                   64               1,766

Page Total:                                                                                         87,159

America Online Inc.                              Common Stock               02364J104                  645               4,420
American Electric Power Co                       Common Stock               025537101                1,297              32,691
American Express Co.                             Common Stock               025816109               11,321              96,348



<CAPTION>
                                                                                                                  
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                                <C>         <C>        <C>        <C>        <C>        <C>            <C>
A D C Telecommunications Inc.            X                                                                               250
ABN Amro Hldg NV Sponsored ADR           X                                                                             1,882
Aflac Corp. New                          X             X                                                               2,200
AMR Corp.                                X                                             81,600                        244,180
AT & T Corp.                             X             X                               91,200                        328,278
AT&T Corp - Liberty Media - A            X                                                                           193,326
APT Satellite Holdings Ltd ADR           X                                             12,000                        124,800
Abbott Laboratories                      X             X                                1,200                        164,055
Aceto Corp.                              X                                                                             5,100
ACNielsen Corp.                          X                                                                             3,706
Adams Express                            X                                                                               670
Adobe Systems Inc.                       X                                                                             1,200
Aeroquip Vickers Inc.                    X                                                                               360
Aegon N V                                X                                                                             2,433
Aetna Inc.                               X                                             27,900                         30,016
Affymetrix Inc.                          X                                                                             8,480
Agribrands International Inc             X                                                                                60
Airtouch Communications Inc.             X             X                                                              36,004
AKZO Nobel NV Spons ADR                  X             X                                                               9,676
Alabama Power Capt Trust II              X                                                                             1,000
Alberta Energy Co Ltd                    X                                                                             4,000
Albertson's Inc.                         X                                                                            20,555
Alcoa Inc.                               X                                                                             3,560
Alcoa Inc                                              X                                                                 500
Alcatel Alsthom Sponsored ADR            X                                                                             1,650
Allegheny Energy Inc.                    X             X                                                               6,800
Allegheny Teledyne Inc.                  X                                                                               200
Allen Telecom Inc.                       X                                                                            55,300
Allergan Inc.                            X                                                                             1,600
Allergan Specialty Therap-A              X                                                                                80
Alliance Communications Corp.            X                                             13,000                         61,000
Alliant Techsystem                       X                                                                                10
Allied Irish Banks Plc                   X                                                                            20,835
Allied Signal Corp.                      X                                                                               800
Allis Chalmers Corp.                     X                                                                                 3
Allmerica Financial Corp.                X                                                                               158
The Allstate Corp.                       X             X                                                              12,495
Allstate Financing I 7.95% Cum           X                                                                             1,000
Alltel Corp.                             X                                                                             2,665
Alydaar Software Corp.                   X                                                                             1,500
ALZA Corp. Com                           X                                                                            12,000
Ambac Financial Group, Inc.              X                                                                               325
Amcast Industrial Corp                   X                                                                               500
Ameren Corp.                             X                                                                             1,766

Page Total:

America Online Inc.                      X                                                                             4,420
American Electric Power Co               X             X                                                              32,691
American Express Co.                     X             X                                                              96,348


</TABLE>
<PAGE>
<TABLE>
<CAPTION>
              FORM 13F                     NAME OF REPORTING MANAGER:                    BARTLETT - INST ID# 71934

                                                                                         FOR POSITIONS HELD AS OF 3/31/999

               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                        <C>               <C>
American General Corp.                           Common Stock          026351106                  442               6,270
American Home Products Corp.                     Common Stock          026609107               10,164             155,774
American International Group Inc.                Common Stock          026874107                1,011               8,379
American Tower System Corp Cl A                  Common Stock          029912201                   43               1,766
Ameritech Corp.                                  Common Stock          030954101               10,874             187,885
Amgen Inc.                                       Common Stock          031162100                  621               8,300
Amp Inc.                                         Common Stock          031897101                  255               4,753
Ampal Amern Israel Corp.                         Preferred Stock       032015307                   36               3,210
AMREP Corp.                                      Common Stock          032159105                    0                  54
Anadarko Pete Corp.                              Common Stock          032511107                1,629              43,159
Analog Devices Inc.                              Common Stock          032654105                   62               2,099
Anheuser-Busch Companies Inc.                    Common Stock          035229103               30,321             397,979
Anicom Inc.                                      Common Stock          035250109                   88              10,000
Anixter International Inc.                       Common Stock          035290105                   17               1,400
Antex Corp.                                      Common Stock          036730109                    0               2,000
Apartment Investment & Mgt Co Class A            Common Stock          03748R101                   30                 829
Apple Computer                                   Common Stock          037833100                  165               4,600
Applebee's International Inc.                    Common Stock          037899101                   12                 500
Applied Materials Inc.                           Common Stock          038222105                  313               5,070
Aquarion Co.                                     Common Stock          03838W101                   45               1,623
Archer-Daniels Midland Co.                       Common Stock          039483102                  703              47,894
Argosy Gaming Co                                 Common Stock          040228108                    3                 500
Armstrong World Industries Inc.                  Common Stock          042476101                  136               3,000
Asha Corp.                                       Common Stock          043742303                   14               2,000
Associates First Capital Corp.                   Common Stock          046008108                  249               5,540
Astra AB - Spons ADR A                           ADR                   046298105                   37               1,600
Atlantic Richfield Co.                           Common Stock          048825103                3,488              47,783
Atlas Corp. New                                  Common Stock          049267305                    0                   4
Aurizon Mines Ltd                                Common Stock          05155P106                    0                  18
Autodesk Inc.                                    Common Stock          052769106                   14                 350
Autolliv, Inc.                                   Common Stock          052800109                   23                 613
Automatic Data Processing                        Common Stock          053015103                1,511              36,510
Autozone Inc.                                    Common Stock          053332102                  259               8,525
Avery Dennison Corp.                             Common Stock          053611109                   92               1,600
BB&T Corp.                                       Common Stock          054937107                4,346             120,092
BCE Inc.                                         Common Stock          05534B109                  334               7,532
BHC Communications Inc.                          Common Stock          055448104                   43                 350
BP Amoco Plc -Spons ADR                          ADR                   055622104               11,142             110,382
BP Prudhoe Bay Rty Tr Unit Ben Int               Common Stock          055630107                    9               1,000
BMC Software                                     Common Stock          055921100                   19                 500
Baker Hughes Inc.                                Common Stock          057224107                    2                 100
Ball Corp.                                       Common Stock          058498106                  126               2,690
Baltimore Gas & Electric Co.                     Common Stock          059165100                   19                 765
Banc Stock Group Inc. - Cl A                     Common Stock          05943C102                    5               1,000
Banco Bilbao Vizcaya Intl                        Preferred Stock       059456400                   26               1,000
Banco Bilbao Vizcaya SA Spons ADR                ADR                   059458208                  242              16,500
Banco Comercial Portugues SA ADS                 ADR                   059479303                1,663              56,132
Banco Santander SA ADR                           ADR                   059574202                   37               1,836

Page Total:                                                                                    93,934

Bancwest Corporation                             Common Stock          059790105                  612              14,390
Bank of New York                                 Common Stock          064057102                  279               7,776
Bank One Corp                                    Common Stock          06423A103                2,109              38,310
BankAmerica Corp.                                Common Stock          06605F102                1,283              18,170
BankBoston Corp.                                 Common Stock          06605R106                  394               9,086
Bank United Capital II-9.60% Cum Trust           Preferred Stock       06651W207                   38               1,500


<CAPTION>

               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                                <C>         <C>        <C>        <C>        <C>        <C>            <C>
American General Corp.                     X                                                                                 6,270
American Home Products Corp.               X                 X                                                             155,774
American International Group Inc.          X                                                                                 8,379
American Tower System Corp Cl A            X                                                                                 1,766
Ameritech Corp.                            X                 X                                                             187,885
Amgen Inc.                                 X                                                                                 8,300
Amp Inc.                                   X                                                                                 4,753
Ampal Amern Israel Corp.                   X                                                                                 3,210
AMREP Corp.                                X                                                                                    54
Anadarko Pete Corp.                        X                 X                                                              43,159
Analog Devices Inc.                        X                                                                                 2,099
Anheuser-Busch Companies Inc.              X                                                       69,050                  328,929
Anicom Inc.                                X                                                                                10,000
Anixter International Inc.                 X                                                                                 1,400
Antex Corp.                                X                                                                                 2,000
Apartment Investment & Mgt Co Class A      X                                                                                   829
Apple Computer                             X                 X                                                               4,600
Applebee's International Inc.              X                                                                                   500
Applied Materials Inc.                     X                                                                                 5,070
Aquarion Co.                               X                                                                                 1,623
Archer-Daniels Midland Co.                 X                 X                                                              47,894
Argosy Gaming Co                           X                                                                                   500
Armstrong World Industries Inc.            X                 X                                                               3,000
Asha Corp.                                 X                                                                                 2,000
Associates First Capital Corp.             X                                                                                 5,540
Astra AB - Spons ADR A                     X                                                                                 1,600
Atlantic Richfield Co.                     X                 X                                      4,600                   43,183
Atlas Corp. New                            X                                                                                     4
Aurizon Mines Ltd                          X                                                                                    18
Autodesk Inc.                              X                                                                                   350
Autolliv, Inc.                                               X                                                                 613
Automatic Data Processing                  X                                                                                36,510
Autozone Inc.                              X                 X                                                               8,525
Avery Dennison Corp.                       X                                                                                 1,600
BB&T Corp.                                 X                                                       26,010                   94,082
BCE Inc.                                   X                 X                                                               7,532
BHC Communications Inc.                    X                                                                                   350
BP Amoco Plc -Spons ADR                    X                 X                                        300                  110,082
BP Prudhoe Bay Rty Tr Unit Ben Int         X                                                                                 1,000
BMC Software                               X                                                                                   500
Baker Hughes Inc.                          X                                                                                   100
Ball Corp.                                 X                                                                                 2,690
Baltimore Gas & Electric Co.               X                                                                                   765
Banc Stock Group Inc. - Cl A               X                                                                                 1,000
Banco Bilbao Vizcaya Intl                  X                                                                                 1,000
Banco Bilbao Vizcaya SA Spons ADR          X                                                                                16,500
Banco Comercial Portugues SA ADS           X                                                                                56,132
Banco Santander SA ADR                     X                                                                                 1,836

Page Total:

Bancwest Corporation                       X                 X                                                              14,390
Bank of New York                           X                                                                                 7,776
Bank One Corp                              X                 X                                                              38,310
BankAmerica Corp.                          X                 X                                                              18,170
BankBoston Corp.                           X                 X                                                               9,086
Bank United Capital II-9.60% Cum Trust     X                                                                                 1,500

</TABLE>

<PAGE>

<TABLE>
<CAPTION>
  FORM 13F       NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                         Run Date: 05/10/99
                                                                                                ----------------------------
                                                 FOR POSITIONS HELD AS OF 3/31/999                 S.E.C. Use Only
                                                                                                ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>                <C>
Barra Inc.                                       Common Stock          068313105                   12                 500
Barrett Resources Corp.                          Common Stock          068480201                   45               1,787
Battle Mountain Gold Co                          Common Stock          071593107                    0                 150
Baxter International Inc.                        Common Stock          071813109                  170               2,581
Bayer AG Spons ADR                               ADR                   072730302                  366               9,770
BE Aerospace, Inc.                               Common Stock          073302101                   22               1,500
Bear Stearns Companies, Inc.                     Common Stock          073902108                2,669              59,733
Bell Atlantic Corp.                              Common Stock          077853109               14,445             279,469
BellSouth Corp.                                  Common Stock          079860102                2,997              74,801
Belo A H Com Ser A                               Common Stock          080555105               16,545             906,563
Bergen Brunswig Corp. Cl A                       Common Stock          083739102                   12                 624
Berkshire Hathaway Inc. Class A                  Common Stock          084670108               29,988                 420
Berkshire Hathaway Inc. Class B                  Common Stock          084670207                4,135               1,759
Berkshire Realty Co.                             Common Stock          084710102                   31               2,800
Bestfoods                                        Common Stock          08658U101                2,407              51,206
Biomet Inc.                                      Common Stock          090613100                   42               1,000
Black & Decker Corp.                             Common Stock          091797100                  396               7,150
Block H & R Inc.                                 Common Stock          093671105               30,976             653,857
Blue Fish Clothing Inc.                          Common Stock          095480109                    0                 100
Boeing Co.                                       Common Stock          097023105                1,220              35,753
Bombardier Inc. Cl B                             Common Stock          097751200                   46               3,500
Boston Scientific Corp.                          Common Stock          101137107                   89               2,200
Brenton Bank Inc.                                Common Stock          107211104                   52               3,993
Bristol-Myers Squibb Co.                         Common Stock          110122108               14,130             219,706
Broadcast Com Inc                                Common Stock          111310108                   12                 100
Brookstone Inc.                                  Common Stock          114537103                   19               1,500
Brown Forman Corp. Class A                       Common Stock          115637100                  149               2,766
Brown Forman Corp. CL B                          Common Stock          115637209                  331               5,745
Brunswick Corp.                                  Common Stock          117043109                   27               1,400
Buckeye Partners L P Unit                        Common Stock          118230101                   71               2,600
Burlington Northern Santa Fe Corp.               Common Stock          12189T104                1,189              36,176
Burlington Resources                             Common Stock          122014103                  284               7,109
CBRL Group Inc.                                  Common Stock          12489V106                    4                 200
CBS Corp.                                        Common Stock          12490K107                   88               2,140
C-Cube Microsystems Inc.                         Common Stock          125015107                  166               8,400
Cigna Corp.                                      Common Stock          125509109                  377               4,500
CKE Restaurants Inc.                             Common Stock          12561E105                  119               6,047
C P Pokphand Co LTD Sponsored ADR                ADR                   125918102                    0                 500
CNF Transportation Inc.                          Common Stock          12612W104                   45               1,200
C S X Corp.                                      Common Stock          126408103                1,584              40,677
Cable & Wireless Pub Ltd Plc                     ADR                   126830207                   22                 600
Cabot Oil and Gas Corp.                          Common Stock          127097103                  458              31,750
Cadbury Schweppes P L C                          ADR                   127209302                2,144              36,928
Callaway Golf Co                                 Common Stock          131193104                   31               3,000
Calpine Corp.                                    Common Stock          131347106                  146               4,000

Page Total:                                                                                   132,780

Camden Property Trust                            Common Stock          133131102                   25               1,000
Campbell Soup Co.                                Common Stock          134429109                  342               8,400
Canadian Pacific Ltd Com                         Common Stock          135923100                  379              19,500
Canadian Intl Power Ltd                          Common Stock          136159100                    0               1,000
Cancer Diagnostics                               Common Stock          137385100                    0               3,000
Canon Inc. - Spon ADR                            ADR                   138006309                  715              29,963
Capital One Financial Corp.                      Common Stock          14040H105                   60                 400
Capstar Broadcastiong Corp.                      Common Stock          14067G105                   23               1,000
Cardinal Health Inc.                             Common Stock          14149Y108                   69               1,040

<CAPTION>
                                                                                                                      
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                                <C>         <C>        <C>        <C>        <C>        <C>            <C>
Barra Inc.                                            X                                                                       500
Barrett Resources Corp.                               X                                                                     1,787
Battle Mountain Gold Co                               X                                                                       150
Baxter International Inc.                             X                                                                     2,581
Bayer AG Spons ADR                                    X                 X                                                   9,770
BE Aerospace, Inc.                                    X                                                                     1,500
Bear Stearns Companies, Inc.                          X                 X                                                  59,733
Bell Atlantic Corp.                                   X                 X                                                 279,469
BellSouth Corp.                                       X                 X                                                  74,801
Belo A H Com Ser A                                    X                                          216,000                  690,563
Bergen Brunswig Corp. Cl A                            X                                                                       624
Berkshire Hathaway Inc. Class A                       X                                                                       420
Berkshire Hathaway Inc. Class B                       X                                                                     1,759
Berkshire Realty Co.                                  X                                                                     2,800
Bestfoods                                             X                 X                            600                   50,606
Biomet Inc.                                           X                                                                     1,000
Black & Decker Corp.                                  X                                                                     7,150
Block H & R Inc.                                      X                 X                        116,400                  537,457
Blue Fish Clothing Inc.                               X                                                                       100
Boeing Co.                                            X                 X                                                  35,753
Bombardier Inc. Cl B                                  X                                                                     3,500
Boston Scientific Corp.                               X                                                                     2,200
Brenton Bank Inc.                                     X                                                                     3,993
Bristol-Myers Squibb Co.                              X                 X                                                 219,706
Broadcast Com Inc                                     X                                                                       100
Brookstone Inc.                                       X                                                                     1,500
Brown Forman Corp. Class A                            X                                                                     2,766
Brown Forman Corp. CL B                               X                                                                     5,745
Brunswick Corp.                                                                                                             1,400
Buckeye Partners L P Unit                             X                                                                     2,600
Burlington Northern Santa Fe Corp.                    X                 X                                                  36,176
Burlington Resources                                  X                 X                                                   7,109
CBRL Group Inc.                                       X                                                                       200
CBS Corp.                                             X                 X                                                   2,140
C-Cube Microsystems Inc.                              X                                                                     8,400
Cigna Corp.                                           X                                                                     4,500
CKE Restaurants Inc.                                  X                                                                     6,047
C P Pokphand Co LTD Sponsored ADR                     X                                                                       500
CNF Transportation Inc.                                                                                                     1,200
C S X Corp.                                           X                 X                                                  40,677
Cable & Wireless Pub Ltd Plc                          X                                                                       600
Cabot Oil and Gas Corp.                               X                                                                    31,750
Cadbury Schweppes P L C                               X                                                                    36,928
Callaway Golf Co                                      X                                                                     3,000
Calpine Corp.                                                           X                                                   4,000

Page Total:

Camden Property Trust                                 X                                                                     1,000
Campbell Soup Co.                                     X                                                                     8,400
Canadian Pacific Ltd Com                              X                                                                    19,500
Canadian Intl Power Ltd                               X                                                                     1,000
Cancer Diagnostics                                    X                                                                     3,000
Canon Inc. - Spon ADR                                 X                                                                    29,963
Capital One Financial Corp.                           X                                                                       400
Capstar Broadcastiong Corp.                           X                                                                     1,000
Cardinal Health Inc.                                  X                                                                     1,040

</TABLE>

<PAGE>
<TABLE>
<CAPTION>
  FORM 13F         NAME OF REPORTING MANAGER:        BARTLETT - INST ID# 71934                          Run Date: 05/10/99
                                                                                                     ----------------------------
                                                     FOR POSITIONS HELD AS OF 3/31/999                  S.E.C. Use Only
                                                                                                     ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                   <C>              <C>
Carey Diversified LLC                            Common Stock          14174P105                   25               1,398
Cardiothoracic Systems Inc                       Common Stock          141907105                   19               2,000
Carnival Corp.                                   Common Stock          143658102                   19                 400
Carolina Power & Light                           Common Stock          144141108                   32                 844
Caterpillar Inc.                                 Common Stock          149123101                  231               5,037
Cedar Fair, L.P. Dep Rec                         Common Stock          150185106                  788              31,379
Cemex SA Sponsored ADR                           ADR                   151290202                    8               1,000
Cendant Corp.                                    Common Stock          151313103                   33               2,086
Centerpoint Properties Corp.                     Common Stock          151895109                   63               2,000
Central & Southwest Corp.                        Common Stock          152357109                  437              18,652
Central Vermont Pub Svc Corp.                    Common Stock          155771108                   12               1,200
Cephalon Inc.                                    Common Stock          156708109                  540              61,700
Cerner Corp.                                     Common Stock          156782104                   64               4,000
Champion International Corp.                     Common Stock          158525105                   60               1,450
Chancellor Media Corp. Class A                   Common Stock          158915108                   28                 600
Charter One Financial Inc.                       Common Stock          160903100               33,060           1,145,567
Chase Manhattan Corp.                            Common Stock          16161A108                4,689              57,660
Chateau Communities Inc.                         Common Stock          161726104               37,984           1,381,230
Checkers Drive-In Restaurants Inc.               Common Stock          162809107                    3               7,000
Chemed Corp.                                     Common Stock          163596109                   14                 540
Cheung Kong Hong Kong ADR                        ADR                   166744201                  550              72,300
Chevron Corp.                                    Common Stock          166751107                3,733              42,216
Chile Fund Inc.                                  Common Stock          168834109                   13               1,290
Choice Hotels Intl Inc.                          Common Stock          169905106                   19               1,350
Chiquita Brands $3.75 Ser B                      Preferred Stock       170032502                  570              12,750
Chiron Corp.Del                                  Common Stock          170040109                    0                  16
Chock Full O Nuts Corp                           Common Stock          170268106                    1                 206
Choicecare Inc.                                  Common Stock          170383103                    2                 208
Choicepoint Inc.                                 Common Stock          170388102                    5                 100
Chris Craft Industries Inc.                      Common Stock          170520100                   15                 320
Chubb Corp.                                      Common Stock          171232101                4,103              70,055
Cifra SA - ADR V                                 ADR                   171785405                    6                 364
Cilcorp Inc.                                     Common Stock          171794100                  198               3,300
Cincinnati Bell Inc.                             Common Stock          171870108               17,458             778,074
Cincinnati Financial Corp.                       Common Stock          172062101               19,927             546,883
Cincinnati Inter Term RR Co                      Preferred Stock       172124109                    3                 100
Cincinnati Microwave Inc.                        Common Stock          172167108                    0                 304
Cinergy Corp.                                    Common Stock          172474108                  156               5,662
Circuit City Stores Inc.                         Common Stock          172737108                   31                 400
Cisco Systems Co.                                Common Stock          17275R102                3,908              35,667
Cintas Corp.                                     Common Stock          172908105               13,224             202,281
Circus Circus Enterprises Inc.                   Common Stock          172909103                    3                 150

Page Total:                                                                                   143,646

Citigroup, Inc.                                  Common Stock          172967101               27,440             429,586
Citigroup Inc Depository Shrs PFD Ser            Preferred Stock       172967713                    8                 300
Citigroup Capital I Tr PFD Sec 8.00%             Preferred Stock       17305F201                   26               1,010
Citizens Bkg Corp.                               Common Stock          174420109                  156               4,326
Citizens Utilities Co - CL B                     Common Stock          177342201                  264              34,090
Citrix Systems Inc.                              Common Stock          177376100                   11                 300
City Investing Co Liq Tr Unit Ben Int            Common Stock          177900107                    1                 500
Clarcor Inc.                                     Common Stock          179895107                   21               1,248
Clarus Corp.                                     Common Stock          182707109                   11               2,000
Cleveland Cliffs Inc.                            Common Stock          185896107                   24                 692
Clorox Co.                                       Common Stock          189054109                  135               1,150
Coastal Corp.                                    Common Stock          190441105                   48               1,450



<CAPTION>
                                                                                                                      
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                                <C>         <C>        <C>        <C>        <C>        <C>            <C>

Carey Diversified LLC                                 X                                                                      1,398
Cardiothoracic Systems Inc                            X                                                                      2,000
Carnival Corp.                                        X                                                                        400
Carolina Power & Light                                X                                                                        844
Caterpillar Inc.                                      X                                                                      5,037
Cedar Fair, L.P. Dep Rec                              X                                                                     31,379
Cemex SA Sponsored ADR                                X                                                                      1,000
Cendant Corp.                                         X                                                                      2,086
Centerpoint Properties Corp.                          X                                                                      2,000
Central & Southwest Corp.                             X                 X                                                   18,652
Central Vermont Pub Svc Corp.                         X                                                                      1,200
Cephalon Inc.                                         X                                                                     61,700
Cerner Corp.                                          X                                                                      4,000
Champion International Corp.                          X                                                                      1,450
Chancellor Media Corp. Class A                        X                                                                        600
Charter One Financial Inc.                            X                 X                                    198,705       946,862
Chase Manhattan Corp.                                 X                 X                                                   57,660
Chateau Communities Inc.                              X                 X                                    176,174     1,205,056
Checkers Drive-In Restaurants Inc.                    X                                                                      7,000
Chemed Corp.                                          X                                                                        540
Cheung Kong Hong Kong ADR                             X                                                                     72,300
Chevron Corp.                                         X                 X                                                   42,216
Chile Fund Inc.                                       X                                                                      1,290
Choice Hotels Intl Inc.                               X                                                                      1,350
Chiquita Brands $3.75 Ser B                           X                                                                     12,750
Chiron Corp.Del                                       X                                                                         16
Chock Full O Nuts Corp                                                  X                                                      206
Choicecare Inc.                                       X                                                                        208
Choicepoint Inc.                                      X                                                                        100
Chris Craft Industries Inc.                           X                                                                        320
Chubb Corp.                                           X                 X                                      1,600        68,455
Cifra SA - ADR V                                      X                                                                        364
Cilcorp Inc.                                          X                                                                      3,300
Cincinnati Bell Inc.                                  X                 X                                                  778,074
Cincinnati Financial Corp.                            X                 X                                                  546,883
Cincinnati Inter Term RR Co                           X                                                                        100
Cincinnati Microwave Inc.                             X                                                                        304
Cinergy Corp.                                         X                 X                                                    5,662
Circuit City Stores Inc.                              X                                                                        400
Cisco Systems Co.                                     X                 X                                                   35,667
Cintas Corp.                                          X                 X                                                  202,281
Circus Circus Enterprises Inc.                                          X                                                      150

Page Total:

Citigroup, Inc.                                       X                 X                                     98,461       331,125
Citigroup Inc Depository Shrs PFD Ser                 X                                                                        300
Citigroup Capital I Tr PFD Sec 8.00%                  X                                                                      1,010
Citizens Bkg Corp.                                    X                                                                      4,326
Citizens Utilities Co - CL B                          X                                                                     34,090
Citrix Systems Inc.                                   X                                                                        300
City Investing Co Liq Tr Unit Ben Int                 X                                                                        500
Clarcor Inc.                                          X                                                                      1,248
Clarus Corp.                                          X                                                                      2,000
Cleveland Cliffs Inc.                                 X                                                                        692
Clorox Co.                                            X                                                                      1,150
Coastal Corp.                                         X                                                                      1,450
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F            NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                     Run Date: 05/10/99
                                                                                                    ---------------------------
                                                        FOR POSITIONS HELD AS OF 3/31/999             S.E.C. Use Only
                                                                                                    
                                                                                                    ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- --------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                     <C>                <C>
Coca Cola Co.                                    Common Stock          191216100               13,506             220,059
Coflexip Spon ADR                                ADR                   192384105                   10                 300
Cohesion Technologies Inc.                       Common Stock          19248N101                   20               5,000
Coleman Inc. New                                 Common Stock          193559101                   13               1,600
Colgate-Palmolive Co.                            Common Stock          194162103                5,327              57,902
Columbia Gas System Inc.                         Common Stock          197648108                   39                 750
Columbia/HCA Healthcare Corp.                    Common Stock          197677107                2,070             109,300
Comair Inc.                                      Common Stock          199789108                4,309             182,374
Comcast Corp.                                    Common Stock          200300101                   68               1,100
Comcast Corp.                                    Common Stock          200300200                  155               2,468
Comerica Inc.                                    Common Stock          200340107                  110               1,758
Community Trust Bancorp Inc.                     Common Stock          204149108                   18                 847
Compaq Computer Corp.                            Common Stock          204493100               14,279             450,622
Computer Associates International Inc.           Common Stock          204912109                   13                 352
Compuware Corp.                                  Common Stock          205638109                   10                 400
Conagra Inc.                                     Common Stock          205887102                  394              15,400
Conectiv Inc.                                    Common Stock          206829103                   37               1,900
Conectiv Inc.- Cl A                              Common Stock          206829202                   10                 275
Conexant Systems Inc.                            Common Stock          207142100                   14                 500
Connect Inc. New                                 Common Stock          207528308                    3               1,000
Consolidated Edison Co N Y Inc.                  Preferred Stock       209111301                   17                 200
Consolidated Edison Inc.                         Common Stock          209115104                  202               4,461
Consolidated Freightways Corp.                   Common Stock          209232107                    7                 600
Convergys Corp                                   Common Stock          212485106               14,944             872,625
Cooper Industries                                Common Stock          216669101                   48               1,134
Cooper Tire & Rubber Co                          Common Stock          216831107                  118               6,400
COR Therapeutics Inc.                            Common Stock          217753102                   30               3,000
Cordant Technologies Inc                         Common Stock          218412104                   19                 480
Corn Products International Inc.                 Common Stock          219023108                   56               2,326
Corning Inc.                                     Common Stock          219350105                  627              10,450
Credit Suisse Group - Spon ADR                   ADR                   225401108                   56               1,200
Crescendo Pharmaceuticals CRP CL A               Common Stock          225637107                    9                 600
Cross A T Co Cl A                                Common Stock          227478104                  225              30,700
Cymer Inc.                                       Common Stock          232572107                   20               1,000
Cyprus Amax Minerals Co                          Common Stock          232809103                    8                 690
DII Group Inc.                                   Common Stock          232949107                   62               2,122
DPL Inc.                                         Common Stock          233293109                   74               4,462
DTE Energy CO                                    Common Stock          233331107                  171               4,460
Dairy Farms Intl Hldgs LTD Spons ADR             ADR                   233859206                   49               8,500

Page Total:                                                                                    85,289

Dana Corp.                                       Common Stock          235811106                   68               1,792
Darden Restaurants Inc.                          Common Stock          237194105                   76               3,668
Data Race Inc.                                   Common Stock          237842109                   33               6,000
Dave & Busters Inc.                              Common Stock          23833N104                   47               2,304
Dayton & Michigan RR Co                          Common Stock          239649106                   17                 608
Dayton & Michigan RR                             Preferred Stock       239649205                   14                 357
Dayton Hudson Corp.                              Common Stock          239753106                5,844              87,708
Deere & Co                                       Common Stock          244199105                  616              15,939
Dell Computer Corp.                              Common Stock          247025109                  551              13,470
Delta Air Lines Inc.                             Common Stock          247361108                  625               8,986
Detection Systems Inc.                           Common Stock          250644101                   11               1,350
Detroit Mtg & Rlty Co                            Common Stock          251273108                  237              11,046
Deutsche Bank Sponsored ADR                      ADR                   251525309                   51               1,000
Deutsche Lufthansa ADR                           ADR                   251561205                  536              24,524
Developers Diversified Realty Corp.              Common Stock          251591103                   23               1,600


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Coca Cola Co.                                     X                 X                                           400      219,659
Coflexip Spon ADR                                 X                                                                          300
Cohesion Technologies Inc.                        X                                                                        5,000
Coleman Inc. New                                  X                                                                        1,600
Colgate-Palmolive Co.                             X                 X                                                     57,902
Columbia Gas System Inc.                          X                                                                          750
Columbia/HCA Healthcare Corp.                     X                                                          15,700       93,600
Comair Inc.                                       X                 X                                         2,700      179,674
Comcast Corp.                                     X                                                                        1,100
Comcast Corp.                                     X                                                                        2,468
Comerica Inc.                                     X                                                                        1,758
Community Trust Bancorp Inc.                      X                                                                          847
Compaq Computer Corp.                             X                 X                                        44,600      406,022
Computer Associates International Inc.            X                                                                          352
Compuware Corp.                                   X                                                                          400
Conagra Inc.                                      X                 X                                                     15,400
Conectiv Inc.                                     X                                                                        1,900
Conectiv Inc.- Cl A                               X                                                                          275
Conexant Systems Inc.                             X                                                                          500
Connect Inc. New                                  X                                                                        1,000
Consolidated Edison Co N Y Inc.                   X                                                                          200
Consolidated Edison Inc.                          X                                                                        4,461
Consolidated Freightways Corp.                                                                                               600
Convergys Corp                                    X                 X                                         1,500      871,125
Cooper Industries                                 X                                                                        1,134
Cooper Tire & Rubber Co                           X                                                                        6,400
COR Therapeutics Inc.                             X                                                                        3,000
Cordant Technologies Inc                                            X                                                        480
Corn Products International Inc.                  X                 X                                                      2,326
Corning Inc.                                      X                 X                                                     10,450
Credit Suisse Group - Spon ADR                    X                                                                        1,200
Crescendo Pharmaceuticals CRP CL A                X                                                                          600
Cross A T Co Cl A                                 X                                                                       30,700
Cymer Inc.                                        X                                                                        1,000
Cyprus Amax Minerals Co                           X                                                                          690
DII Group Inc.                                    X                                                                        2,122
DPL Inc.                                          X                                                                        4,462
DTE Energy CO                                     X                 X                                                      4,460
Dairy Farms Intl Hldgs LTD Spons ADR              X                                                                        8,500

Page Total:

Dana Corp.                                        X                 X                                                      1,792
Darden Restaurants Inc.                           X                                                                        3,668
Data Race Inc.                                    X                                                                        6,000
Dave & Busters Inc.                               X                                                                        2,304
Dayton & Michigan RR Co                           X                                                                          608
Dayton & Michigan RR                              X                                                                          357
Dayton Hudson Corp.                               X                 X                                                     87,708
Deere & Co                                        X                                                                       15,939
Dell Computer Corp.                               X                                                           1,000       12,470
Delta Air Lines Inc.                              X                                                             500        8,486
Detection Systems Inc.                            X                                                                        1,350
Detroit Mtg & Rlty Co                             X                                                                       11,046
Deutsche Bank Sponsored ADR                       X                                                                        1,000
Deutsche Lufthansa ADR                            X                 X                                                     24,524
Developers Diversified Realty Corp.               X                                                                        1,600

</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F          NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                      Run Date: 05/10/99
                                                                                                  ----------------------------
                                                      FOR POSITIONS HELD AS OF 3/31/999              S.E.C. Use Only
                                                                                                  ----------------------------

               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                             <C>                    <C>                         <C>              <C>
Developers Diversified Rlty 9.50% CL A           Preferred Stock       251591301                   25               1,000
Dexter Corp.                                     Common Stock          252165105                   82               2,600
Diageo PLC-Sponsored ADR New                     ADR                   25243Q205                1,854              40,528
Dial Corp.                                       Common Stock          25247D101                  567              16,500
Diebold Inc.                                     Common Stock          253651103                   76               3,155
Dime Bancorp Inc.                                Common Stock          25429Q102                    4                 177
The Walt Disney Co.                              Common Stock          254687106               20,404             655,545
Dollar General Corp.                             Common Stock          256669102                   35               1,040
Dominion Resources Inc. of VA                    Common Stock          257470104                   61               1,650
Donaldson Inc.                                   Common Stock          257651109                1,130              62,800
Donnelley (R R) & Sons Co                        Common Stock          257867101                  103               3,200
Dover Corp.                                      Common Stock          260003108               13,371             406,720
Dow Chemical Co                                  Common Stock          260543103                1,392              14,935
Dow Jones & Co                                   Common Stock          260561105                   54               1,140
Dresder Bank AG New ADR                          ADR                   261561302                   40               1,000
Du Pont (E I) de Nemours and Co.                 Common Stock          263534109                1,583              27,263
Du Pont E I De Nemours & Co                      Preferred Stock       263534307                   36                 420
Duke Energy Corp.                                Common Stock          264399106                  373               6,822
Dun & Bradstreet Corp.                           Common Stock          26483B106                  443              12,437
Duramed Pharmaceuticals Inc.                     Common Stock          266354109                   11               1,200
Dycap Inc.                                       Common Stock          267850998                    0                 100
E4L Inc                                          Common Stock          268452109                   21               2,500
E G & G Inc.                                     Common Stock          268457108                   23                 888
Elxsi Corp.  New                                 Common Stock          268613205                    1                  50
E M C Corp.                                      Common Stock          268648102                  150               1,175
Ensco International Inc.                         Common Stock          26874Q100                  210              15,800
Eastman Chemical Co                              Common Stock          277432100                   13                 300
Eastman Kodak Co                                 Common Stock          277461109                  973              15,238
Eaton Corp.                                      Common Stock          278058102                  172               2,400
Echelon International Corp.                      Common Stock          278747100                    2                 120
Ecolab                                           Common Stock          278865100                   57               1,600
Edison International                             Common Stock          281020107                  127               5,700
El Paso Energy Corp                              Common Stock          283905107                   74               2,257
Elan Corp. ADR                                   ADR                   284131208                   35                 500
Electronic Arts                                  Common Stock          285512109                   24                 500
Electronic Data Systems                          Common Stock          285661104                  159               3,271

Page Total:                                                                                    52,432

Emerson Electric Co.                             Common Stock          291011104               20,628             389,665
Endesa S.A. ADR                                  ADR                   29258N107                  517              20,800
Enerco Inc.                                      Common Stock          29265H101                    0               4,000
Ennis Business Forms Inc.                        Common Stock          293389102                  204              25,312
Enron Corp.                                      Common Stock          293561106                   91               1,413
Enron Capital Resources LP 9.0% Cum PF           Preferred Stock       29357D208                  103               4,100
Entergy Corp.                                    Common Stock          29364G103                   47               1,700
Enterprise Capital Tr I-7.44% Cum Trus           Preferred Stock       293701207                   34               1,400
Enterprise Software Inc.                         Common Stock          29379K107                  110              16,499
Equifax Inc.                                     Common Stock          294429105                   34               1,000
The Equitable Companies                          Common Stock          29444G107                   26                 371
Equitable Resources Inc.                         Common Stock          294549100                   13                 500
Equity Residential Properties Trust              Common Stock          29476L107                  137               3,328
Equity Residential Pptys Trust                   Preferred Stock       29476L826                  935              35,950
Equity Residential Interest Trust                Preferred Stock       29476L883                  118               5,100
Ericsson L M Tel Co ADR Cl B                     ADR                   294821400                  561              23,550
Exxon Corp.                                      Common Stock          302290101               33,902             480,447
F P L Group Inc.                                 Common Stock          302571104                  202               3,800



<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Developers Diversified Rlty 9.50% CL A               X                                                                       1,000
Dexter Corp.                                         X                                                                       2,600
Diageo PLC-Sponsored ADR New                         X                                                                      40,528
Dial Corp.                                           X                 X                                                    16,500
Diebold Inc.                                         X                                                                       3,155
Dime Bancorp Inc.                                    X                                                                         177
The Walt Disney Co.                                  X                 X                                        29,100     626,445
Dollar General Corp.                                 X                                                                       1,040
Dominion Resources Inc. of VA                        X                                                                       1,650
Donaldson Inc.                                       X                 X                                                    62,800
Donnelley (R R) & Sons Co                            X                                                                       3,200
Dover Corp.                                          X                 X                                        74,900     331,820
Dow Chemical Co                                      X                 X                                                    14,935
Dow Jones & Co                                       X                                                                       1,140
Dresder Bank AG New ADR                              X                                                                       1,000
Du Pont (E I) de Nemours and Co.                     X                 X                                                    27,263
Du Pont E I De Nemours & Co                          X                                                                         420
Duke Energy Corp.                                    X                                                                       6,822
Dun & Bradstreet Corp.                               X                                                                      12,437
Duramed Pharmaceuticals Inc.                         X                                                                       1,200
Dycap Inc.                                           X                                                                         100
E4L Inc                                              X                                                                       2,500
E G & G Inc.                                         X                                                                         888
Elxsi Corp.  New                                     X                                                                          50
E M C Corp.                                          X                                                                       1,175
Ensco International Inc.                             X                                                                      15,800
Eastman Chemical Co                                  X                                                                         300
Eastman Kodak Co                                     X                 X                                                    15,238
Eaton Corp.                                          X                 X                                                     2,400
Echelon International Corp.                          X                                                                         120
Ecolab                                               X                                                                       1,600
Edison International                                 X                                                                       5,700
El Paso Energy Corp                                  X                 X                                                     2,257
Elan Corp. ADR                                       X                                                                         500
Electronic Arts                                      X                                                                         500
Electronic Data Systems                              X                                                                       3,271

Page Total:

Emerson Electric Co.                                 X                 X                                        30,250     359,415
Endesa S.A. ADR                                      X                                                           4,000      16,800
Enerco Inc.                                          X                                                                       4,000
Ennis Business Forms Inc.                            X                 X                                                    25,312
Enron Corp.                                          X                                                                       1,413
Enron Capital Resources LP 9.0% Cum PF               X                                                                       4,100
Entergy Corp.                                        X                                                                       1,700
Enterprise Capital Tr I-7.44% Cum Trus               X                                                                       1,400
Enterprise Software Inc.                             X                                                                      16,499
Equifax Inc.                                         X                                                                       1,000
The Equitable Companies                              X                                                                         371
Equitable Resources Inc.                             X                                                                         500
Equity Residential Properties Trust                  X                                                                       3,328
Equity Residential Pptys Trust                       X                                                                      35,950
Equity Residential Interest Trust                    X                                                                       5,100
Ericsson L M Tel Co ADR Cl B                         X                                                           1,000      22,550
Exxon Corp.                                          X                 X                                         5,500     474,947
F P L Group Inc.                                     X                                                                       3,800

</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F             NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                      Run Date: 05/10/99
                                                                                                     ----------------------------
                                                         FOR POSITIONS HELD AS OF 3/31/999              S.E.C. Use Only
                                                                                                     ----------------------------

               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------

Factory Card Outlet Corp.                        Common Stock          303053102                    1               1,250
Farmer Brothers Co                               Common Stock          307675108                  119                 600
Fastenal Co.                                     Common Stock          311900104                   14                 400
FDX Corp.                                        Common Stock          31304N107                   51                 550
Freddie Mac                                      Common Stock          313400301               37,693             659,834
Federal Mogul Corp.                              Common Stock          313549107                  410               9,526
Fannie Mae                                       Common Stock          313586109               52,677             760,676
Federal Realty Investment Trust                  Common Stock          313747206                  123               5,786
Federal Signal Corp.                             Common Stock          313855108                   22               1,066
Federated Department Stores                      Common Stock          31410H101                1,475              36,771
Ferro Corp.                                      Common Stock          315405100                9,185             371,125
Fidelity Financial of Ohio                       Common Stock          31614P107                    5                 400
Fifth Third Bancorp                              Common Stock          316773100               42,157             639,341
Finet Holdings Corp New                          Common Stock          317922300                   20               4,000
Finova Group Inc.                                Common Stock          317928109                  462               8,900
Finger Lakes Financial Corp.                     Common Stock          317948107                    9                 800
First Bell Bancorp Inc.                          Common Stock          319301107                  935              55,000
First Data Corp.                                 Common Stock          319963104                  280               6,560
First Finl Bancorp                               Common Stock          320209109                  197               9,067
First Franklin Corp.                             Common Stock          320272107                   11                 900
First Philippine Fd Inc.                         Common Stock          336100102                   12               1,900
First Tennessee                                  Common Stock          337162101                5,358             146,296
First Union Corp.                                Common Stock          337358105                  499               9,347
First VA Banks Inc.                              Common Stock          337477103                   55               1,212
First City Liquidating Trust                     Common Stock          33762E108                2,497              92,475
Firstar Corporation                              Common Stock          33763V109               30,926             345,544
Firstmerit Corp.                                 Common Stock          337915102                  512              19,900
Firstenergy Corp.                                Common Stock          337932107                   53               1,899
Fleet Financial Group, Inc.                      Common Stock          338915101                   75               2,000
Fleetwood Enterprises Inc.                       Common Stock          339099103               20,106             702,378
Florida Progress                                 Common Stock          341109106                  134               3,562
Fluor Corp.                                      Common Stock          343861100                   32               1,175
Ford Motor Co.                                   Common Stock          345370100               13,737             242,056

Page Total:                                                                                   277,507

Fort James Corp.                                 Common Stock          347471104                   95               3,007
Fortune Brands Inc.                              Common Stock          349631101                  554              14,316
Franchise Finance Corp. of America               Common Stock          351807102                   13                 594
Freeport McMoran Copper & Gold, Inc.             Common Stock          35671D105                    2                 216
Freeport McMoran Copper And Gold                 Common Stock          35671D857                   34               3,125
Fremont General Corp.                            Common Stock          357288109                   19                 990
Frontier Insurance Group Inc.                    Common Stock          359081106                  418              35,176
Fujitsu Ltd                                      ADR                   359590304                  469               5,845
H B Fuller Co                                    Common Stock          359694106                    9                 150
Gatx Corp.                                       Common Stock          361448103               14,020             425,650
GPU Inc.                                         Common Stock          36225X100                   45               1,200
G T E Corp.                                      Common Stock          362320103                  867              14,326
GTE Delaware 8.75% Cumulative Monthly            Preferred Stock       36232E301                   20                 800
Gallaher Group PLC-Spon ADR                      ADR                   363595109                  161               6,850
Gannett Co                                       Common Stock          364730101                3,153              50,043
Gap Inc.                                         Common Stock          364760108                    8                 112
Garan Inc.                                       Common Stock          364802108                   36               1,470
Gateway 2000 Inc.                                Common Stock          367833100                   51                 750
General American Investors Co                    Common Stock          368802104                  109               3,449
General Dynamics Corp.                           Common Stock          369550108                   22                 350
General Electric                                 Common Stock          369604103               39,558             357,584



<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>

Factory Card Outlet Corp.                             X                                                                     1,250
Farmer Brothers Co                                    X                                                                       600
Fastenal Co.                                          X                                                                       400
FDX Corp.                                             X                                                                       550
Freddie Mac                                           X                 X                                                 659,834
Federal Mogul Corp.                                   X                 X                                                   9,526
Fannie Mae                                            X                 X                                       100,600   660,076
Federal Realty Investment Trust                       X                                                                     5,786
Federal Signal Corp.                                  X                                                                     1,066
Federated Department Stores                           X                 X                                                  36,771
Ferro Corp.                                           X                                                         121,900   249,225
Fidelity Financial of Ohio                            X                                                                       400
Fifth Third Bancorp                                   X                 X                                                 639,341
Finet Holdings Corp New                               X                                                                     4,000
Finova Group Inc.                                     X                 X                                                   8,900
Finger Lakes Financial Corp.                          X                                                                       800
First Bell Bancorp Inc.                               X                                                           6,000    49,000
First Data Corp.                                      X                 X                                                   6,560
First Finl Bancorp                                    X                                                                     9,067
First Franklin Corp.                                                    X                                                     900
First Philippine Fd Inc.                                                                                                    1,900
First Tennessee                                       X                                                          13,364   132,932
First Union Corp.                                     X                                                                     9,347
First VA Banks Inc.                                   X                                                                     1,212
First City Liquidating Trust                          X                                                                    92,475
Firstar Corporation                                   X                 X                                                 345,544
Firstmerit Corp.                                      X                                                                    19,900
Firstenergy Corp.                                     X                                                                     1,899
Fleet Financial Group, Inc.                                             X                                                   2,000
Fleetwood Enterprises Inc.                            X                 X                                       134,100   568,278
Florida Progress                                      X                                                                     3,562
Fluor Corp.                                           X                                                                     1,175
Ford Motor Co.                                        X                                                          73,700   168,356

Page Total:

Fort James Corp.                                      X                                                                     3,007
Fortune Brands Inc.                                   X                                                                    14,316
Franchise Finance Corp. of America                    X                                                                       594
Freeport McMoran Copper & Gold, Inc.                  X                                                                       216
Freeport McMoran Copper And Gold                      X                                                                     3,125
Fremont General Corp.                                                   X                                                     990
Frontier Insurance Group Inc.                         X                                                                    35,176
Fujitsu Ltd                                           X                                                                     5,845
H B Fuller Co                                         X                                                                       150
Gatx Corp.                                            X                 X                                       111,200   314,450
GPU Inc.                                              X                                                                     1,200
G T E Corp.                                           X                 X                                                  14,326
GTE Delaware 8.75% Cumulative Monthly                 X                                                                       800
Gallaher Group PLC-Spon ADR                           X                                                                     6,850
Gannett Co                                            X                 X                                                  50,043
Gap Inc.                                              X                                                                       112
Garan Inc.                                                                                                                  1,470
Gateway 2000 Inc.                                     X                                                                       750
General American Investors Co                         X                                                                     3,449
General Dynamics Corp.                                X                                                                       350
General Electric                                      X                 X                                           800   356,784
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
   FORM 13F       NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                        Run Date: 05/10/99
                                                                                                ----------------------------
                                                  FOR POSITIONS HELD AS OF 3/31/999                S.E.C. Use Only
                                                                                                ----------------------------

               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>              <C>
General Electric                                 ADR                   369639307                   27               3,000
General Housewares                               Common Stock          370073108                   10               1,000
General Magic Inc.                               Common Stock          370253106                    1                 400
General Mills                                    Common Stock          370334104                  330               4,368
General Motors Corp.                             Common Stock          370442105                8,908             102,542
General Motors Corp. - CL H New                  Common Stock          370442832                    5                 104
Genesee Corp. Cl B                               Common Stock          371601204                   14                 625
Gentex Corp.                                     Common Stock          371901109                   86               4,000
Genome Therapeutics Corp.                        Common Stock          372430108                    8               2,400
Genuine Parts Co.                                Common Stock          372460105                  170               5,905
Georgia-Pacific Corp.                            Common Stock          373298108                  135               1,812
Georgia Pacific Corp. (Timber Group)             Common Stock          373298702                   38               1,674
Gerber Scientific Inc.                           Common Stock          373730100                   24               1,200
Gillette Co.                                     Common Stock          375766102                  419               7,050
Glacier Bancorp Inc                              Common Stock          37637Q105                  139               7,172
Glaxo Wellcome PLC - Spons ADR                   ADR                   37733W105                  388               5,800
Globe Business Resources Inc.                    Common Stock          379395106                   13               1,000
Golden West Finl Corp. Del                       Common Stock          381317106                   57                 600
Goodrich B.F. Co.                                Common Stock          382388106                    8                 240
Goodyear Tire & Rubber Co                        Common Stock          382550101                   69               1,376
Grainger WW Inc.                                 Common Stock          384802104                   43               1,000
Grupo Televisa, S.A. GDS                         ADR                   40049J206                   35               1,100
Guidant Corp.                                    Common Stock          401698105                   24                 400
H & Q Life Sciences Investors                    Common Stock          404053100                   66               6,000
HCR Manor Care Inc                               Common Stock          404134108                   31               1,350
HL&P Capital Trust I-8.125% Tr PFD Sr            Preferred Stock       404202202                   26               1,000
HRPT Proprties Trust                             Common Stock          40426W101                   30               2,200
Halliburton Co.                                  Common Stock          406216101                  816              21,183
John Hancock Bank & Thrift                       Common Stock          409735107                   29               3,200
John Hancock Patriot Select                      Common Stock          41013U102                  142               9,150

Page Total:                                                                                    71,753

Hanger Orthopedic Group, Inc.                    Common Stock          41043F208                   27               2,000
Hanna M A CO                                     Common Stock          410522106                  246              19,175
Hanson Plc Spon ADR New                          ADR                   411352404                   18                 414
Harcourt General Inc.                            Common Stock          41163G101                   49               1,115
Harland John H Co                                Common Stock          412693103                    8                 600
Harley Davidson, Inc.                            Common Stock          412822108                   46                 800
Harris Corp.                                     Common Stock          413875105                   57               2,000
Hartford Financial Services Group Inc.           Common Stock          416515104                1,423              25,040
Hasbro Inc.                                      Common Stock          418056107                  168               5,812
Hawaiian Elec Inds Inc.                          Common Stock          419870100                   70               2,000
Health Management Associates, Inc. Cl            Common Stock          421933102                   49               4,050
Hearst-Argyle Television Inc.                    Common Stock          422317107                   74               3,004
H J Heinz Co                                     Common Stock          423074103                3,489              73,648
Helix Technology Inc.                            Common Stock          423319102                  789              51,300
Helmerich & Payne                                Common Stock          423452101                  306              13,500
Hershey Foods Corp.                              Common Stock          427866108                  794              14,180
Hewlett-Packard Co.                              Common Stock          428236103               19,374             285,696
Hillenbrand Industry Inc.                        Common Stock          431573104                  931              20,153
Hoechst AG ADR                                   ADR                   434390308                1,353              31,200
Holly Corp. Com Par $0.01                        Common Stock          435758305                    0                   8
Hologic Inc.                                     Common Stock          436440101                   22               2,400
Home Depot Inc.                                  Common Stock          437076102               25,713             413,068
Honeywell Inc.                                   Common Stock          438506107                  369               4,864
Hong Kong Telecom Adr                            ADR                   438579203                  126               6,434


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
General Electric                                      X                                                                     3,000
General Housewares                                                      X                                                   1,000
General Magic Inc.                                    X                                                                       400
General Mills                                         X                                                                     4,368
General Motors Corp.                                  X                 X                                     11,400       91,142
General Motors Corp. - CL H New                       X                                                                       104
Genesee Corp. Cl B                                    X                                                                       625
Gentex Corp.                                          X                                                                     4,000
Genome Therapeutics Corp.                             X                                                                     2,400
Genuine Parts Co.                                     X                                                                     5,905
Georgia-Pacific Corp.                                 X                                                                     1,812
Georgia Pacific Corp. (Timber Group)                  X                                                                     1,674
Gerber Scientific Inc.                                X                                                                     1,200
Gillette Co.                                          X                                                                     7,050
Glacier Bancorp Inc                                   X                                                                     7,172
Glaxo Wellcome PLC - Spons ADR                        X                                                                     5,800
Globe Business Resources Inc.                         X                                                                     1,000
Golden West Finl Corp. Del                            X                                                                       600
Goodrich B.F. Co.                                     X                                                                       240
Goodyear Tire & Rubber Co                             X                                                                     1,376
Grainger WW Inc.                                      X                                                                     1,000
Grupo Televisa, S.A. GDS                              X                                                                     1,100
Guidant Corp.                                         X                                                                       400
H & Q Life Sciences Investors                         X                                                                     6,000
HCR Manor Care Inc                                    X                                                                     1,350
HL&P Capital Trust I-8.125% Tr PFD Sr                 X                                                                     1,000
HRPT Proprties Trust                                  X                                                                     2,200
Halliburton Co.                                       X                                                                    21,183
John Hancock Bank & Thrift                            X                                                                     3,200
John Hancock Patriot Select                           X                                                                     9,150

Page Total:

Hanger Orthopedic Group, Inc.                         X                                                                     2,000
Hanna M A CO                                          X                                                                    19,175
Hanson Plc Spon ADR New                                                                                                       414
Harcourt General Inc.                                                   X                                                   1,115
Harland John H Co                                     X                                                                       600
Harley Davidson, Inc.                                 X                                                                       800
Harris Corp.                                          X                                                                     2,000
Hartford Financial Services Group Inc.                X                 X                                                  25,040
Hasbro Inc.                                           X                                                                     5,812
Hawaiian Elec Inds Inc.                               X                                                                     2,000
Health Management Associates, Inc. Cl                 X                                                                     4,050
Hearst-Argyle Television Inc.                         X                                                                     3,004
H J Heinz Co                                          X                 X                                                  73,648
Helix Technology Inc.                                 X                                                                    51,300
Helmerich & Payne                                     X                 X                                                  13,500
Hershey Foods Corp.                                   X                 X                                                  14,180
Hewlett-Packard Co.                                   X                 X                                                 285,696
Hillenbrand Industry Inc.                             X                                                                    20,153
Hoechst AG ADR                                        X                                                                    31,200
Holly Corp. Com Par $0.01                             X                                                                         8
Hologic Inc.                                          X                                                                     2,400
Home Depot Inc.                                       X                 X                                                 413,068
Honeywell Inc.                                        X                                                                     4,864
Hong Kong Telecom Adr                                 X                                                                     6,434
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
      FORM 13F            NAME OF REPORTING MANAGER:       BARTLETT - INST ID# 71934                    Run Date: 05/10/99
                                                                                                     ----------------------------
                                                           FOR POSITIONS HELD AS OF 3/31/999            S.E.C. Use Only
                                                                                                     ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                      <C>               <C>
Horace Mann Educators                            Common Stock          440327104                2,522             108,745
Hospitality Worldwide Services                   Common Stock          44106N100                    3               1,000
Household International Inc.                     Common Stock          441815107                  205               4,500
Hubbell Inc.  CL B                               Common Stock          443510201                  282               7,052
Hudsons Bay Co -Canada-                          Foreign Stock         444204101                  392              37,100
Huffy Corp.                                      Common Stock          444356109                   14               1,200
Humana Inc.                                      Common Stock          444859102                   38               2,200
Human Genome Sciences Inc.                       Common Stock          444903108                  160               4,625
Huntington Bancshares Inc.                       Common Stock          446150104                6,963             225,049
Hussmann International Inc.                      Common Stock          448110106                   62               4,250
Hutchinson Whampoa - Unsp ADR                    ADR                   448415208                   39               1,000
IBP Inc.                                         Common Stock          449223106                   54               2,900
IMC Global Inc.                                  Common Stock          449669100                   17                 832
IMS Health Inc.                                  Common Stock          449934108                  807              24,354
IRSA - Spon GDR                                  ADR                   450047204                1,410              53,452
IRT Property Co                                  Common Stock          450058102                   21               2,400
ISS Group Inc                                    Common Stock          450306105                   16                 200
I T T Industries Inc.                            Common Stock          450911102                  152               4,300
Illinois Tool Works                              Common Stock          452308109                2,804              45,315
Imation Corp.                                    Common Stock          45245A107                    8                 470
Imperial Tobacco PLC Spon ADR                    ADR                   453142101                   17                 827
Incyte Pharmaceuticals Inc.                      Common Stock          45337C102                    7                 350
The India Fund, Inc.                             Common Stock          454089103                   55               5,900
Indiana Energy Inc.                              Common Stock          454707100                  317              16,726
Indo Metals Ltd                                  Common Stock          455916106                    0               1,000
Ing Groep NV Spons ADR                           ADR                   456837103                   30                 538
Innerdyne Inc                                    Common Stock          45764D102                    6               3,000

Page Total:                                                                                    71,902

Intel Corp.                                      Common Stock          458140100               21,560             180,983
International Business Machines                  Common Stock          459200101               17,189              96,977
International Flavors & Fragrances               Common Stock          459506101                   28                 750
International Multifoods Corp.                   Common Stock          460043102                    5                 200
International Paper Co.                          Common Stock          460146103                   84               2,000
Intl Speedway Corp. Cl A                         Common Stock          460335201                7,211             136,700
Intl Speedway Corp. Cl B                         Common Stock          460335300                  390               7,400
Interpublic Group Companies Inc.                 Common Stock          460690100                   16                 200
Invacare Corp.                                   Common Stock          461203101                  389              16,000
Invesco Global Health Sciences Fund              Common Stock          46128N109                  629              32,780
Iomega Corp.                                     Common Stock          462030107                    2                 400
Ipalco Enterprises Inc.                          Common Stock          462613100                  215               9,786
San Paolo - IMI Spa - Spon ADR                   ADR                   465224103                2,319              72,473
Ito Yokado Ltd ADR - New                         ADR                   465714301                1,677              25,240
Jacor Communications, Inc.                       Common Stock          469858401                    8                 109
The Japan Equity Fund, Inc.                      Common Stock          471057109                   78               9,100
Jefferson-Pilot Corp.                            Common Stock          475070108                   91               1,350
Johnson & Johnson                                Common Stock          478160104                9,280              99,054
Johnson Controls Inc.                            Common Stock          478366107                  742              11,900
Jones Apparel Group, Inc.                        Common Stock          480074103                   20                 700
Jostens Inc.                                     Common Stock          481088102                6,162             289,990
K Mart Corp.                                     Common Stock          482584109                   11                 662
K2 Inc.                                          Common Stock          482732104                   11               1,372
Kansas City Power & Light Co                     Common Stock          485134100                5,259             213,545
Kansas City Southern Ind Inc.                    Common Stock          485170104               67,984           1,192,709
Kaydon Corp.                                     Common Stock          486587108               27,417             947,455
Kellogg Co                                       Common Stock          487836108                   30                 900


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Horace Mann Educators                                 X                                                                     108,745
Hospitality Worldwide Services                        X                                                                       1,000
Household International Inc.                          X                                                                       4,500
Hubbell Inc.  CL B                                    X                 X                                                     7,052
Hudsons Bay Co -Canada-                               X                                                                      37,100
Huffy Corp.                                           X                                                                       1,200
Humana Inc.                                           X                                                                       2,200
Human Genome Sciences Inc.                            X                                                                       4,625
Huntington Bancshares Inc.                            X                                                                     225,049
Hussmann International Inc.                           X                                                                       4,250
Hutchinson Whampoa - Unsp ADR                         X                                                                       1,000
IBP Inc.                                              X                                                                       2,900
IMC Global Inc.                                       X                                                                         832
IMS Health Inc.                                       X                                                                      24,354
IRSA - Spon GDR                                       X                                                                      53,452
IRT Property Co                                       X                                                                       2,400
ISS Group Inc                                         X                                                                         200
I T T Industries Inc.                                 X                 X                                                     4,300
Illinois Tool Works                                   X                 X                                       350          44,965
Imation Corp.                                         X                                                                         470
Imperial Tobacco PLC Spon ADR                                                                                                   827
Incyte Pharmaceuticals Inc.                           X                                                                         350
The India Fund, Inc.                                  X                                                                       5,900
Indiana Energy Inc.                                   X                                                                      16,726
Indo Metals Ltd                                       X                                                                       1,000
Ing Groep NV Spons ADR                                X                                                                         538
Innerdyne Inc                                         X                                                                       3,000

Page Total:

Intel Corp.                                           X                 X                                       400         180,583
International Business Machines                       X                 X                                                    96,977
International Flavors & Fragrances                    X                                                                         750
International Multifoods Corp.                                          X                                                       200
International Paper Co.                               X                                                                       2,000
Intl Speedway Corp. Cl A                              X                                                                     136,700
Intl Speedway Corp. Cl B                              X                                                                       7,400
Interpublic Group Companies Inc.                      X                                                                         200
Invacare Corp.                                        X                                                                      16,000
Invesco Global Health Sciences Fund                   X                                                                      32,780
Iomega Corp.                                          X                                                                         400
Ipalco Enterprises Inc.                                                 X                                                     9,786
San Paolo - IMI Spa - Spon ADR                        X                                                                      72,473
Ito Yokado Ltd ADR - New                              X                                                                      25,240
Jacor Communications, Inc.                            X                                                                         109
The Japan Equity Fund, Inc.                           X                                                                       9,100
Jefferson-Pilot Corp.                                 X                                                                       1,350
Johnson & Johnson                                     X                 X                                                    99,054
Johnson Controls Inc.                                 X                 X                                                    11,900
Jones Apparel Group, Inc.                             X                                                                         700
Jostens Inc.                                          X                                                     142,100         147,890
K Mart Corp.                                          X                                                                         662
K2 Inc.                                               X                                                                       1,372
Kansas City Power & Light Co                          X                                                      80,600         132,945
Kansas City Southern Ind Inc.                         X                 X                                   161,750       1,030,959
Kaydon Corp.                                          X                 X                                   178,800         768,655
Kellogg Co                                            X                                                                         900
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F           NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                   Run Date: 05/10/99
                                                                                                ----------------------------
                                                       FOR POSITIONS HELD AS OF 3/31/999           S.E.C. Use Only
                                                                                                ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>              <C>
Kellwood Co                                      Common Stock          488044108                   55               2,500
Kerr-McGee Corp.                                 Common Stock          492386107                  139               4,234
Keycorp New                                      Common Stock          493267108                1,044              34,450
Keyspan Energy Corp.                             Common Stock          49337K106                  106               4,200
Keystone Financial Inc.                          Common Stock          493482103                   51               1,595
Keywest Energy Corp.                             Foreign Stock         493940100                    0                 400
Kimberly-Clark Corp.                             Common Stock          494368103                1,465              30,556
KIMCO Realty Corp.                               Common Stock          49446R109                   37               1,000
KIMCO Realty 8.5% Cumulative                     Preferred Stock       49446R505                   75               3,000
Kinder Morgan Energy Partners LP                 Common Stock          494550106                1,115              32,192
KMart Financing I 7.75% Conv                     Preferred Stock       498778208                   77               1,275
Kohls Corp. - Wisconsin                          Common Stock          500255104                   94               1,332
Koninklijke Ahold NV-SP ADR                      ADR                   500467303                   65               1,705
Koninklijke Philips Electronrics NV AD           ADR                   500472105                    8                 100
Koo Koo Roo Enterprises Inc                      Common Stock          500481106                    0                 400
Korea Electric Power Corp. ADR                   ADR                   500631106                  115               9,100
Korea Fund Inc.                                  Common Stock          500634100                  896              86,914
Kroger Co.                                       Common Stock          501044101                  623              10,407
LG & E Energy                                    Common Stock          501917108                2,024              97,251
LSI Industries Inc                               Common Stock          50216C108                  843              49,970
LaClede Gas Co                                   Common Stock          505588103                  107               5,100
Laidlaw Inc. New                                 Common Stock          50730K503                   18               3,100
Lakehead Pipeline Partner - LP                   Common Stock          511557100                   25                 558
LAM Research Corp.                               Common Stock          512807108                    3                 100

Page Total:                                                                                   177,796

Lanvision Systems Inc.                           Common Stock          516555109                    3               1,500
Latin American Investment Fd Inc.                Common Stock          518279104                   71               7,000
Latin American Discovery Fd Inc.                 Common Stock          51828C106                    7                 900
Leggett & Platt Inc.                             Common Stock          524660107                  724              36,200
Legg Mason, Inc.                                 Common Stock          524901105                8,083             239,935
Lehman Brothers Holdings                         Common Stock          524908100                   27                 455
Lilly (Eli) & Co.                                Common Stock          532457108                1,313              15,475
Lincoln National Corp.                           Common Stock          534187109                  220               2,225
Littlefuse Inc.                                  Common Stock          537008104                  243              13,200
Little Switzerland Inc.                          Common Stock          537528101                   83              43,000
Lockheed Martin Corp.                            Common Stock          539830109               21,376             567,176
Loews Corp.                                      Common Stock          540424108                9,883             132,440
Louisiana Pacific Corp.                          Common Stock          546347105                   59               3,170
Lowe's Companies, Inc.                           Common Stock          548661107                1,523              25,175
Lubrizol Corp.                                   Common Stock          549271104                   18                 800
Lubys Cafeterias Inc.                            Common Stock          549282101                   43               2,535
Lucent Technologies Inc.                         Common Stock          549463107                4,474              41,521
Lunar Corp.                                      Common Stock          550362107                    2                 300
MAF Bancorp                                      Common Stock          55261R108                  111               4,982
MBIA, Inc.                                       Common Stock          55262C100                  438               7,550
MBNA Corp.                                       Common Stock          55262L100                5,400             226,166
M C N Corp.                                      Common Stock          55267J100                  230              14,288
MCI Capital I 8.00% Cum PFD Ser A                Preferred Stock       55267Y206                   25               1,000
MCI Worldcom Inc.                                Common Stock          55268B106                8,921             100,727
M D U Resources Group, Inc.                      Common Stock          552690109                   41               1,800
MGM Grand Inc.                                   Common Stock          552953101                   55               1,650
Magna International Inc.                         Foreign Stock         559222401                  462               8,050
Mallinckrodt Inc.                                Common Stock          561232109                   20                 750
Mannesmann AG Sponsored ADR                      ADR                   563775303                   83                 650
Manpower Inc.                                    Common Stock          56418H100                   35               1,500

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Kellwood Co                                                         X                                                       2,500
Kerr-McGee Corp.                                  X                 X                                                       4,234
Keycorp New                                       X                 X                                                      34,450
Keyspan Energy Corp.                              X                                                                         4,200
Keystone Financial Inc.                           X                                                                         1,595
Keywest Energy Corp.                              X                                                                           400
Kimberly-Clark Corp.                              X                 X                                                      30,556
KIMCO Realty Corp.                                X                                                                         1,000
KIMCO Realty 8.5% Cumulative                      X                                                                         3,000
Kinder Morgan Energy Partners LP                  X                 X                                                      32,192
KMart Financing I 7.75% Conv                      X                                                                         1,275
Kohls Corp. - Wisconsin                           X                                                                         1,332
Koninklijke Ahold NV-SP ADR                       X                                                                         1,705
Koninklijke Philips Electronrics NV AD            X                                                                           100
Koo Koo Roo Enterprises Inc                                         X                                                         400
Korea Electric Power Corp. ADR                    X                                                                         9,100
Korea Fund Inc.                                   X                                                                        86,914
Kroger Co.                                        X                 X                                                      10,407
LG & E Energy                                     X                 X                                                      97,251
LSI Industries Inc                                X                                                                        49,970
LaClede Gas Co                                    X                                                                         5,100
Laidlaw Inc. New                                  X                                                                         3,100
Lakehead Pipeline Partner - LP                    X                                                                           558
LAM Research Corp.                                X                                                                           100

Page Total:

Lanvision Systems Inc.                            X                                                                         1,500
Latin American Investment Fd Inc.                 X                                                                         7,000
Latin American Discovery Fd Inc.                  X                                                                           900
Leggett & Platt Inc.                              X                                                                        36,200
Legg Mason, Inc.                                  X                 X                                                     239,935
Lehman Brothers Holdings                          X                                                                           455
Lilly (Eli) & Co.                                 X                                                                        15,475
Lincoln National Corp.                            X                                                                         2,225
Littlefuse Inc.                                   X                                                                        13,200
Little Switzerland Inc.                           X                                                                        43,000
Lockheed Martin Corp.                             X                 X                                      95,976         471,200
Loews Corp.                                       X                                                        43,300          89,140
Louisiana Pacific Corp.                           X                                                                         3,170
Lowe's Companies, Inc.                            X                                                                        25,175
Lubrizol Corp.                                    X                                                                           800
Lubys Cafeterias Inc.                             X                                                                         2,535
Lucent Technologies Inc.                          X                 X                                                      41,521
Lunar Corp.                                       X                                                                           300
MAF Bancorp                                       X                                                                         4,982
MBIA, Inc.                                        X                                                                         7,550
MBNA Corp.                                        X                                                                       226,166
M C N Corp.                                       X                                                                        14,288
MCI Capital I 8.00% Cum PFD Ser A                 X                                                                         1,000
MCI Worldcom Inc.                                 X                 X                                                     100,727
M D U Resources Group, Inc.                       X                                                                         1,800
MGM Grand Inc.                                    X                                                                         1,650
Magna International Inc.                          X                                                                         8,050
Mallinckrodt Inc.                                 X                                                                           750
Mannesmann AG Sponsored ADR                       X                                                                           650
Manpower Inc.                                                       X                                                       1,500
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
   FORM 13F         NAME OF REPORTING MANAGER:      BARTLETT - INST ID# 71934                    Run Date: 05/10/99
                                                                                              ----------------------------
                                                    FOR POSITIONS HELD AS OF 3/31/999            S.E.C. Use Only
                                                                                             ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>                <C>
Markel Corp.                                     Common Stock          570535104                   36                 200
Marsh & McLennan                                 Common Stock          571748102                  138               1,860
Marshall & Ilsley Corp.                          Common Stock          571834100                5,986             107,982
Marriott International Cl A                      Common Stock          571903202                   59               1,766
Martin Marietta Materials                        Common Stock          573284106               16,081             281,805
Masco Corp.                                      Common Stock          574599106                  204               7,218
Mascotech Inc.                                   Common Stock          574670105                  161              10,355
Matsushita Elec Ind                              ADR                   576879209                  519               2,682
Mattel Inc.                                      Common Stock          577081102                6,074             244,171
May Department Stores                            Common Stock          577778103                1,783              45,569
McCormick & Co Non Voting                        Common Stock          579780206                2,749              94,793
McDermott International Inc.                     Common Stock          580037109                  149               5,900
McDonalds Corp.                                  Common Stock          580135101               39,559             873,014
Mckesson HBOC Inc.                               Common Stock          58155Q103                6,513              98,675
McMoran Exploration Co                           Common Stock          582411104                    3                 184
McWhorter Technologies                           Common Stock          582803102                   29               2,100
Mead Corp.                                       Common Stock          582834107                  187               6,080
Media General Inc. Class A                       Common Stock          584404107                   37                 800
MediaOne Group Inc.                              Common Stock          58440J104               17,245             271,568
Meditrust Corp. (Paired CTF)                     Common Stock          58501T306                    7                 600
MedPartners, Inc.                                Common Stock          58503X107                    4                 811

Page Total:                                                                                   161,495

Medtronic Inc.                                   Common Stock          585055106                  489               6,821
Mellon Bank Corp.                                Common Stock          585509102               26,063             370,345
Mercantile Bancorporation                        Common Stock          587342106                   68               1,428
Mercantile Bankshares Corp.                      Common Stock          587405101                  142               3,825
Merck & Co Inc.                                  Common Stock          589331107               37,300             465,158
Mercury Finance Co                               Common Stock          589395102                    1              12,324
Meridian Diagnostics Inc.                        Common Stock          589602101                   11               1,700
Merrill Lynch & Co                               Common Stock          590188108                  283               3,200
Merrill Lynch Capt Trust II                      Preferred Stock       59021C203                   29               1,100
Merry Land Properties Inc                        Common Stock          590441101                    1                  87
Mesa Offshore Tr Units Of Ben Int                Common Stock          590650107                    0               1,000
Mexico Equity and Income Fund Inc.               Common Stock          592834105                   12               1,777
Mexico Fund                                      Common Stock          592835102                   10                 666
Microsoft Corp.                                  Common Stock          594918104               18,648             208,072
Midas Inc.                                       Common Stock          595626102                   47               1,414
The Midland Co                                   Common Stock          597486109                   72               3,000
Milacron Inc                                     Common Stock          598709103                  390              24,753
Milacron Inc 4% PFD                              Preferred Stock       598709202                    4                 108
Millenium Pharmaceuticals                        Common Stock          599902103                   26                 825
Millenium Chemicals Inc.                         Common Stock          599903101                    5                 236
Miller Herman Inc.                               Common Stock          600544100                   44               2,400
Mineral Mountain Mining                          Common Stock          602873101                    0                 333
Minnesota Mining & Manufacturing Co.             Common Stock          604059105                1,725              24,376
Minnesota Pwr & Light                            Common Stock          604110106                  163               8,260
Mirage Resorts Inc.                              Common Stock          60462E104                  163               7,650
Mitcham Industries Inc                           Common Stock          606501104                    1                 250
Mitchell Energy & Dev Corp.  CL B                Common Stock          606592301                    1                 100
Mobil Corp.                                      Common Stock          607059102                2,019              22,943
Modis Professional Services                      Common Stock          607830106                    5                 600
Molex Inc.                                       Common Stock          608554101                1,335              45,463
Molex Inc. Cl A                                  Common Stock          608554200               18,920             731,224
Monsanto Co.                                     Common Stock          611662107                1,253              27,275
Mony Group Inc.                                  Common Stock          615337102                   10                 408


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Markel Corp.                                          X                                                                       200
Marsh & McLennan                                      X                 X                                                   1,860
Marshall & Ilsley Corp.                               X                                                       13,900       94,082
Marriott International Cl A                           X                 X                                                   1,766
Martin Marietta Materials                             X                 X                                     50,971      230,834
Masco Corp.                                           X                 X                                                   7,218
Mascotech Inc.                                        X                 X                                                  10,355
Matsushita Elec Ind                                   X                                                                     2,682
Mattel Inc.                                           X                                                       31,400      212,771
May Department Stores                                 X                 X                                                  45,569
McCormick & Co Non Voting                             X                 X                                      1,000       93,793
McDermott International Inc.                          X                 X                                                   5,900
McDonalds Corp.                                       X                 X                                    124,200      748,814
Mckesson HBOC Inc.                                    X                                                       11,000       87,675
McMoran Exploration Co                                X                                                                       184
McWhorter Technologies                                X                                                                     2,100
Mead Corp.                                            X                 X                                                   6,080
Media General Inc. Class A                                              X                                                     800
MediaOne Group Inc.                                   X                 X                                                 271,568
Meditrust Corp. (Paired CTF)                          X                                                                       600
MedPartners, Inc.                                     X                                                                       811

Page Total:

Medtronic Inc.                                        X                                                                     6,821
Mellon Bank Corp.                                     X                 X                                                 370,345
Mercantile Bancorporation                             X                                                                     1,428
Mercantile Bankshares Corp.                           X                 X                                                   3,825
Merck & Co Inc.                                       X                 X                                     17,400      447,758
Mercury Finance Co                                    X                                                                    12,324
Meridian Diagnostics Inc.                             X                 X                                                   1,700
Merrill Lynch & Co                                    X                                                                     3,200
Merrill Lynch Capt Trust II                           X                                                                     1,100
Merry Land Properties Inc                             X                                                                        87
Mesa Offshore Tr Units Of Ben Int                     X                                                                     1,000
Mexico Equity and Income Fund Inc.                    X                                                                     1,777
Mexico Fund                                           X                                                                       666
Microsoft Corp.                                       X                 X                                      1,200      206,872
Midas Inc.                                            X                                                                     1,414
The Midland Co                                        X                                                                     3,000
Milacron Inc                                          X                                                                    24,753
Milacron Inc 4% PFD                                   X                                                                       108
Millenium Pharmaceuticals                             X                                                                       825
Millenium Chemicals Inc.                                                                                                      236
Miller Herman Inc.                                    X                                                                     2,400
Mineral Mountain Mining                               X                                                                       333
Minnesota Mining & Manufacturing Co.                  X                                                                    24,376
Minnesota Pwr & Light                                 X                                                                     8,260
Mirage Resorts Inc.                                   X                                                                     7,650
Mitcham Industries Inc                                X                                                                       250
Mitchell Energy & Dev Corp.  CL B                     X                                                                       100
Mobil Corp.                                           X                 X                                                  22,943
Modis Professional Services                           X                                                                       600
Molex Inc.                                            X                                                                    45,463
Molex Inc. Cl A                                       X                 X                                    138,300      592,924
Monsanto Co.                                          X                 X                                                  27,275
Mony Group Inc.                                       X                                                                       408
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F       NAME OF REPORTING MANAGER:       BARTLETT - INST ID# 71934                    Run Date: 05/10/99
                                                                                              ----------------------------
                                                    FOR POSITIONS HELD AS OF 3/31/999            S.E.C. Use Only
                                                                                              ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                          <C>               <C>
Moore Ltd                                        Common Stock          615785102                    4                 450
J P Morgan & Co.                                 Common Stock          616880100                9,830              79,680
Morgan JP & Co Inc. Adj Rate                     Preferred Stock       616880209                1,284              14,150
Morgan Stanley Africa                            Common Stock          617444104                    5                 500
Morgan St Dean Witter Discover & Co              Common Stock          617446448                  858               8,583
Morgan Stanley Emerging Mkts Fund                Common Stock          61744G107                   57               6,000
Morgan Stanley India Fund                        Common Stock          61745C105                  290              31,800
Morrison Health Care Inc.                        Common Stock          61841L108                   11                 613
Morton Intl Inc. New                             Common Stock          619335102                   83               2,250
Motorola Inc.                                    Common Stock          620076109                1,494              20,390
Myriad Genetics Inc                              Common Stock          62855J104                    7                 750
NCR Corp.                                        Common Stock          62886E108                   23                 461
Nipsco Industries Inc.                           Common Stock          629140104                  733              27,150
NSP Financing I-7.875% Tr PFD                    Preferred Stock       629384207                   26               1,000
NTN Communications Inc.                          Common Stock          629410309                    0                   5
Nabisco Hldgs Corp.                              Common Stock          629526104                  898              21,600
National Australia Bank LTD Spon ADR             ADR                   632525408                2,674              29,628
National City Corp.                              Common Stock          635405103               13,289             200,215

Page Total:                                                                                   140,807

National Presto Industries Incorporate           Common Stock          637215104                   35               1,000
National Service Industries Inc.                 Common Stock          637657107                  191               5,600
Navistar International Corp.                     Common Stock          63934E108                    3                  70
Neon System Inc.                                 Common Stock          640509105                   11                 200
Networks Associates Inc.                         Common Stock          640938106                   80               2,600
Nestle SA Sponsored ADR                          ADR                   641069406                5,167              56,888
New Century Energies Inc.                        Common Stock          64352U103                  318               9,350
New England Electric System                      Common Stock          644001109                  129               2,662
New Germany Fund Inc.                            Common Stock          644465106                   88               7,372
New York Times Co.                               Common Stock          650111107                  188               6,600
Newell Rubbermaid Inc.                           Common Stock          651229106                1,090              22,941
Newmont Mining Corp.                             Common Stock          651639106                   63               3,593
Newpark Resources Inc. Com Par $0.01             Common Stock          651718504                  253              34,932
Newport News and Shipbuilding                    Common Stock          652228107                    4                 140
The News Corp. Ltd                               Preferred Stock       652487802                   87               3,179
Niagara Mohawk Holdings Inc.                     Common Stock          653520106                    0                  25
Nielsen Media Research                           Common Stock          653929307                   91               3,706
Nike Inc.                                        Common Stock          654106103                  704              12,200
Noble Affiliates Inc.                            Common Stock          654894104                   30               1,019
Nokia Corp. Sponsored ADR                        ADR                   654902204                  592               3,800
Nordstrom Inc.                                   Common Stock          655664100                   41               1,000
Norfolk Southern Corp.                           Common Stock          655844108                3,374             127,922
Norfolk Southern Railway Co.                     Preferred Stock       655855203                    5                 118
Norsk Hydro As Adr                               ADR                   656531605                1,201              29,750
North Carolina Natural Gas Corp.                 Common Stock          658221106                  556              18,289
Northern Mineral Co                              Common Stock          665415105                    0                  38
Northern States Power Co                         Common Stock          665772109                   64               2,780
Northern Telecom Ltd.                            Common Stock          665815106                2,818              45,360
Northern Trust Corp.                             Common Stock          665859104                  240               2,700
Northwest Airlines Corporation Class A           Common Stock          667280101                    8                 300
Northwest Natural Gas Co                         Common Stock          667655104                   18                 825
Novartis AG-ADR                                  ADR                   66987V109                  965              11,893
Novell, Inc.                                     Common Stock          670006105                   28               1,100
Novo-Nordisk A/S ADR                             ADR                   670100205                  131               2,400
Nucor Corp.                                      Common Stock          670346105                   94               2,122
OEA Inc                                          Common Stock          670826106                    4                 500


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Moore Ltd                                            X                                                                       450
J P Morgan & Co.                                     X                 X                                        250       79,430
Morgan JP & Co Inc. Adj Rate                         X                                                                    14,150
Morgan Stanley Africa                                X                                                                       500
Morgan St Dean Witter Discover & Co                  X                                                                     8,583
Morgan Stanley Emerging Mkts Fund                    X                                                                     6,000
Morgan Stanley India Fund                            X                                                                    31,800
Morrison Health Care Inc.                            X                                                                       613
Morton Intl Inc. New                                 X                 X                                                   2,250
Motorola Inc.                                        X                 X                                         300      20,090
Myriad Genetics Inc                                  X                                                                       750
NCR Corp.                                            X                                                                       461
Nipsco Industries Inc.                               X                                                                    27,150
NSP Financing I-7.875% Tr PFD                        X                                                                     1,000
NTN Communications Inc.                              X                                                                         5
Nabisco Hldgs Corp.                                  X                                                        10,000      11,600
National Australia Bank LTD Spon ADR                 X                                                                    29,628
National City Corp.                                  X                 X                                      16,500     183,715

Page Total:

National Presto Industries Incorporate               X                                                                     1,000
National Service Industries Inc.                     X                                                                     5,600
Navistar International Corp.                         X                                                                        70
Neon System Inc.                                     X                                                                       200
Networks Associates Inc.                             X                                                                     2,600
Nestle SA Sponsored ADR                              X                 X                                                  56,888
New Century Energies Inc.                            X                                                                     9,350
New England Electric System                          X                                                                     2,662
New Germany Fund Inc.                                X                                                                     7,372
New York Times Co.                                   X                                                                     6,600
Newell Rubbermaid Inc.                               X                                                                    22,941
Newmont Mining Corp.                                 X                 X                                                   3,593
Newpark Resources Inc. Com Par $0.01                 X                                                                    34,932
Newport News and Shipbuilding                                                                                                140
The News Corp. Ltd                                   X                                                                     3,179
Niagara Mohawk Holdings Inc.                         X                                                                        25
Nielsen Media Research                               X                                                                     3,706
Nike Inc.                                            X                                                                    12,200
Noble Affiliates Inc.                                X                                                                     1,019
Nokia Corp. Sponsored ADR                            X                 X                                                   3,800
Nordstrom Inc.                                       X                                                                     1,000
Norfolk Southern Corp.                               X                 X                                       1,500     126,422
Norfolk Southern Railway Co.                         X                                                                       118
Norsk Hydro As Adr                                   X                                                                    29,750
North Carolina Natural Gas Corp.                     X                                                                    18,289
Northern Mineral Co                                  X                                                                        38
Northern States Power Co                             X                                                                     2,780
Northern Telecom Ltd.                                X                                                                    45,360
Northern Trust Corp.                                                   X                                                   2,700
Northwest Airlines Corporation Class A               X                                                                       300
Northwest Natural Gas Co                             X                                                                       825
Novartis AG-ADR                                      X                 X                                                  11,893
Novell, Inc.                                         X                                                                     1,100
Novo-Nordisk A/S ADR                                 X                 X                                                   2,400
Nucor Corp.                                          X                                                                     2,122
OEA Inc                                              X                                                                       500
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
 FORM 13F         NAME OF REPORTING MANAGER:       BARTLETT - INST ID# 71934                     Run Date: 05/10/99
                                                                                              ----------------------------
                                                   FOR POSITIONS HELD AS OF 3/31/999             S.E.C. Use Only
                                                                                              ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                        <C>               <C>
OGE Energy Corp.                                 Common Stock          670837103                  171               7,600
Ogden Corp.                                      Common Stock          676346109                   84               3,500
Ohio Casualty Corp.                              Common Stock          677240103                1,034              26,524
Old Kent Financial Corp.                         Common Stock          679833103                9,158             216,749
Olsten Corp.                                     Common Stock          681385100                  171              27,555
Omnicare Inc.                                    Common Stock          681904108                    5                 250
Omega Healthcare Investors, Inc.                 Common Stock          681936100                   18                 800
Omega Worldwide Inc.                             Common Stock          68210B108                    1                 265
On Command Corp.                                 Common Stock          682160106                    5                 580
WTS On Command Corp.                             Common Stock          682160122                    0                 188
Online System Services Inc.                      Common Stock          682731104                   20               1,500
Oracle Systems Corp.                             Common Stock          68389X105                  112               4,237
Orange & Rockland                                Common Stock          684065105                   46                 800
Oregon Steel Mills Inc.                          Common Stock          686079104                   10               1,000
Oshkosh Truck Corp. Class B                      Common Stock          688239201                  241               7,400

Page Total:                                                                                    29,749

Outback Steakhouse Inc.                          Common Stock          689899102                  138               4,200
PECO Energy Capital L P 9%                       Preferred Stock       693303208                   94               3,700
P G & E Corp.                                    Common Stock          69331C108                   19                 600
PLC Capital LLC 9% Cum Ser A                     Preferred Stock       693405201                   10                 415
PLC Capital Trust I 8.25%                        Preferred Stock       693406209                   26               1,000
PMC Capital Inc.                                 Common Stock          693430100                   70               8,350
PMI Group Inc.                                   Common Stock          69344M101                   14                 300
P N C Financial Corp.                            Common Stock          693475105                4,096              73,712
P P & L Resources, Inc.                          Common Stock          693499105                    7                 263
PPG Industries, Inc.                             Common Stock          693506107                  684              13,350
Paccar Inc.                                      Common Stock          693718108                  203               4,925
Pacific Century Financial Corp.                  Common Stock          694058108                   17                 796
Pacific Enterprises                              Preferred Stock       694232604                   31                 350
Pacific Telesis Finance TOPRS                    Preferred Stock       694887209                   13                 500
Pacificare Health Systems CL B                   Common Stock          695112201                   10                 150
Pacificorp                                       Common Stock          695114108                   52               3,000
Paine Webber Group                               Common Stock          695629105                   90               2,250
Pall Corp.                                       Common Stock          696429307                   40               2,400
Panda Project Inc.                               Common Stock          69833F104                    0                   5
Parker Hannifin Corp.                            Common Stock          701094104                   35               1,012
Payless Shoesource Inc.                          Common Stock          704379106                   24                 512
Penney (J C) Co Inc.                             Common Stock          708160106                  546              13,476
Penton Media Inc.                                Common Stock          709668107                   16                 694
Peoples Energy Corp.                             Common Stock          711030106                   68               2,100
PeopleSoft Inc.                                  Common Stock          712713106                   44               3,000
PepsiCo, Inc.                                    Common Stock          713448108                2,113              53,916
Perlis Plantations-Unsp ADR                      ADR                   713900207                    9              11,000
Perkin Elmer Corp.                               Common Stock          714041100                   19                 200
Petrie Stores Liquidation                        Common Stock          716437108                    1                 450
Pharmacia & UpJohn Inc.                          Common Stock          716941109                  461               7,395
Pfizer Inc.                                      Common Stock          717081103               27,476             198,023
Philip Morris Companies Inc.                     Common Stock          718154107               18,987             539,593
Phillips Petroleum Co.                           Common Stock          718507106               17,963             380,161
Phoenix Intl Life Sciences                       Foreign Stock         718919103                    9               1,000
Phoenix Medical Technology Inc.                  Common Stock          719095101                    0               1,000
Piedmont Natural Gas Co                          Common Stock          720186105                   28                 800
Pier 1 Imports Inc.                              Common Stock          720279108                    8               1,000
Pioneer Natural Resources Co                     Common Stock          723787107                    0                  42
Pioneer Standard                                 Common Stock          723877106                1,922             292,850

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
OGE Energy Corp.                                  X                                                                         7,600
Ogden Corp.                                       X                 X                                                       3,500
Ohio Casualty Corp.                               X                 X                                                      26,524
Old Kent Financial Corp.                          X                 X                                     5,119           211,630
Olsten Corp.                                      X                 X                                                      27,555
Omnicare Inc.                                     X                                                                           250
Omega Healthcare Investors, Inc.                  X                                                                           800
Omega Worldwide Inc.                              X                                                                           265
On Command Corp.                                  X                                                         580
WTS On Command Corp.                              X                                                         188
Online System Services Inc.                       X                                                                         1,500
Oracle Systems Corp.                              X                                                                         4,237
Orange & Rockland                                 X                                                                           800
Oregon Steel Mills Inc.                           X                                                                         1,000
Oshkosh Truck Corp. Class B                       X                 X                                                       7,400

Page Total:

Outback Steakhouse Inc.                           X                                                                         4,200
PECO Energy Capital L P 9%                        X                                                                         3,700
P G & E Corp.                                     X                                                                           600
PLC Capital LLC 9% Cum Ser A                      X                                                                           415
PLC Capital Trust I 8.25%                         X                                                                         1,000
PMC Capital Inc.                                  X                                                                         8,350
PMI Group Inc.                                    X                                                                           300
P N C Financial Corp.                             X                 X                                                      73,712
P P & L Resources, Inc.                           X                                                                           263
PPG Industries, Inc.                              X                 X                                                      13,350
Paccar Inc.                                       X                                                                         4,925
Pacific Century Financial Corp.                   X                                                                           796
Pacific Enterprises                                                 X                                                         350
Pacific Telesis Finance TOPRS                     X                                                                           500
Pacificare Health Systems CL B                    X                                                                           150
Pacificorp                                        X                                                                         3,000
Paine Webber Group                                X                                                                         2,250
Pall Corp.                                        X                 X                                                       2,400
Panda Project Inc.                                X                                                                             5
Parker Hannifin Corp.                             X                                                                         1,012
Payless Shoesource Inc.                           X                                                                           512
Penney (J C) Co Inc.                              X                 X                                                      13,476
Penton Media Inc.                                 X                                                                           694
Peoples Energy Corp.                              X                                                                         2,100
PeopleSoft Inc.                                   X                                                                         3,000
PepsiCo, Inc.                                     X                 X                                                      53,916
Perlis Plantations-Unsp ADR                       X                                                                        11,000
Perkin Elmer Corp.                                X                                                                           200
Petrie Stores Liquidation                         X                                                                           450
Pharmacia & UpJohn Inc.                           X                                                                         7,395
Pfizer Inc.                                       X                 X                                                     198,023
Philip Morris Companies Inc.                      X                 X                                     8,200           531,393
Phillips Petroleum Co.                            X                 X                                    57,600           322,561
Phoenix Intl Life Sciences                        X                                                                         1,000
Phoenix Medical Technology Inc.                   X                                                                         1,000
Piedmont Natural Gas Co                           X                                                                           800
Pier 1 Imports Inc.                               X                                                                         1,000
Pioneer Natural Resources Co                      X                                                                            42
Pioneer Standard                                  X                                                     170,700           122,150
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
 FORM 13F        NAME OF REPORTING MANAGER:        BARTLETT - INST ID# 71934                    Run Date: 05/10/99
                                                                                             ----------------------------
                                                   FOR POSITIONS HELD AS OF 3/31/999            S.E.C. Use Only
                                                                                             ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                      <C>                <C>
Pitney-Bowes, Inc.                               Common Stock          724479100                3,127              49,055
Pittway Corp.                                    Common Stock          725790109                    8                 300
Pittway Corp. Class A                            Common Stock          725790208                   29               1,088
Placer Dome Inc.                                 Common Stock          725906101                   23               2,042
Plains Resources Inc. New                        Common Stock          726540503                   30               2,000
Playtex Products Inc.                            Common Stock          72813P100                   91               6,000
Plum Creek Timber Co L P                         Common Stock          729237107                   55               1,920
Pohang Iron & Steel Co, Ltd ADS                  ADR                   730450103                  760              42,519
Pomeroy Computer Resources Inc.                  Common Stock          731822102                   40               3,058

Page Total:                                                                                    79,501


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                               .   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Pitney-Bowes, Inc.                                  X                                                                    49,055
Pittway Corp.                                       X                                                                       300
Pittway Corp. Class A                               X                                                                     1,088
Placer Dome Inc.                                    X                                                                     2,042
Plains Resources Inc. New                           X                                                                     2,000
Playtex Products Inc.                               X                                                                     6,000
Plum Creek Timber Co L P                            X                                                                     1,920
Pohang Iron & Steel Co, Ltd ADS                     X                                                                    42,519
Pomeroy Computer Resources Inc.                     X                 X                                                   3,058

Page Total:

</TABLE>

<PAGE>

<TABLE>
<CAPTION>
  FORM 13F       NAME OF REPORTING MANAGER:          BARTLETT - INST ID# 71934                Run Date: 05/10/99
                                                                                           ----------------------------
                                                     FOR POSITIONS HELD AS OF 3/31/999        S.E.C. Use Only
                                                                                           ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                        <C>              <C>
Portugal Fund Inc.                               Common Stock          737265108                  629              46,200
Post Properties Inc.                             Common Stock          737464107                   32                 900
Potash Corp. of Saskatchewan                     Foreign Stock         73755L107               15,415             288,125
Potomac Electric Power Co                        Common Stock          737679100                   35               1,500
Praxair Inc.                                     Common Stock          74005P104                   36               1,000
Premark International                            Common Stock          740459102                    4                 108
Premier Parks Inc                                Common Stock          740540208                1,241              33,310
Primark Corp.                                    Common Stock          741903108                   13                 600
Pride International Inc.                         Common Stock          741932107                   41               5,000
Procter & Gamble Co.                             Common Stock          742718109               46,383             473,591
Provident Companies Inc.                         Common Stock          743862104                   35               1,000
Provident Financial GRP                          Common Stock          743866105                  208               5,410
Providian Financial Corp.                        Common Stock          74406A102                  864               7,850
Public Service Enterprise Group                  Common Stock          744573106                   61               1,604
Public Storage Inc.                              Common Stock          74460D109                    4                 178
Pulitzer Inc                                     Common Stock          745769109                   74               1,833
Q M S Inc.                                       Common Stock          74726G102                    3               1,000
Quaker Oats                                      Common Stock          747402105                   75               1,200
Quality Dining Inc                               Common Stock          74756P105                    6               2,000
Questar Corp.                                    Common Stock          748356102                   27               1,600
Qwest Communications Intl                        Common Stock          749121109                   14                 200
R & B Falcon Corp.                               Common Stock          74912E101                   13               1,526
R.H. Donnelly Corp.                              Common Stock          74955W307                   37               2,366
RJR Nabisco Holdings Corp.                       Common Stock          74960K876                2,534             101,364
R.O.C. Taiwan Fund                               Common Stock          749651105                   10               1,500
RPM Inc. - Ohio                                  Common Stock          749685103                    2                 156
Ralston-Ralston Purina Group                     Common Stock          751277302                   68               2,562
Ramtron International Corp.                      Common Stock          751907106                    1               2,000
Raymond James Financial Inc.                     Common Stock          754730109                   22               1,125
Rayonier Inc.                                    Common Stock          754907103                   19                 475
Raytheon Co- Cl A                                Common Stock          755111309                  110               1,904
Raytheon Co-Cl B                                 Common Stock          755111408                1,211              20,662
Regeneron Pharmaceuticals Inc.                   Common Stock          75886F107                    3                 500
Regions Financial Corp.                          Common Stock          758940100                2,563              74,016
Registry Magic Inc                               Common Stock          75913K103                   18               2,000
Reliant Energy Inc                               Common Stock          75952J108                  348              13,364
Reliastar Financial Corp.                        Common Stock          75952U103                   51               1,200
Repsol S.A. ADR                                  ADR                   76026T205                2,132              41,600
Rex Stores Corp.                                 Common Stock          761624105                   27               2,300
Rexall Sundown Inc.                              Common Stock          761648104                    6                 300
Reynolds & Reynolds Co CL A                      Common Stock          761695105                   10                 500
Rhone-Poulenc SA - Spons ADR                     ADR                   762426609                   37                 840
Rio Tinto PLC - Sponsored ADR                    ADR                   767204100                1,645              29,918
Roche Holdings Ltd Spons ADR                     ADR                   771195104                  134               1,100
Rockwell International Corp.                     Common Stock          773903109                   42               1,000
Rohm & Haas                                      Common Stock          775371107                  191               5,700
Rollins Inc.                                     Common Stock          775711104                   17               1,000

Page Total:                                                                                    76,452


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Portugal Fund Inc.                                    X                                                                    46,200
Post Properties Inc.                                  X                                                                       900
Potash Corp. of Saskatchewan                          X                                                       63,300      224,825
Potomac Electric Power Co                             X                                                                     1,500
Praxair Inc.                                          X                                                                     1,000
Premark International                                 X                                                                       108
Premier Parks Inc                                     X                                                                    33,310
Primark Corp.                                         X                                                                       600
Pride International Inc.                              X                                                                     5,000
Procter & Gamble Co.                                  X                 X                                                 473,591
Provident Companies Inc.                              X                                                                     1,000
Provident Financial GRP                               X                                                                     5,410
Providian Financial Corp.                             X                                                                     7,850
Public Service Enterprise Group                       X                                                                     1,604
Public Storage Inc.                                   X                                                                       178
Pulitzer Inc                                          X                                                                     1,833
Q M S Inc.                                            X                                                                     1,000
Quaker Oats                                           X                                                                     1,200
Quality Dining Inc                                    X                                                                     2,000
Questar Corp.                                         X                                                                     1,600
Qwest Communications Intl                             X                                                                       200
R & B Falcon Corp.                                    X                                                                     1,526
R.H. Donnelly Corp.                                   X                                                                     2,366
RJR Nabisco Holdings Corp.                            X                                                       60,400       40,964
R.O.C. Taiwan Fund                                    X                                                                     1,500
RPM Inc. - Ohio                                       X                                                                       156
Ralston-Ralston Purina Group                          X                                                                     2,562
Ramtron International Corp.                           X                                                        2,000
Raymond James Financial Inc.                          X                                                                     1,125
Rayonier Inc.                                         X                 X                                                     475
Raytheon Co- Cl A                                     X                 X                                        304        1,600
Raytheon Co-Cl B                                      X                 X                                                  20,662
Regeneron Pharmaceuticals Inc.                        X                                                                       500
Regions Financial Corp.                               X                 X                                      6,900       67,116
Registry Magic Inc                                    X                                                                     2,000
Reliant Energy Inc                                    X                 X                                                  13,364
Reliastar Financial Corp.                             X                                                                     1,200
Repsol S.A. ADR                                       X                                                        2,500       39,100
Rex Stores Corp.                                      X                                                                     2,300
Rexall Sundown Inc.                                   X                                                                       300
Reynolds & Reynolds Co CL A                           X                                                                       500
Rhone-Poulenc SA - Spons ADR                          X                                                                       840
Rio Tinto PLC - Sponsored ADR                         X                                                                    29,918
Roche Holdings Ltd Spons ADR                          X                                                                     1,100
Rockwell International Corp.                          X                                                                     1,000
Rohm & Haas                                           X                                                                     5,700
Rollins Inc.                                          X                                                                     1,000

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F            NAME OF REPORTING MANAGER:     BARTLETT - INST ID# 71934                     Run Date: 05/10/99
                                                                                                  ----------------------------
                                                       FOR POSITIONS HELD AS OF 3/31/999             S.E.C. Use Only
                                                                                                  ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>                <C>
Royal Bank of Scotland Grp PLC                   Preferred Stock       780097309                   16                 600
The Royal Bank of Scotland Grp Plc Pfd           Preferred Stock       780097507                   13                 500
Royal Dutch Petroleum Co ADR                     ADR                   780257804                4,913              94,482
Royce Value Tr Inc.                              Common Stock          780910105                4,284             378,694
Royce Micro Cap Trust Inc.                       Common Stock          780915104                   33               4,417
Ruby Tuesday Inc.                                Common Stock          781182100                   32               1,840
SBC Communications Inc.                          Common Stock          78387G103                1,796              38,110
S C I Systems Inc.                               Common Stock          783890106                   55               1,850
SLM Holding Corp.                                Common Stock          78442A109                  138               3,300
Standard & Poors DEP Receipts                    Common Stock          78462F103                   11                  87
Safeway Inc.                                     Common Stock          786514208                    7                 134
St. Mary Land & Exploration                      Common Stock          792228108                2,862             164,704
St. Paul Companies Inc.                          Common Stock          792860108                  137               4,400
Saks Incorporated                                Common Stock          79377W108                    1                  41
Salomon Brothers Fd Inc.                         Common Stock          795477108                   24               1,373
San Juan Basin Royalty Tr - UBI                  Common Stock          798241105                   10               1,500
Santa Fe Energy Resources Inc                    Common Stock          802012104                    1                 186
Sara Lee Corp.                                   Common Stock          803111103                  474              19,155
Saville Systems Ireland Ltd                      ADR                   805174109                    6                 500
Schering-Plough Corp.                            Common Stock          806605101               31,148             563,121
Schlumberger Limited                             Common Stock          806857108                7,268             120,759
Schwab Charles Corp.                             Common Stock          808513105                   43                 450
Schweitzer-Mauduit Intl                          Common Stock          808541106                    1                  84
Scientific-Atlanta Inc.                          Common Stock          808655104                   94               3,450
Scitex Corp. Ltd Ord                             Common Stock          809090103                    9                 926
The Scotts Co Class A                            Common Stock          810186106                  262               7,000
Scudder New Europe Fd                            Common Stock          810905109                  141               7,400
Scripps Co E W Cl A                              Common Stock          811054204                   80               1,800
Jos E. Seagram & Sons Inc SR                     Preferred Stock       811845205                   51               2,000
The Seagram Co Ltd                               Common Stock          811850106                  200               4,000
Sealed Air Corp.                                 Common Stock          81211K100                   84               1,700
Sears Roebuck & Co                               Common Stock          812387108                  322               7,133
Secom Co Ltd Adr                                 ADR                   813113206                   90                 475
Seitel Inc. New                                  Common Stock          816074306                   42               3,000
Sempra Energy                                    Common Stock          816851109                   38               2,000
Sepracor Inc.                                    Common Stock          817315104                   22                 200
Service Corp. International                      Common Stock          817565104                9,989             701,000
Servicemaster Co                                 Common Stock          81760N109                  892              43,933
Shanghai Petro Co LTD ADR CL H                   ADR                   819424102                    4                 400
Shaw Communications Inc                          Common Stock          82028K200                2,050              63,700
Shell Transport & Trading PLC                    ADR                   822703609                  712              17,520
Sherwin Williams Corp.                           Common Stock          824348106                   62               2,200
Shopsmith Inc                                    Common Stock          825098106                    0                 500
Siemens AG ADR New                               ADR                   826197402                  120               1,800
Sigma-Aldrich Corp.                              Common Stock          826552101                  690              23,590
Silicon Graphics Inc.                            Common Stock          827056102                   25               1,500
Sky Financial Group Inc                          Common Stock          83080P103                  166               6,141

Page Total:                                                                                    69,420

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Royal Bank of Scotland Grp PLC                       X                                                                       600
The Royal Bank of Scotland Grp Plc Pfd               X                                                                       500
Royal Dutch Petroleum Co ADR                         X                 X                                        600       93,882
Royce Value Tr Inc.                                  X                                                       64,831      313,863
Royce Micro Cap Trust Inc.                           X                                                                     4,417
Ruby Tuesday Inc.                                    X                                                                     1,840
SBC Communications Inc.                              X                 X                                        700       37,410
S C I Systems Inc.                                   X                                                                     1,850
SLM Holding Corp.                                    X                                                                     3,300
Standard & Poors DEP Receipts                        X                                                                        87
Safeway Inc.                                         X                                                                       134
St. Mary Land & Exploration                          X                                                       11,900      152,804
St. Paul Companies Inc.                              X                                                                     4,400
Saks Incorporated                                    X                                                                        41
Salomon Brothers Fd Inc.                             X                                                                     1,373
San Juan Basin Royalty Tr - UBI                      X                                                                     1,500
Santa Fe Energy Resources Inc                                          X                                                     186
Sara Lee Corp.                                       X                 X                                                  19,155
Saville Systems Ireland Ltd                          X                                                                       500
Schering-Plough Corp.                                X                 X                                                 563,121
Schlumberger Limited                                 X                 X                                      7,200      113,559
Schwab Charles Corp.                                 X                                                                       450
Schweitzer-Mauduit Intl                              X                                                                        84
Scientific-Atlanta Inc.                              X                                                                     3,450
Scitex Corp. Ltd Ord                                                                                                         926
The Scotts Co Class A                                X                 X                                                   7,000
Scudder New Europe Fd                                X                 X                                                   7,400
Scripps Co E W Cl A                                  X                                                                     1,800
Jos E. Seagram & Sons Inc SR                         X                                                                     2,000
The Seagram Co Ltd                                   X                                                                     4,000
Sealed Air Corp.                                     X                                                                     1,700
Sears Roebuck & Co                                   X                 X                                                   7,133
Secom Co Ltd Adr                                     X                                                                       475
Seitel Inc. New                                      X                                                                     3,000
Sempra Energy                                        X                                                                     2,000
Sepracor Inc.                                        X                                                                       200
Service Corp. International                          X                                                      191,100      509,900
Servicemaster Co                                     X                                                                    43,933
Shanghai Petro Co LTD ADR CL H                       X                                                                       400
Shaw Communications Inc                              X                                                                    63,700
Shell Transport & Trading PLC                        X                                                                    17,520
Sherwin Williams Corp.                               X                                                                     2,200
Shopsmith Inc                                        X                                                                       500
Siemens AG ADR New                                   X                                                                     1,800
Sigma-Aldrich Corp.                                  X                                                                    23,590
Silicon Graphics Inc.                                X                                                                     1,500
Sky Financial Group Inc                              X                                                                     6,141

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
   FORM 13F       NAME OF REPORTING MANAGER:         BARTLETT - INST ID# 71934                     Run Date: 05/10/99
                                                                                                ----------------------------
                                                     FOR POSITIONS HELD AS OF 3/31/999             S.E.C. Use Only
                                                                                                ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                        <C>               <C>
SmithKline Beecham Spons ADR                     ADR                   832378301                  218               3,050
J M Smucker Co.                                  Common Stock          832696108                   71               3,200
J M Smucker Co Cl B                              Common Stock          832696207                  144               8,100
Solectron Corp.                                  Common Stock          834182107                   32                 650
Solutia Inc.                                     Common Stock          834376105                   47               2,724
Sonat Inc.                                       Common Stock          835415100                  119               3,950
Sonoco Products Co                               Common Stock          835495102                    1                  35
Sonus Pharmaceuticals Inc.                       Common Stock          835692104                    2                 200
Sony Corp. ADR                                   ADR                   835699307                1,467              16,067
Sothebys Holdings Inc. - Cl A Ltd Vtg            Common Stock          835898107                    3                 100
Southern Co                                      Common Stock          842587107                   47               2,000
Southern Pacific Petroleum NL ADR                ADR                   843581307                    5               1,375
South Trust Corp.                                Common Stock          844730101                   22                 580
Southwestern Energy Co.                          Common Stock          845467109                  189              26,702
Spacelabs Medical Inc.                           Common Stock          846247104                    8                 500
Spieker Properties, Inc.                         Common Stock          848497103                   42               1,200
Sprint Corp. (FON Group)                         Common Stock          852061100                  753               7,676
Sprint Corp. (PCS Group)                         Common Stock          852061506                  181               4,087
Standard-Pacific Corp.                           Common Stock          85375C101                    1                 100
Staples Inc.                                     Common Stock          855030102                  405              12,312
Starbucks Corp.                                  Common Stock          855244109                   12                 420
L S Starrett Co                                  Common Stock          855668109                   11                 400
L S Starrett Co Cl B                             Common Stock          855668208                   11                 400
State Auto Financial Corp.                       Common Stock          855707105                  272              25,200
Starwood Hotels & Resorts Worldwide In           Common Stock          85590A203                   52               1,836
State Street Corp.                               Common Stock          857477103                  296               3,600
Statefed Financial Corp                          Common Stock          857549109                   20               2,000
Steelcase Inc. - CL A                            Common Stock          858155203                  560              36,900
Steris Corp.                                     Common Stock          859152100                   13                 500
Stewart & Stevenson                              Common Stock          860342104                  363              47,200
Stewart Enterprises CL A                         Common Stock          860370105                    4                 250
Stratus Properties Inc                           Common Stock          863167102                    2                 555
Stride Rite Corp.                                Common Stock          863314100                    1                  59
Structural Dynamics Research                     Common Stock          863555108                   15                 770
Student Loan Mkting                              Preferred Stock       863871208                   45                 900
Summitt Bancorp                                  Common Stock          866005101                   12                 300
Sun Microsystems Inc.                            Common Stock          866810104                  287               2,300
Suburst Hospitality Corp.                        Common Stock          866948102                    2                 450
Sunbeam Corp.                                    Common Stock          867071102                   14               2,500
Sundstrand Corp.                                 Common Stock          867323107                   59                 850
Sunoco Inc                                       Common Stock          86764P109                    8                 228
Suntrust Banks Inc.                              Common Stock          867914103                  710              11,400
Superior Energy Services Inc.                    Common Stock          868157108                   14               4,000
Swire Pacific Ltd Sponsored ADR                  ADR                   870794302                   16               3,400
Symantec Corp.                                   Common Stock          871503108                   68               4,000
Symbol Technologies Inc.                         Common Stock          871508107                   10                 225
Sysco Corp.                                      Common Stock          871829107               12,101             459,892

Page Total:                                                                                    18,735

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
SmithKline Beecham Spons ADR                          X                                                                    3,050
J M Smucker Co.                                       X                                                                    3,200
J M Smucker Co Cl B                                   X                 X                                                  8,100
Solectron Corp.                                       X                                                                      650
Solutia Inc.                                          X                                                                    2,724
Sonat Inc.                                            X                                                                    3,950
Sonoco Products Co                                    X                                                                       35
Sonus Pharmaceuticals Inc.                            X                                                                      200
Sony Corp. ADR                                        X                                                                   16,067
Sothebys Holdings Inc. - Cl A Ltd Vtg                 X                                                                      100
Southern Co                                           X                                                                    2,000
Southern Pacific Petroleum NL ADR                     X                                                                    1,375
South Trust Corp.                                                       X                                                    580
Southwestern Energy Co.                               X                                                                   26,702
Spacelabs Medical Inc.                                X                                                                      500
Spieker Properties, Inc.                              X                                                                    1,200
Sprint Corp. (FON Group)                              X                                                                    7,676
Sprint Corp. (PCS Group)                              X                                                                    4,087
Standard-Pacific Corp.                                X                                                                      100
Staples Inc.                                          X                 X                                                 12,312
Starbucks Corp.                                       X                                                                      420
L S Starrett Co                                                         X                                                    400
L S Starrett Co Cl B                                                    X                                                    400
State Auto Financial Corp.                            X                                                                   25,200
Starwood Hotels & Resorts Worldwide In                X                 X                                                  1,836
State Street Corp.                                    X                                                                    3,600
Statefed Financial Corp                               X                                                                    2,000
Steelcase Inc. - CL A                                 X                                                                   36,900
Steris Corp.                                          X                                                                      500
Stewart & Stevenson                                   X                                                                   47,200
Stewart Enterprises CL A                              X                                                                      250
Stratus Properties Inc                                X                                                                      555
Stride Rite Corp.                                     X                                                                       59
Structural Dynamics Research                          X                                                                      770
Student Loan Mkting                                   X                                                                      900
Summitt Bancorp                                                         X                                                    300
Sun Microsystems Inc.                                 X                                                                    2,300
Suburst Hospitality Corp.                             X                                                                      450
Sunbeam Corp.                                         X                                                                    2,500
Sundstrand Corp.                                      X                                                                      850
Sunoco Inc                                            X                                                                      228
Suntrust Banks Inc.                                   X                 X                                                 11,400
Superior Energy Services Inc.                         X                                                                    4,000
Swire Pacific Ltd Sponsored ADR                       X                                                                    3,400
Symantec Corp.                                        X                                                                    4,000
Symbol Technologies Inc.                              X                                                                      225
Sysco Corp.                                           X                 X                                                459,892

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
   FORM 13F         NAME OF REPORTING MANAGER:        BARTLETT - INST ID# 71934                       Run Date: 05/10/99
                                                                                                   ----------------------------
                                                      FOR POSITIONS HELD AS OF 3/31/999               S.E.C. Use Only
                                                                                                   ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>              <C>
Teco Energy Inc.                                 Common Stock          872375100                   29               1,434
Teppco Partners L P Units  Rep Lim               Limited Partner       872384102                   51               2,000
Tnp Enterprises Inc.                             Common Stock          872594106                  469              16,300
T R W Inc.                                       Common Stock          872649108                  245               5,379
Tu Electric Cap III 8.00%  Cum PFD               Preferred Stock       87305G202                   25               1,000
Taiwan Fund Inc.                                 Common Stock          874036106                  256              18,700
Taubman Centers, Inc.                            Common Stock          876664103                  491              40,058
Telefonica De Espana SA Spons ADR                ADR                   879382208                1,422              11,131
Telefonos De Mexico SA Spons ADR                 ADR                   879403780                  499               7,618
Telephone & Data Systems, Inc.                   Common Stock          879433100                  261               4,615
Telxon Corp.                                     Common Stock          879700102                    7                 700
Temple Inland Inc.                               Common Stock          879868107                   25                 400
Templeton Dragon Fund Inc.                       Common Stock          88018T101                1,034             134,550
Templeton Emerging Markets                       Common Stock          880191101                  822              75,600
Tenet Healthcare Corp.                           Common Stock          88033G100                   19               1,000
Tennant Co                                       Common Stock          880345103                   31                 900
Tenneco Inc.                                     Common Stock          88037E101                   20                 700
Tennessee Valley Authority QIDS Ser A            Preferred Stock       880591102                    5                 200
Texaco Inc.                                      Common Stock          881694103                  516               9,088
Texas Instruments Inc.                           Common Stock          882508104                  337               3,400
Texas Utilities Co.                              Common Stock          882848104                  322               7,732
Thai Fund Inc.                                   Common Stock          882904105                    1                 200
Thai Cap Fd Inc.                                 Common Stock          882905102                    4                 800
Textron Capital I Trust Pfd                      Preferred Stock       883198202                   25               1,000
Thermo Electron Corp.                            Common Stock          883556102                  553              40,762
Thermo Instrument Systems Inc.                   Common Stock          883559106                   30               2,106
Thomas & Betts Corp.                             Common Stock          884315102                   41               1,100
Thornburg Mortgage Asset Corp.                   Common Stock          885218107                   17               2,000
Time Warner Inc.                                 Common Stock          887315109               39,109             550,344
Timken Co                                        Common Stock          887389104                  198              12,200
Tomkins PLC Sponsored ADR                        ADR                   890030208                1,388              93,300
Tootsie Roll Industries Inc.                     Common Stock          890516107                  116               2,521
Topps Inc.                                       Common Stock          890786106                    0                   1
Torchmark Corp.                                  Common Stock          891027104                   19                 600
Total SA Adr                                     ADR                   89151E109               15,405             252,537
Total System Services Inc.                       Common Stock          891906109                   42               2,250
Toys 'R' Us Inc.                                 Common Stock          892335100                  400              21,270
Trammell Crow Co                                 Common Stock          89288R106                    6                 300
Trans-Dominion Energy                            Common Stock          89322F100                    0                   1
Trans World Airlines                             Common Stock          893349837                    0                   1
Transamerica Corp.                               Common Stock          893485102                1,025              14,430
Transcanada Pipelines Ltd                        Preferred Stock       893526756                   29               1,100
Travelers P&C Capital I 8.08%                    Preferred Stock       893931204                   25               1,000
Tri City Bank Shares Corp - Wisc                 Common Stock          895364107                    1                  15
Tri-Continental                                  Common Stock          895436103                  145               5,009
Tricon Global Restaurants Inc.                   Common Stock          895953107                  235               3,350
Tribune Co                                       Common Stock          896047107                1,382              21,122

Page Total:                                                                                    67,081

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Teco Energy Inc.                                     X                                                                     1,434
Teppco Partners L P Units  Rep Lim                   X                                                                     2,000
Tnp Enterprises Inc.                                 X                                                                    16,300
T R W Inc.                                           X                                                                     5,379
Tu Electric Cap III 8.00%  Cum PFD                   X                                                                     1,000
Taiwan Fund Inc.                                     X                                                                    18,700
Taubman Centers, Inc.                                X                                                                    40,058
Telefonica De Espana SA Spons ADR                    X                 X                                                  11,131
Telefonos De Mexico SA Spons ADR                     X                                                                     7,618
Telephone & Data Systems, Inc.                       X                                                                     4,615
Telxon Corp.                                         X                                                                       700
Temple Inland Inc.                                   X                                                                       400
Templeton Dragon Fund Inc.                           X                                                       2,700       131,850
Templeton Emerging Markets                           X                 X                                                  75,600
Tenet Healthcare Corp.                               X                                                                     1,000
Tennant Co                                                             X                                                     900
Tenneco Inc.                                                                                                                 700
Tennessee Valley Authority QIDS Ser A                X                                                                       200
Texaco Inc.                                          X                 X                                                   9,088
Texas Instruments Inc.                               X                                                                     3,400
Texas Utilities Co.                                  X                                                                     7,732
Thai Fund Inc.                                       X                                                                       200
Thai Cap Fd Inc.                                     X                                                                       800
Textron Capital I Trust Pfd                          X                                                                     1,000
Thermo Electron Corp.                                X                                                                    40,762
Thermo Instrument Systems Inc.                       X                                                                     2,106
Thomas & Betts Corp.                                 X                                                                     1,100
Thornburg Mortgage Asset Corp.                       X                                                                     2,000
Time Warner Inc.                                     X                 X                                    79,800       470,544
Timken Co                                            X                 X                                                  12,200
Tomkins PLC Sponsored ADR                            X                                                                    93,300
Tootsie Roll Industries Inc.                         X                 X                                                   2,521
Topps Inc.                                           X                                                                         1
Torchmark Corp.                                                        X                                                     600
Total SA Adr                                         X                 X                                    36,700       215,837
Total System Services Inc.                           X                                                                     2,250
Toys 'R' Us Inc.                                     X                                                                    21,270
Trammell Crow Co                                     X                                                                       300
Trans-Dominion Energy                                X                                                                         1
Trans World Airlines                                                   X                                                       1
Transamerica Corp.                                   X                 X                                                  14,430
Transcanada Pipelines Ltd                            X                                                                     1,100
Travelers P&C Capital I 8.08%                        X                                                                     1,000
Tri City Bank Shares Corp - Wisc                     X                                                                        15
Tri-Continental                                      X                                                                     5,009
Tricon Global Restaurants Inc.                       X                 X                                                   3,350
Tribune Co                                           X                 X                                                  21,122

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
    FORM 13F        NAME OF REPORTING MANAGER:            BARTLETT - INST ID# 71934                       Run Date: 05/10/99
                                                                                                       ----------------------------
                                                          FOR POSITIONS HELD AS OF 3/31/999               S.E.C. Use Only
                                                                                                       ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>                <C>
Tupperware Corp.                                 Common Stock          899896104                   10                 528
Fired Up Inc.                                    Common Stock          8S00969                      5               2,000
Hunkar Laboratories Inc.                         Common Stock          8S02052                      0                   3
Losantiville Cnty Club Land                      Common Stock          8S02062                      4                  17
A/F Protein Inc. Ser B Conv Pfd                  Preferred Stock       8S04667                     50              38,462
Turbosonic Technologies Inc.                     Common Stock          900010109                    0                  53
Turkish Investment Fd                            Common Stock          900145103                    7               1,000
Tyco International LTD                           Foreign Stock         902124106               23,024             320,888
Tyson Foods Inc.                                 Common Stock          902494103                   10                 500
Ucar International Inc.                          Common Stock          90262K109                3,246             229,775
USX Marathon Group                               Common Stock          902905827                   52               1,877
U S T Inc.                                       Common Stock          902911106                3,190             122,100
U S Bancorp New                                  Common Stock          902973106                  223               6,555
USG Corp.                                        Common Stock          903293405                   15                 300
USX-U.S. Steel Group                             Common Stock          90337T101                    0                  19
Union Camp Corp.                                 Common Stock          905530101                   60                 900
Union Carbide Corp.                              Common Stock          905581104                   45               1,000
Union Pacific Corp.                              Common Stock          907818108               32,368             605,718
Union Pacific Capital Trust Term                 Preferred Stock       907824403                   30                 600
Union Pacific Resources Group Inc.               Common Stock          907834105                  131              11,064
Uniprop Income Fund II                           Limited Partner       90915D106                    7                 500
Unisource Energy Corp.                           Common Stock          909205106                   11               1,000
United Asset Management Corp.                    Common Stock          909420101                  111               4,900
United Dominion Realty Trust                     Common Stock          910197102                4,003             390,525
United Dominion Realty Trust                     Preferred Stock       910197300                   30               1,200
United Overseas Bank LTD Spons ADR               ADR                   911271302                    4                 300
U.S. Filter Corp.                                Common Stock          911843209                    6                 187
US Air Group                                     Common Stock          911905107                  239               4,900
U.S. Industries, Inc.                            Common Stock          912080108                    4                 248
U.S. West Inc.                                   Common Stock          91273H101                1,722              31,265
U.S. Trust Corp.  New                            Common Stock          91288L105                5,934              79,982
U S Wireless Data inc Cl A                       Common Stock          912899101                    7               7,000
United Technologies Corp.                        Common Stock          913017109                2,784              20,556
United Water Resources Inc.                      Common Stock          913190104                   27               1,300
Universal Foods Corp.                            Common Stock          913538104                   32               1,534
Universal Health                                 Common Stock          913903100                    3                  60
Unocal Corp.                                     Common Stock          915289102                  233               6,340
Utilicorp United Inc.                            Common Stock          918005109                   82               3,600
V F Corp.                                        Common Stock          918204108                   99               2,100
Valmont Ind Inc                                  Common Stock          920253101                   38               2,748
The Valspar Corp.                                Common Stock          920355104                8,999             285,118
Varian Assocates Inc.                            Common Stock          922204102                   23                 600
Veritas DGC Inc                                  Common Stock          92343P107                    1                 100
Vertex Pharmaceuticals Inc.                      Common Stock          92532F100                   14                 550
WTS Viacom Inc Cl E                              Common Stock          925524134                    5                 289
Viacom Inc Class B                               Common Stock          925524308                   39                 460
Vina Concha Y Toro SA Spons ADR                  ADR                   927191106                    3                 100

Page Total:                                                                                    86,930

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Tupperware Corp.                                     X                 X                                                     528
Fired Up Inc.                                        X                                                                     2,000
Hunkar Laboratories Inc.                             X                                                                         3
Losantiville Cnty Club Land                          X                                                                        17
A/F Protein Inc. Ser B Conv Pfd                      X                                                                    38,462
Turbosonic Technologies Inc.                         X                                                                        53
Turkish Investment Fd                                X                                                                     1,000
Tyco International LTD                               X                 X                                      37,252     283,636
Tyson Foods Inc.                                     X                                                                       500
Ucar International Inc.                              X                                                       118,600     111,175
USX Marathon Group                                   X                                                                     1,877
U S T Inc.                                           X                                                        44,900      77,200
U S Bancorp New                                      X                                                                     6,555
USG Corp.                                            X                                                                       300
USX-U.S. Steel Group                                 X                                                                        19
Union Camp Corp.                                                       X                                                     900
Union Carbide Corp.                                  X                                                                     1,000
Union Pacific Corp.                                  X                 X                                     138,700     467,018
Union Pacific Capital Trust Term                     X                                                                       600
Union Pacific Resources Group Inc.                   X                                                                    11,064
Uniprop Income Fund II                               X                                                                       500
Unisource Energy Corp.                               X                                                                     1,000
United Asset Management Corp.                        X                                                                     4,900
United Dominion Realty Trust                         X                                                       168,200     222,325
United Dominion Realty Trust                         X                                                                     1,200
United Overseas Bank LTD Spons ADR                   X                                                                       300
U.S. Filter Corp.                                    X                                                                       187
US Air Group                                         X                                                                     4,900
U.S. Industries, Inc.                                                                                                        248
U.S. West Inc.                                       X                 X                                                  31,265
U.S. Trust Corp.  New                                X                 X                                                  79,982
U S Wireless Data inc Cl A                           X                                                                     7,000
United Technologies Corp.                            X                                                                    20,556
United Water Resources Inc.                          X                                                                     1,300
Universal Foods Corp.                                X                                                                     1,534
Universal Health                                     X                                                                        60
Unocal Corp.                                         X                                                                     6,340
Utilicorp United Inc.                                X                                                                     3,600
V F Corp.                                            X                 X                                                   2,100
Valmont Ind Inc                                      X                                                                     2,748
The Valspar Corp.                                    X                 X                                                 285,118
Varian Assocates Inc.                                X                                                                       600
Veritas DGC Inc                                      X                                                                       100
Vertex Pharmaceuticals Inc.                          X                                                                       550
WTS Viacom Inc Cl E                                  X                                                                       289
Viacom Inc Class B                                   X                                                                       460
Vina Concha Y Toro SA Spons ADR                      X                                                                       100

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
  FORM 13F       NAME OF REPORTING MANAGER:           BARTLETT - INST ID# 71934                 Run Date: 05/10/99
                                                                                             ----------------------------
                                                      FOR POSITIONS HELD AS OF 3/31/999         S.E.C. Use Only
                                                                                             ----------------------------



               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>              <C>
Vion Pharmaceuticals Inc.                        Common Stock          927624106                   14               2,713
Vishay Intertechnology Inc.                      Common Stock          928298108                    8                 551
Visual Data Corp                                 Common Stock          928428200                    7                 500
Vitesse Semiconductor Corp.                      Common Stock          928497106                  101               2,000
Vlasic Foods International                       Common Stock          928559103                   11                 840
Vodafone Group Plc Spon ADR                      ADR                   92857T107                  188               1,000
Volkswagen AG - Sponsored ADR                    ADR                   928662303                   32               2,400
Volvo Aktiebolaget                               ADR                   928856400                   10                 400
Vornado Realty Trust Common Shares               Common Stock          929042109                  104               3,000
WEC CAP TR I TR PFD SECS 6.85%                   Preferred Stock       92923G204                  194               8,000
Wicor Inc                                        Common Stock          929253102                  951              46,950
WSFS Financial Corp.                             Common Stock          929328102                1,102              75,375
Wachovia Corp.                                   Common Stock          929771103                  506               6,228
Waddell & Reed Financial - A                     Common Stock          930059100                    0                  17
Waddell & Reed Financial Cl-B -W/I               Common Stock          930059209                    1                  73
Wal-Mart Stores Inc.                             Common Stock          931142103                2,702              29,307
Walgreen Co                                      Common Stock          931422109                1,115              39,456
Wallace Computer Services Inc.                   Common Stock          932270101                   29               1,483
WTS Wang Labs New                                Common Stock          93369N117                    1                 206
Warner Lambert Co.                               Common Stock          934488107                6,533              98,707
Washington Federal Inc.                          Common Stock          938824109               13,759             655,199
Washington Mutual Inc.                           Common Stock          939322103                1,165              28,503
Washington Real Estate Investors Trust           Common Stock          939653101                  551              33,774
Waste Management Inc                             Common Stock          94106L109                   13                 291
Watts Industries Inc  Class A                    Common Stock          942749102                    4                 300
Wausau-Mosinee Paper Corp.                       Common Stock          943315101                   53               3,765
Weingarten Realty Investors                      Common Stock          948741103                  164               4,135
Weis Markets Inc                                 Common Stock          948849104                   53               1,441
Wellpoint Health Networks Inc.                   Common Stock          94973H108                   23                 300
Wells Fargo & Co.                                Common Stock          949746101                6,938             197,872
Wendy's International Inc                        Common Stock          950590109                    3                 108
Western Digital Corp.                            Common Stock          958102105                    6                 700
Western Resources Inc                            Common Stock          959425109                5,743             215,175
Westvaco Corp.                                   Common Stock          961548104                  138               6,579
Westwood Homestead Finl Corp.                    Common Stock          961767100                    2                 200
Weyerhaeuser Co.                                 Common Stock          962166104                  537               9,673
Whitman Corp.                                    Common Stock          96647K102                  257              14,932
Whole Foods Market Inc                           Common Stock          966837106                   14                 400
Wild Oats Markets Inc.                           Common Stock          96808B107                   30               1,100
Willamette Inds                                  Common Stock          969133107                  704              18,658
Williams Companies Inc                           Common Stock          969457100                  125               3,164
Williams Sonoma Inc.                             Common Stock          969904101                  191               6,750
Wind River Systems Inc                           Common Stock          973149107                   18               1,012
Wisconsin Central                                Common Stock          976592105                   13               1,000
Wisconsin Energy Power                           Common Stock          976657106                  116               4,429
Wolters Kluwer NV Spons ADR                      ADR                   977874205                   63                 350
World Television Inc                             Common Stock          98151F305                    0                  23

Page Total:                                                                                    44,290

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Vion Pharmaceuticals Inc.                            X                                                                      2,713
Vishay Intertechnology Inc.                          X                                                                        551
Visual Data Corp                                     X                                                                        500
Vitesse Semiconductor Corp.                          X                                                                      2,000
Vlasic Foods International                           X                                                                        840
Vodafone Group Plc Spon ADR                          X                                                                      1,000
Volkswagen AG - Sponsored ADR                                          X                                                    2,400
Volvo Aktiebolaget                                   X                                                                        400
Vornado Realty Trust Common Shares                   X                                                                      3,000
WEC CAP TR I TR PFD SECS 6.85%                       X                                                                      8,000
Wicor Inc                                            X                 X                                                   46,950
WSFS Financial Corp.                                 X                                                                     75,375
Wachovia Corp.                                       X                                                                      6,228
Waddell & Reed Financial - A                                                                                                   17
Waddell & Reed Financial Cl-B -W/I                                                                                             73
Wal-Mart Stores Inc.                                 X                                                                     29,307
Walgreen Co                                          X                 X                                                   39,456
Wallace Computer Services Inc.                       X                                                                      1,483
WTS Wang Labs New                                    X                                                                        206
Warner Lambert Co.                                   X                 X                                                   98,707
Washington Federal Inc.                              X                 X                                    183,485       471,714
Washington Mutual Inc.                               X                                                          600        27,903
Washington Real Estate Investors Trust               X                                                                     33,774
Waste Management Inc                                 X                                                                        291
Watts Industries Inc  Class A                        X                                                                        300
Wausau-Mosinee Paper Corp.                           X                                                                      3,765
Weingarten Realty Investors                          X                                                                      4,135
Weis Markets Inc                                     X                                                                      1,441
Wellpoint Health Networks Inc.                       X                                                                        300
Wells Fargo & Co.                                    X                                                                    197,872
Wendy's International Inc                            X                                                                        108
Western Digital Corp.                                X                                                                        700
Western Resources Inc                                X                 X                                     92,400       122,775
Westvaco Corp.                                       X                                                                      6,579
Westwood Homestead Finl Corp.                        X                                                                        200
Weyerhaeuser Co.                                     X                 X                                                    9,673
Whitman Corp.                                        X                                                                     14,932
Whole Foods Market Inc                               X                                                                        400
Wild Oats Markets Inc.                               X                                                                      1,100
Willamette Inds                                      X                                                          600        18,058
Williams Companies Inc                               X                                                                      3,164
Williams Sonoma Inc.                                 X                                                                      6,750
Wind River Systems Inc                               X                                                                      1,012
Wisconsin Central                                    X                                                                      1,000
Wisconsin Energy Power                               X                                                                      4,429
Wolters Kluwer NV Spons ADR                          X                                                                        350
World Television Inc                                 X                                                                         23

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
  FORM 13F          NAME OF REPORTING MANAGER:         BARTLETT - INST ID# 71934                  Run Date: 05/10/99
                                                                                               ----------------------------
                                                       FOR POSITIONS HELD AS OF 3/31/999          S.E.C. Use Only
                                                                                               ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                   <C>                         <C>              <C>
Worthington Industry Inc                         Common Stock          981811102                   30               2,530
Wrigley (WM) Jr Co                               Common Stock          982526105                  123               1,356
Xerox Corp.                                      Common Stock          984121103                  377               7,058
YPF Sociedad Anonima Sponsored ADR               ADR                   984245100                7,126             225,783
York International Inc                           Common Stock          986670107                  178               5,050
Zeneca Group PLC - Spons ADR                     ADR                   98934D106                   56               1,200
Zweig Fund Inc                                   Common Stock          989834106                   55               5,182
Zitel Corp.                                      Common Stock          989913108                    3               1,200
McConnon & Co Ser A Pfd                          Preferred Stock       9901109A8                    0                   3
North Star Inc.                                  Common Stock          990186918                   27               2,000
3 Cities Fm Inc. Cl B                            Common Stock          9990269A7                    0                 975
Bayer A G Ord                                    Common Stock          D07112119                   24                 650
Buderus AG                                       Foreign Stock         D14224105                1,753               5,411
DaimlerChrysler A.G.                             ADR                   D1668R123                2,656              30,956
Deutsche Lufthansa New                           Foreign Stock         D1908N106                1,794              81,000
Hoechst Ag Dm 5 Par                              Foreign Stock         D33191103                  256               6,000
Repsol SA-ORD SP 500 Par                         Foreign Stock         E8471S106                  377               7,300
Dassault Aviation SA-ORD                         Common Stock          F24539102                   25                 150
Dassault Particpa FRF                            Foreign Stock         F2455Z102                    0                 150
Euro Disneyland SCA Shs Ord                      Common Stock          F26387104                    0                 200
Michelin S A, Cie Generale Des                   Foreign Stock         F61824144                1,972              43,800
St Gobain                                        Foreign Stock         F80343100                2,058              12,924
Total SA-Ser B 9 ( FF 50 Par )                   Foreign Stock         F92124100                  297               2,400
Allied Irish Banks PLC - ORD                     Foreign Stock         G02072117                  414              24,000
Cadbury Schweppes PLC - ORD 25P                  Foreign Stock         G17444103                  361              24,800
Dairy Farm International Hldgs                   Foreign Stock         G2624N104                1,764           1,521,000
Foreign & Colonial Eurotrust                     Common Stock          G3623T100                  158              21,200
Diageo PLC-ORD 28 101/108P                       Foreign Stock         G42089113                  383              34,000
Jardine Strategic Holdings Ltd                   Common Stock          G50764102                  199             117,828
Rio Tinto PLC -ORD                               Foreign Stock         G75754104                  195              14,000
Tomkins PLC-ORD 5P                               Foreign Stock         G89158136                  177              47,700
Tommy Hilfiger Corp.                             Common Stock          G8915Z102                   24                 350
Triton Energy Limited                            Common Stock          G90751101                  132              16,700
Waterford Wedgewood - Unit                       Foreign Stock         G94697102                  143             180,000
INVESCO Asia Trust                               Common Stock          H000379                    146             190,000
Invesco Tokyo Trust                              Common Stock          H000381                     87             176,000
Nestle S A Reg Ord                               Foreign Stock         H57312136                   91                  50
Novartis Ag-Regd                                 Foreign Stock         H5820Q101                1,652               1,015
Canon Inc. ORD                                   Foreign Stock         J05124144                1,673              67,400
Fujitsu Ltd Ord                                  Foreign Stock         J15708159                2,224             138,000
Ito Yokado Co. LTD                               Foreign Stock         J25209115                  452               7,000
Matsumotokiyoshi Co ltd                          Foreign Stock         J40885105                2,203              49,800
Matsushita Electric Indl Co                      Foreign Stock         J41121104                1,840              94,000
Rohm Co Ltd                                      Foreign Stock         J65328122                1,798              15,000
Secom Co Ltd - Ord                               Foreign Stock         J69972107                2,025              21,300
Sumitomo Warehouse                               Foreign Stock         J78013109                  373              86,000
Murray Global Retu Ord                           Foreign Stock         M004265                    138              99,624

Page Total:                                                                                    37,840

<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Worthington Industry Inc                            X                                                                         2,530
Wrigley (WM) Jr Co                                  X                                                                         1,356
Xerox Corp.                                         X                 X                                                       7,058
YPF Sociedad Anonima Sponsored ADR                  X                 X                                      16,800         208,983
York International Inc                              X                 X                                                       5,050
Zeneca Group PLC - Spons ADR                        X                                                                         1,200
Zweig Fund Inc                                                        X                                                       5,182
Zitel Corp.                                         X                                                                         1,200
McConnon & Co Ser A Pfd                             X                                                                             3
North Star Inc.                                     X                                                                         2,000
3 Cities Fm Inc. Cl B                               X                                                                           975
Bayer A G Ord                                       X                                                                           650
Buderus AG                                          X                                                                         5,411
DaimlerChrysler A.G.                                X                 X                                                      30,956
Deutsche Lufthansa New                              X                                                                        81,000
Hoechst Ag Dm 5 Par                                 X                                                                         6,000
Repsol SA-ORD SP 500 Par                            X                                                                         7,300
Dassault Aviation SA-ORD                            X                                                                           150
Dassault Particpa FRF                               X                                                                           150
Euro Disneyland SCA Shs Ord                         X                                                                           200
Michelin S A, Cie Generale Des                      X                                                                        43,800
St Gobain                                           X                                                                        12,924
Total SA-Ser B 9 ( FF 50 Par )                      X                                                                         2,400
Allied Irish Banks PLC - ORD                        X                                                                        24,000
Cadbury Schweppes PLC - ORD 25P                     X                                                                        24,800
Dairy Farm International Hldgs                      X                                                                     1,521,000
Foreign & Colonial Eurotrust                        X                                                                        21,200
Diageo PLC-ORD 28 101/108P                          X                                                                        34,000
Jardine Strategic Holdings Ltd                      X                                                                       117,828
Rio Tinto PLC -ORD                                  X                                                                        14,000
Tomkins PLC-ORD 5P                                  X                                                                        47,700
Tommy Hilfiger Corp.                                X                                                                           350
Triton Energy Limited                               X                                                                        16,700
Waterford Wedgewood - Unit                          X                                                                       180,000
INVESCO Asia Trust                                  X                                                                       190,000
Invesco Tokyo Trust                                 X                                                                       176,000
Nestle S A Reg Ord                                                                                                               50
Novartis Ag-Regd                                    X                                                                         1,015
Canon Inc. ORD                                      X                                                                        67,400
Fujitsu Ltd Ord                                     X                                                                       138,000
Ito Yokado Co. LTD                                  X                                                                         7,000
Matsumotokiyoshi Co ltd                             X                                                                        49,800
Matsushita Electric Indl Co                         X                                                                        94,000
Rohm Co Ltd                                         X                                                                        15,000
Secom Co Ltd - Ord                                  X                                                                        21,300
Sumitomo Warehouse                                  X                                                                        86,000
Murray Global Retu Ord                              X                                                                        99,624

Page Total:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
   FORM 13F       NAME OF REPORTING MANAGER:          BARTLETT - INST ID# 71934                       Run Date: 05/10/99
                                                                                                   ----------------------------
                                                      FOR POSITIONS HELD AS OF 3/31/999               S.E.C. Use Only
                                                                                                   ----------------------------


               Item 1:                              Item 2:             Item 3:               Item 4:                Item 5:
           Name of Issuer                        Title of Class       CUSIP Number       Fair Market Value          Shares or
                                                                                             (X $1000)           Principal Amt.
- ---------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>                    <C>                       <C>              <C>
Murray Global Retu Zero Div Pfd                  Preferred Stock       M004280                    165              99,624
Wiztec Solutions Ltd Ord                         Common Stock          M98105105                   72               4,000
Madge Networks N.V.                              Common Stock          N5424G106                    1                 550
New Holland N.V.                                 Foreign Stock         N62648105                1,571             153,256
Commonwealth General LLC 8.875% Cum              Preferred Stock       P30525102                   58               2,300
Irsa Inversiones Y Representiciones              Foreign Stock         P58809107                  289             109,923
YPF Sociedad Anonima - Cl D                      Foreign Stock         P9897X131                  376              12,000
Brambles Industries LTD                          Foreign Stock         Q17481104                2,040              80,300
National Australia Bank Ltd Ord                  Foreign Stock         Q65336119                  372              20,500
Elkem A/S Nok Ord                                Foreign Stock         R21655106                1,713             116,570
Norsk Hydro A/S-Ord New Nk 20 Par                Foreign Stock         R61115102                  349               8,600
River Cities Capital Group II Ltd Part           Limited Partner       RIVERCITI                  200                 200
San Paolo - IMI SPA ORD                          Foreign Stock         T8249V104                  367              22,572
AGA AB-B Shs                                     Foreign Stock         W02672124                1,634             130,000
Assidomaen AB                                    Foreign Stock         W0834N106                  342              16,800
Cardo AB                                         Foreign Stock         W1991F100                1,483              75,000
Investor AB Stockholm                            Common Stock          W48102102                    8                 190
Walnut Capital Partners LP                       Common Stock          WLNTLPZZZ                  400                  16
Banco Commercial Portuges SA                     Foreign Stock         X03188137                  339              11,200
Kemira OY - ORD                                  Foreign Stock         X44073108                  762             122,100
Perlis Plantation Berhad                         Foreign Stock         Y68454100                  694             869,100
Qingling Motors Co Ltd                           Common Stock          Y71713104                    2              12,000






Page Total:

Grand Total:


<CAPTION>
               Item 1:                                             Item 6:           Item 7:                    Item 8:
           Name of Issuer                                    Investment Discretion    Other             Voting Authority (Shares)
                                                   (a) Sole    (b)Shared  (c)Shared  Managers   (a) Sole   (b) Shared    (c) None
                                                                  as Def     Other
- ----------------------------------------------------------------------------------------------------------------------------------
<S>                                              <C>         <C>          <C>        <C>        <C>             <C>      <C>
Murray Global Retu Zero Div Pfd                     X                                                                     99,624
Wiztec Solutions Ltd Ord                            X                                                                      4,000
Madge Networks N.V.                                 X                                                                        550
New Holland N.V.                                    X                                                                    153,256
Commonwealth General LLC 8.875% Cum                 X                                                                      2,300
Irsa Inversiones Y Representiciones                 X                                                                    109,923
YPF Sociedad Anonima - Cl D                         X                                                                     12,000
Brambles Industries LTD                             X                                                                     80,300
National Australia Bank Ltd Ord                     X                                                                     20,500
Elkem A/S Nok Ord                                   X                                                                    116,570
Norsk Hydro A/S-Ord New Nk 20 Par                   X                                                                      8,600
River Cities Capital Group II Ltd Part              X                                                                        200
San Paolo - IMI SPA ORD                             X                                                                     22,572
AGA AB-B Shs                                        X                                                                    130,000
Assidomaen AB                                       X                                                                     16,800
Cardo AB                                            X                                                                     75,000
Investor AB Stockholm                               X                                                                        190
Walnut Capital Partners LP                          X                                                                         16
Banco Commercial Portuges SA                        X                                                                     11,200
Kemira OY - ORD                                     X                                                                    122,100
Perlis Plantation Berhad                            X                                                                    869,100
Qingling Motors Co Ltd                              X                                                                     12,000






Page Total:                                                                                                               13,235

Grand Total:                                                                                                           2,019,730

</TABLE>

<PAGE>

<TABLE>
<CAPTION>
Page 1 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:        
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>   
EGYPT INVESTMENT CO. FUND LTD  144A                  ADR 144A             000306548               129           9,500       SH
AT&T                                                 Common Stock         001957109            21,206         265,700       SH
EFG HERMES HLDGS GDS ORD5 144A                       Common Stock         002278429                97           8,000       SH
AVT CORP                                             Common Stock         002420107               224           9,400       SH
ABBOTT LABS  COM                                     Common Stock         002824100             8,614         184,000       SH
ABERCROMBIE & FITCH CO CL A                          Common Stock         002896207               148           1,600       SH
GEDEON RICHTER GDS (REP 1 HUF1000) REG S             GDS                  004027663                30             980       SH
BAJAJ AUTO GDR REP 1 SH INR10                        GDR                  004039077               312          18,300       SH
INDIAN TOBACCO CO (ITC) GDR                          GDR                  004438094               193           7,100       SH
ACNIELSEN CORP COM                                   Common Stock         004833109             1,259          46,400       SH
ITI HOLDING SA POLAND                                Common Stock         005167784               248           1,200       SH
PLIVA GDR (REP 20% OF 1 ORD) CROATIA                 GDR                  005174706               128           8,000       SH
KGHM POLSKA MIEDZ GDR (REP 2 ORD SHS) PL             GDR                  005289053                51           5,875       SH
EXBUD SA GDR POLAND                                  GDR                  005410369                90          13,800       SH
MOSTOSTAL WARSZAWA GDR REGS                          GDR                  005453739               118          31,600       SH
DAIRY FARM INTL US$0.05(SING QUOTE) USD              Common Stock         006252087             2,069       1,783,300       SH
ADVANCED DIGITAL INFORMATION COM                     Common Stock         007525108                53           3,200       SH
ADVO INC COM                                         Common Stock         007585102               361          18,700       SH
AEROFLEX INC COM                                     Common Stock         007768104             2,756         193,400       SH
AFFILIATED COMPUTER SERVICES CL A                    Common Stock         008190100             2,118          46,300       SH
ALBANY INTL CORP  CL A                               Common Stock         012348108               527          28,100       SH
ALBEMARLE CORP                                       Common Stock         012653101               124           5,900       SH
ALEXANDRIA REAL ESTATE EQ INC COM                    Common Stock         015271109               217           8,200       SH
ALLERGAN INC COM                                     Common Stock         018490102               290           3,300       SH
ALLIEDSIGNAL INC COM                                 Common Stock         019512102             1,156          23,500       SH
ALLMERICA FINL CORP COM                              Common Stock         019754100                50             900       SH
ALLSTATE CORP                                        Common Stock         020002101               378          10,200       SH
ALLTEL CORP  COM                                     Common Stock         020039103             7,005         112,298       SH
ALPHARMA INC  CL A                                   Common Stock         020813101               200           5,100       SH
ALTERA CORP COM NASD INDL                            Common Stock         021441100               738          12,400       SH
AMBAC FINL GROUP INC COM                             Common Stock         023139108                86           1,600       SH
AMERADA HESS CORP  COM                               Common Stock         023551104             3,826          75,200       SH
AMERICA WEST HLDG CORP CL B                          Common Stock         023657208             1,942         101,900       SH
AMERICAN EXPRESS CO  COM                             Common Stock         025816109             6,523          55,400       SH
AMERICAN HOME PRODS CORP  COM                        Common Stock         026609107             5,481          84,000       SH
AMERICAN INTL GROUP INC  COM                         Common Stock         026874107            22,198         184,025       SH
AMERICAN MGMT SYS INC  COM  NASD INDL                Common Stock         027352103               839          24,600       SH
AMERICAN NATL INS CO  COM  NASD BK INS               Common Stock         028591105               756          11,300       SH
AMERITECH CORP COM                                   Common Stock         030954101            14,764         256,200       SH
AMGEN INC  COM  NASD INDL                            Common Stock         031162100             6,462          86,300       SH
ANHEUSER BUSCH COS INC  COM                          Common Stock         035229103            10,802         141,900       SH
ANNTAYLOR STORES CORP                                Common Stock         036115103               243           5,500       SH
APPLIED MATERIALS                                    Common Stock         038222105             1,968          31,900       SH
ARDENT SOFTWARE INC                                  Common Stock         039794102               553          34,400       SH
ARMCO INC  COM                                       Common Stock         042170100                90          20,200       SH
ARNOLD INDS INC  COM  NASD INDL                      Common Stock         042595108               317          21,300       SH
ARVIN INDS INC  COM                                  Common Stock         043339100             1,085          32,200       SH

Page Total                                                                                    128,824

<CAPTION>

                                                                   Item 6:
                 Item 1:                                    Investment Discretion         Item 7:                 Item 8:
              Name of Issuer                          (a) Sole  (b) Shared  (c) Shared     Other          Voting Authority (Shares)
                                                                    as Def      Other     Managers      (a) Sole (b) Shared (c) None
- -----------------------------------------------       ------------------------------------------------------------------------------
<S>                                                   <C>       <C>         <C>          <C>            <C>         <C>       <C>
EGYPT INVESTMENT CO. FUND LTD  144A                    X                                                    9,500       0         0
AT&T                                                   X                                                  253,600       0    12,100
EFG HERMES HLDGS GDS ORD5 144A                         X                                                    8,000       0       500
AVT CORP                                               X                                                    8,900       0     8,400
ABBOTT LABS  COM                                       X                                                  175,600       0         0
ABERCROMBIE & FITCH CO CL A                            X                                                    1,600       0    10,000
GEDEON RICHTER GDS (REP 1 HUF1000) REG S               X                                                      980       0    23,100
BAJAJ AUTO GDR REP 1 SH INR10                          X                                                   18,300       0     9,700
INDIAN TOBACCO CO (ITC) GDR                            X                                                    7,100       0         0
ACNIELSEN CORP COM                                     X                                                   36,400       0     5,300
ITI HOLDING SA POLAND                                  X                                                    1,200       0     2,500
PLIVA GDR (REP 20% OF 1 ORD) CROATIA                   X                                                    8,000       0     2,300
KGHM POLSKA MIEDZ GDR (REP 2 ORD SHS) PL               X                                                    5,875       0       300
EXBUD SA GDR POLAND                                    X                                                   13,800       0     4,600
MOSTOSTAL WARSZAWA GDR REGS                            X                                                   31,600       0     7,200
DAIRY FARM INTL US$0.05(SING QUOTE) USD                X                                                1,783,300       0     5,900
ADVANCED DIGITAL INFORMATION COM                       X                                                    3,200       0         0
ADVO INC COM                                           X                                                   13,400       0         0
AEROFLEX INC COM                                       X                                                  190,900       0         0
AFFILIATED COMPUTER SERVICES CL A                      X                                                   44,000       0       900
ALBANY INTL CORP  CL A                                 X                                                   20,900       0       500
ALBEMARLE CORP                                         X                                                        0       0    12,400
ALEXANDRIA REAL ESTATE EQ INC COM                      X                                                    8,200       0         0
ALLERGAN INC COM                                       X                                                    3,300       0    12,400
ALLIEDSIGNAL INC COM                                   X                                                   23,500       0         0
ALLMERICA FINL CORP COM                                X                                                        0       0     2,500
ALLSTATE CORP                                          X                                                    9,700       0     3,800
ALLTEL CORP  COM                                       X                                                   99,898       0     1,500
ALPHARMA INC  CL A                                     X                                                    5,100       0       400
ALTERA CORP COM NASD INDL                              X                                                        0       0     2,500
AMBAC FINL GROUP INC COM                               X                                                    1,600       0         0
AMERADA HESS CORP  COM                                 X                                                   72,700       0     2,100
AMERICA WEST HLDG CORP CL B                            X                                                  100,400       0     8,500
AMERICAN EXPRESS CO  COM                               X                                                   52,900       0     2,100
AMERICAN HOME PRODS CORP  COM                          X                                                   81,900       0     1,700
AMERICAN INTL GROUP INC  COM                           X                                                  175,525       0         0
AMERICAN MGMT SYS INC  COM  NASD INDL                  X                                                   22,500       0     1,000
AMERICAN NATL INS CO  COM  NASD BK INS                 X                                                    9,600       0     9,000
AMERITECH CORP COM                                     X                                                  247,200       0     8,000
AMGEN INC  COM  NASD INDL                              X                                                   78,300       0     7,200
ANHEUSER BUSCH COS INC  COM                            X                                                  134,700       0         0
ANNTAYLOR STORES CORP                                  X                                                    5,500       0     1,700
APPLIED MATERIALS                                      X                                                   30,500       0    23,500
ARDENT SOFTWARE INC                                    X                                                   33,800       0     1,400
ARMCO INC  COM                                         X                                                   20,200       0       600
ARNOLD INDS INC  COM  NASD INDL                        X                                                        0       0         0
ARVIN INDS INC  COM                                    X                                                   24,200       0    21,300

Page Total

<PAGE>

Page 2 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
ASHLAND INC  COM                                     Common Stock         044204105            18,483         451,500       SH
ASSOCIATED BANC CORP.                                Common Stock         045487105               641          20,070       SH
ASSOCIATED ESTATES RLTY CORP                         Common Stock         045604105               310          29,700       SH
ASSOCIATES FIRST CAP CORP CL A                       Common Stock         046008108             4,779         106,200       SH
ATLANTIC RICHFIELD CO  COM                           Common Stock         048825103               812          11,100       SH
ATMEL CORP                                           Common Stock         049513104               506          33,300       SH
AUTOMOBILE PROTECTION CORP COM                       Common Stock         052905106               129          16,100       SH
AVANT CORP COM                                       Common Stock         053487104               209          11,800       SH
BISYS GROUP INC                                      Common Stock         055472104                73           1,300       SH
BP AMOCO PLC SPONS ADR                               American Shares      055622104                 0               0       SH
BALL CORP  COM                                       Common Stock         058498106             4,515          96,200       SH
BANK NEW YORK INC  COM                               Common Stock         064057102             2,462          68,500       SH
BARD C R INC  COM                                    Common Stock         067383109               404           8,000       SH
BARR LABORATORIES INC                                Common Stock         068306109               177           5,800       SH
BAUSCH & LOMB INC  COM                               Common Stock         071707103             5,740          88,300       SH
BAXTER INTL INC  COM                                 Common Stock         071813109               205           3,100       SH
BE AEROSPACE INC COM                                 Common Stock         073302101               519          35,200       SH
BECTON DICKINSON & CO  COM                           Common Stock         075887109            31,524         822,800       SH
BELL & HOWELL CO NEW                                 Common Stock         077852101               381          13,000       SH
BELL ATLANTIC CORP  COM                              Common Stock         077853109            12,243         236,860       SH
BELLSOUTH CORP  COM                                  Common Stock         079860102            20,556         513,100       SH
BEST BUY INC  COM                                    Common Stock         086516101            41,725         802,400       SH
BINDLEY WESTN INDS INC  COM  NASD INDL               Common Stock         090324104                 0               0       SH
BLACK HILLS CORP  COM                                Common Stock         092113109               109           5,100       SH
BLAIR CORP  COM                                      Common Stock         092828102                57           3,600       SH
BOB EVANS FARMS INC  COM  NASD INDL                  Common Stock         096761101               888          44,400       SH
BOEING CO  COM                                       Common Stock         097023105               432          12,700       SH
BORG WARNER AUTO                                     Common Stock         099724106             1,779          37,200       SH
BRADY WH CO  CL A  NASD INDL                         Common Stock         104674106                36           1,700       SH
BRIGGS & STRATTON CORP  COM                          Common Stock         109043109               232           4,700       SH
BRINKER INTL INC COM                                 Common Stock         109641100             1,668          64,300       SH
BRISTOL MYERS SQUIBB CO  COM                         Common Stock         110122108            15,935         248,500       SH
BROWN FORMAN CORP  CL B                              Common Stock         115637209               507           8,800       SH
BROWN GROUP INC  COM                                 Common Stock         115657108             1,716         130,100       SH
BROWNING FERRIS INDS INC  COM                        Common Stock         115885105             4,558         118,200       SH
BUCKLE INC                                           Common Stock         118440106               879          39,050       SH
BUFFETS INC  COM  NASD INDL                          Common Stock         119882108               661          66,900       SH
BUILDING ONE SERVICES CORP                           Common Stock         120114103             4,409         256,500       SH
C&D TECHNOLOGIES INC COM                             Common Stock         124661109                97           3,900       SH
CBL & ASSOCIATES PPTYS INC                           Common Stock         124830100             1,423          61,200       SH
CEC ENTERTAINMENT INC                                Common Stock         125137109             1,033          28,800       SH
CMAC INVESTMENT CORP                                 Common Stock         125662106             1,232          31,600       SH
CPI CORP  COM                                        Common Stock         125902106                78           3,500       SH
CNB BANCSHARES INC                                   Common Stock         126126101               209           5,200       SH
CSG SYSTEMS INTL INC COM                             Common Stock         126349109             1,436          36,400       SH
CABOT OIL & GAS CORP CL A                            Common Stock         127097103                40           2,800       SH
CALPINE CORP COM                                     Common Stock         131347106               652          17,900       SH

Page Total                                                                                    186,459


<CAPTION>
                                                                  Item 6:
                                                           Investment Discretion         Item 7:                 Item 8:
                                                     (a) Sole  (b) Shared  (c) Shared     Other          Voting Authority (Shares)
                                                                   as Def      Other     Managers      (a) Sole (b) Shared (c) None
                                                     ------------------------------------------------------------------------------
<S>                                                  <C>       <C>         <C>          <C>            <C>         <C>       <C>
ASHLAND INC  COM                                      X                                                  430,700       0     8,000
ASSOCIATED BANC CORP.                                 X                                                   20,070       0    20,800
ASSOCIATED ESTATES RLTY CORP                          X                                                   18,700       0         0
ASSOCIATES FIRST CAP CORP CL A                        X                                                  101,400       0    11,000
ATLANTIC RICHFIELD CO  COM                            X                                                    9,600       0     4,800
ATMEL CORP                                            X                                                   31,500       0         0
AUTOMOBILE PROTECTION CORP COM                        X                                                   14,700       0     1,500
AVANT CORP COM                                        X                                                   10,100       0     1,800
BISYS GROUP INC                                       X                                                    1,300       0     1,400
BP AMOCO PLC SPONS ADR                                X                                                        0       0     1,700
BALL CORP  COM                                        X                                                   95,900       0     4,000
BANK NEW YORK INC  COM                                X                                                   65,300       0         0
BARD C R INC  COM                                     X                                                        0       0         0
BARR LABORATORIES INC                                 X                                                    5,800       0         0
BAUSCH & LOMB INC  COM                                X                                                   78,700       0       300
BAXTER INTL INC  COM                                  X                                                    3,100       0     3,200
BE AEROSPACE INC COM                                  X                                                   35,200       0     4,858
BECTON DICKINSON & CO  COM                            X                                                  811,700       0     7,052
BELL & HOWELL CO NEW                                  X                                                   10,700       0     8,000
BELL ATLANTIC CORP  COM                               X                                                  226,160       0         0
BELLSOUTH CORP  COM                                   X                                                  497,100       0     9,600
BEST BUY INC  COM                                     X                                                  790,200       0         0
BINDLEY WESTN INDS INC  COM  NASD INDL                X                                                        0       0         0
BLACK HILLS CORP  COM                                 X                                                      900       0       700
BLAIR CORP  COM                                       X                                                        0       0    11,100
BOB EVANS FARMS INC  COM  NASD INDL                   X                                                   31,000       0     2,300
BOEING CO  COM                                        X                                                   12,100       0    10,700
BORG WARNER AUTO                                      X                                                   35,200       0    16,000
BRADY WH CO  CL A  NASD INDL                          X                                                    1,700       0     1,800
BRIGGS & STRATTON CORP  COM                           X                                                    4,700       0    12,200
BRINKER INTL INC COM                                  X                                                   54,500       0         0
BRISTOL MYERS SQUIBB CO  COM                          X                                                  237,600       0     4,200
BROWN FORMAN CORP  CL B                               X                                                    5,300       0     3,600
BROWN GROUP INC  COM                                  X                                                  129,300       0    13,400
BROWNING FERRIS INDS INC  COM                         X                                                  110,500       0       600
BUCKLE INC                                            X                                                   39,050       0     2,000
BUFFETS INC  COM  NASD INDL                           X                                                   66,900       0         0
BUILDING ONE SERVICES CORP                            X                                                  255,100       0         0
C&D TECHNOLOGIES INC COM                              X                                                    3,900       0     9,800
CBL & ASSOCIATES PPTYS INC                            X                                                   59,700       0    10,900
CEC ENTERTAINMENT INC                                 X                                                   28,800       0     3,500
CMAC INVESTMENT CORP                                  X                                                   28,500       0       800
CPI CORP  COM                                         X                                                    2,000       0     7,700
CNB BANCSHARES INC                                    X                                                    5,200       0         0
CSG SYSTEMS INTL INC COM                              X                                                   36,400       0         0
CABOT OIL & GAS CORP CL A                             X                                                    2,400       0     1,400
CALPINE CORP COM                                      X                                                   17,900       0         0

Page Total


<PAGE>


Page 3 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
CANADIAN PACIFIC LTD                                 Common Stock         135923100               520          26,600       SH
CANANDAIGUA BRANDS INC CLA                           Common Stock         137219200             1,436          28,500       SH
CARNIVAL CORP COM                                    Common Stock         143658102             2,967          61,100       SH
CAROLINA PWR & LT CO  COM                            Common Stock         144141108            10,538         278,700       SH
CARTER WALLACE INC  COM                              Common Stock         146285101               112           6,200       SH
CATELLUS DEVELOPMENT CORP COM                        Common Stock         149111106               167          12,500       SH
CATO CORP  -CL A                                     Common Stock         149205106               307          33,000       SH
CENTEX CORP  COM                                     Common Stock         152312104               310           9,300       SH
CENTRAL NEWSPAPERS  -CL A                            Common Stock         154647101               230           7,400       SH
CENTURY TEL ENTERPRISES INC  COM                     Common Stock         156686107            17,180         244,550       SH
CHARTER ONE FINANCIAL                                Common Stock         160903100               623          21,600       SH
CHELSEA GCA REALTY INC                               Common Stock         163262108             1,349          48,400       SH
CHEMED CORP  COM                                     Common Stock         163596109                80           3,100       SH
CHEVRON CORPORATION  COM                             Common Stock         166751107               728           8,200       SH
CHICOS FAS INC                                       Common Stock         168615102               344          16,000       SH
CHILECTRA ADR                                        ADR                  168884104               753          34,850       SH
CHURCH & DWIGHT INC  COM  NASD INDL                  Common Stock         171340102               795          19,500       SH
CINERGY CORP                                         Common Stock         172474108               440          16,000       SH
CITIGROUP  INC                                       Common Stock         172967101            16,089         251,886       SH
CLAIRE S STORES INC  COM                             Common Stock         179584107             2,591          86,000       SH
CLARIFY INC COM                                      Common Stock         180492100               531          19,900       SH
COCA COLA CO  COM                                    Common Stock         191216100             1,860          30,300       SH
COCA-COLA FEMSA S A DE C V SPNSR ADR 10S             Sponsored ADR        191241108             2,773         170,000       SH
COLE KENNETH PRODTNS INC COM                         Common Stock         193294105               103           3,900       SH
COLGATE PALMOLIVE CO  COM                            Common Stock         194162103             2,420          26,300       SH
COLONIAL PROPERTIES TRUST                            Common Stock         195872106               362          14,200       SH
COMCAST CORP  CL A SPL  NASD INDL                    Common Stock         200300200                31             500       SH
COMMERCIAL METALS CO  COM                            Common Stock         201723103                28           1,400       SH
COMMONWEALTH ENERGY SYS  COM SH BEN INT              Common Stock         202800108               429          11,300       SH
COMPANHIA ENERGETICA DE MINAS SP ADR NV              Sponsored ADR        204409601               336          15,009       SH
COMPANIA DE TELECOM CHILE SPON ADR NEW               Sponsored ADR        204449300               348          14,780       SH
COMPAQ COMPUTER CORP  COM                            Common Stock         204493100               729          23,002       SH
COMPUTER NETWORK TECH CORP                           Common Stock         204925101               540          33,500       SH
COMPUWARE CORP                                       Common Stock         205638109            13,270         555,800       SH
COMVERSE TECHNOLOGY INC PAR $0.10 NASD I             Common Stock         205862402               859          10,100       SH
CONCORD EFS INC  COM                                 Common Stock         206197105               474          17,200       SH
CONECTIV INC COM                                     Common Stock         206829103             3,920         202,300       SH
CONMED CORP                                          Common Stock         207410101             3,633         117,200       SH
CONSECO INC  COM                                     Common Stock         208464107                80           2,600       SH
CONSOLIDATED FREIGHTWAYS CORP COM                    Common Stock         209232107             1,819         154,800       SH
CONSOLIDATED GRAPHICS INC COM                        Common Stock         209341106                69           1,200       SH
COORS ADOLPH CO  CL B  NASD INDL                     Common Stock         217016104             6,307         116,800       SH
COPART INC                                           Common Stock         217204106               261          12,600       SH
COUNTRYWIDE CREDIT IND                               Common Stock         222372104            17,468         465,800       SH
CRANE CO  COM                                        Common Stock         224399105             5,425         224,300       SH
CROMPTON & KNOWLES CORP  COM                         Common Stock         227111101               129           8,200       SH
CURATIVE HEALTH SVCS INC COM                         Common Stock         231264102               130          11,300       SH

Page Total                                                                                    121,893

<CAPTION>
                                                                 Item 6:
                 Item 1:                                  Investment Discretion         Item 7:                Item 8:
              Name of Issuer                        (a) Sole  (b) Shared  (c) Shared     Other         Voting Authority (Shares)
                                                                  as Def      Other     Managers     (a) Sole (b) Shared (c) None
- ------------------------------------------          -----------------------------------------------------------------------------
<S>                                                 <C>       <C>         <C>          <C>               <C>        <C>    <C>
CANADIAN PACIFIC LTD                                 X                                                  26,000       0     1,500
CANANDAIGUA BRANDS INC CLA                           X                                                  27,600       0       400
CARNIVAL CORP COM                                    X                                                  58,600       0         0
CAROLINA PWR & LT CO  COM                            X                                                 276,200       0     3,100
CARTER WALLACE INC  COM                              X                                                   6,200       0     1,500
CATELLUS DEVELOPMENT CORP COM                        X                                                  12,500       0         0
CATO CORP  -CL A                                     X                                                  33,000       0         0
CENTEX CORP  COM                                     X                                                       0       0     4,700
CENTRAL NEWSPAPERS  -CL A                            X                                                   7,400       0       400
CENTURY TEL ENTERPRISES INC  COM                     X                                                 232,550       0         0
CHARTER ONE FINANCIAL                                X                                                  17,000       0       600
CHELSEA GCA REALTY INC                               X                                                  47,700       0       900
CHEMED CORP  COM                                     X                                                       0       0         0
CHEVRON CORPORATION  COM                             X                                                   7,800       0     2,500
CHICOS FAS INC                                       X                                                  16,000       0     2,500
CHILECTRA ADR                                        X                                                  25,550       0         0
CHURCH & DWIGHT INC  COM  NASD INDL                  X                                                  16,100       0         0
CINERGY CORP                                         X                                                  12,300       0         0
CITIGROUP  INC                                       X                                                 242,586       0     9,300
CLAIRE S STORES INC  COM                             X                                                  76,600       0       800
CLARIFY INC COM                                      X                                                  19,600       0         0
COCA COLA CO  COM                                    X                                                  28,900       0    12,000
COCA-COLA FEMSA S A DE C V SPNSR ADR 10S             X                                                 170,000       0     4,600
COLE KENNETH PRODTNS INC COM                         X                                                   3,900       0     9,800
COLGATE PALMOLIVE CO  COM                            X                                                  25,000       0       700
COLONIAL PROPERTIES TRUST                            X                                                  13,700       0     3,100
COMCAST CORP  CL A SPL  NASD INDL                    X                                                     500       0       400
COMMERCIAL METALS CO  COM                            X                                                   1,400       0         0
COMMONWEALTH ENERGY SYS  COM SH BEN INT              X                                                   9,400       0     9,300
COMPANHIA ENERGETICA DE MINAS SP ADR NV              X                                                   2,772       0     3,400
COMPANIA DE TELECOM CHILE SPON ADR NEW               X                                                  11,550       0     3,700
COMPAQ COMPUTER CORP  COM                            X                                                  22,002       0     8,750
COMPUTER NETWORK TECH CORP                           X                                                  31,800       0     9,300
COMPUWARE CORP                                       X                                                 539,200       0     9,400
COMVERSE TECHNOLOGY INC PAR $0.10 NASD I             X                                                     200       0       300
CONCORD EFS INC  COM                                 X                                                   8,700       0     1,400
CONECTIV INC COM                                     X                                                 190,800       0         0
CONMED CORP                                          X                                                 117,200       0         0
CONSECO INC  COM                                     X                                                   1,300       0         0
CONSOLIDATED FREIGHTWAYS CORP COM                    X                                                 147,800       0     1,300
CONSOLIDATED GRAPHICS INC COM                        X                                                   1,200       0       500
COORS ADOLPH CO  CL B  NASD INDL                     X                                                 106,900       0         0
COPART INC                                           X                                                  12,600       0         0
COUNTRYWIDE CREDIT IND                               X                                                 430,700       0     1,900
CRANE CO  COM                                        X                                                 209,500       0    12,237
CROMPTON & KNOWLES CORP  COM                         X                                                   7,000       0     7,200
CURATIVE HEALTH SVCS INC COM                         X                                                  11,300       0    13,800

Page Total


<PAGE>


Page 4 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
CYBEX COMPUTER PRODS                                 Common Stock         232522102               395          22,000       SH
DTE ENERGY CO  COM                                   Common Stock         233331107             6,135         159,600       SH
DVI INC COM                                          Common Stock         233343102                73           4,900       SH
DARDEN RESTAURANTS INC  COM                          Common Stock         237194105            14,380         697,200       SH
DAYTON HUDSON CORP  COM                              Common Stock         239753106             6,776         101,700       SH
DEAN FOODS CO  COM                                   Common Stock         242361103                75           2,100       SH
DELL COMPUTER CORP COM NASD INDL                     Common Stock         247025109            12,696         310,600       SH
DELTA AIR LINES INC DEL  COM                         Common Stock         247361108                42             600       SH
DENTSPLY INTL INC NEW COM NASD INDL                  Common Stock         249030107             2,176          93,600       SH
DEPARTMENT 56 INC  -SER A                            Common Stock         249509100             2,465          81,000       SH
DEVELOPERS DIVERSIFI                                 Common Stock         251591103             4,156         290,400       SH
DEVRY INC DEL COM NASD INDL                          Common Stock         251893103                41           1,400       SH
DIONEX CORP  COM  NASD INDL                          Common Stock         254546104               427          11,300       SH
DISNEY WALT CO DEL  COM                              Common Stock         254687106               778          25,000       SH
DISTRIBUCION Y SERVICIO ADR                          ADR                  254753106                68           5,500       SH
DOLLAR THRIFTY AUTOMOTIVE GP                         Common Stock         256743105             2,600         150,700       SH
DOMINION RES INC VA  COM                             Common Stock         257470104            10,616         287,400       SH
DU PONT E I DE NEMOURS & CO  COM                     Common Stock         263534109               883          15,200       SH
DUKE REALTY INVT INC   COM NEW                       Common Stock         264411505                37           1,700       SH
ECI TELECOMMUNICATIONS -ORD                          Common Stock         268258100               746          21,300       SH
E M C CORP MASS  COM                                 Common Stock         268648102            33,381         261,300       SH
EARTHGRAINS COMPANY                                  Common Stock         270319106             3,166         142,700       SH
EDISON INTERNATIONAL                                 Common Stock         281020107             3,253         146,200       SH
ELCOR CORP  COM                                      Common Stock         284443108                14             400       SH
ELECTRONICS FOR IMAG                                 Common Stock         286082102            13,553         347,500       SH
EMPI INC  COM  NASD INDL                             Common Stock         291586105                67           3,100       SH
EMPIRE DIST ELEC CO  COM                             Common Stock         291641108               153           6,700       SH
EMULEX CORP COM NEW                                  Common Stock         292475209                96           2,900       SH
ENHANCE FINANCIAL SV                                 Common Stock         293310108               752          32,700       SH
ETHYL CORP  COM                                      Common Stock         297659104                76          17,900       SH
EVEREST REINSURANCE HLDGS                            Common Stock         299808105             2,352          75,400       SH
EVERGREEN MARINE CORP TAIWAN GDR 144A                GDR 144A             300246105               660          57,371       SH
EXXON CORP  COM                                      Common Stock         302290101             2,103          29,800       SH
FAIR ISAAC & CO INC  COM  NASD INDL                  Common Stock         303250104                37           1,000       SH
FREDDIE MAC COM                                      Common Stock         313400301            19,360         337,800       SH
FANNIE MAE                                           Common Stock         313586109            19,252         278,000       SH
FEDERAL REALTY INVT TR  SH BEN INT NEW               Common Stock         313747206               364          17,200       SH
FERRO CORP  COM                                      Common Stock         315405100               354          14,300       SH
FIDELITY NATIONAL FINL INC                           Common Stock         316326107               239          15,950       SH
FIRST AMERN FINL CORP COM NASD BK INS                Common Stock         318522307             5,893         372,700       SH
FIRST BANCORP P R COM                                Common Stock         318672102               534          22,200       SH
FIRST UN CORP  COM                                   Common Stock         337358105             4,232          79,200       SH
FISERV INC  COM  NASD INDL                           Common Stock         337738108               150           2,800       SH
FIRSTFED FINL CORP  COM                              Common Stock         337907109               358          22,300       SH
FLAGSTAR BANCORP INC                                 Common Stock         337930101               490          18,500       SH
FIRSTENERGY CORP COM                                 Common Stock         337932107            25,046         894,500       SH
FLEET FINL GROUP INC NEW COM                         Common Stock         338915101             4,839         128,600       SH

Page Total                                                                                    206,339


<CAPTION>
                                                                    Item 6:
                 Item 1:                                     Investment Discretion         Item 7:                Item 8:
              Name of Issuer                           (a) Sole  (b) Shared  (c) Shared     Other         Voting Authority (Shares)
                                                                     as Def      Other     Managers     (a) Sole (b) Shared (c) None
- ----------------------------------------------         -----------------------------------------------------------------------------
<S>                                                    <C>       <C>         <C>          <C>               <C>       <C>       <C>
CYBEX COMPUTER PRODS                                    X                                                  20,400       0     3,230
DTE ENERGY CO  COM                                      X                                                 148,400       0     1,000
DVI INC COM                                             X                                                   3,400       0         0
DARDEN RESTAURANTS INC  COM                             X                                                 642,600       0     1,700
DAYTON HUDSON CORP  COM                                 X                                                  98,900       0    16,600
DEAN FOODS CO  COM                                      X                                                   2,000       0     9,900
DELL COMPUTER CORP COM NASD INDL                        X                                                 296,600       0     8,500
DELTA AIR LINES INC DEL  COM                            X                                                       0       0    11,500
DENTSPLY INTL INC NEW COM NASD INDL                     X                                                  88,100       0         0
DEPARTMENT 56 INC  -SER A                               X                                                  78,800       0     1,300
DEVELOPERS DIVERSIFI                                    X                                                 279,800       0     7,000
DEVRY INC DEL COM NASD INDL                             X                                                   1,400       0         0
DIONEX CORP  COM  NASD INDL                             X                                                  11,300       0     9,900
DISNEY WALT CO DEL  COM                                 X                                                  23,800       0         0
DISTRIBUCION Y SERVICIO ADR                             X                                                       0       0     7,800
DOLLAR THRIFTY AUTOMOTIVE GP                            X                                                 144,000       0    35,100
DOMINION RES INC VA  COM                                X                                                 285,500       0         0
DU PONT E I DE NEMOURS & CO  COM                        X                                                  14,500       0    14,800
DUKE REALTY INVT INC   COM NEW                          X                                                       0       0     1,200
ECI TELECOMMUNICATIONS -ORD                             X                                                  21,300       0         0
E M C CORP MASS  COM                                    X                                                 256,900       0         0
EARTHGRAINS COMPANY                                     X                                                 142,300       0     1,600
EDISON INTERNATIONAL                                    X                                                 141,700       0    11,200
ELCOR CORP  COM                                         X                                                     400       0     1,500
ELECTRONICS FOR IMAG                                    X                                                 338,100       0         0
EMPI INC  COM  NASD INDL                                X                                                   3,100       0    54,600
EMPIRE DIST ELEC CO  COM                                X                                                   6,700       0     2,800
EMULEX CORP COM NEW                                     X                                                   2,500       0       100
ENHANCE FINANCIAL SV                                    X                                                  28,400       0    14,000
ETHYL CORP  COM                                         X                                                  17,900       0       600
EVEREST REINSURANCE HLDGS                               X                                                  72,100       0     5,500
EVERGREEN MARINE CORP TAIWAN GDR 144A                   X                                                  57,371       0     2,200
EXXON CORP  COM                                         X                                                  28,400       0    10,600
FAIR ISAAC & CO INC  COM  NASD INDL                     X                                                   1,000       0         0
FREDDIE MAC COM                                         X                                                 327,200       0     2,300
FANNIE MAE                                              X                                                 270,900       0         0
FEDERAL REALTY INVT TR  SH BEN INT NEW                  X                                                  15,900       0         0
FERRO CORP  COM                                         X                                                   2,500       0     1,200
FIDELITY NATIONAL FINL INC                              X                                                  15,950       0     5,500
FIRST AMERN FINL CORP COM NASD BK INS                   X                                                 365,200       0     6,700
FIRST BANCORP P R COM                                   X                                                  22,200       0     1,900
FIRST UN CORP  COM                                      X                                                  75,200       0       700
FISERV INC  COM  NASD INDL                              X                                                   2,800       0     1,700
FIRSTFED FINL CORP  COM                                 X                                                  22,300       0         0
FLAGSTAR BANCORP INC                                    X                                                  14,500       0         0
FIRSTENERGY CORP COM                                    X                                                 860,900       0     4,400
FLEET FINL GROUP INC NEW COM                            X                                                 120,200       0       400

Page Total

<PAGE>

Page 5 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
FLOWER INDS INC GA  COM                              Common Stock         343496105             8,020         325,700       SH
FLUOR CORP  COM                                      Common Stock         343861100             1,669          61,800       SH
FOMENTO ECONOMICO MEX-SP ADR                         ADS                  344419106            10,016         323,740       SH
FOOD LION INC  CL A  NASD INDL                       Common Stock         344775200               333          36,200       SH
FOODMAKER INC                                        Common Stock         344839204                26           1,000       SH
FORD MTR CO DEL  COM                                 Common Stock         345370100             1,037          18,300       SH
FOSTER WHEELER CORP  COM                             Common Stock         350244109             1,080          89,100       SH
FRANCHISE FINL CORP AMERICA                          Common Stock         351807102             1,729          82,100       SH
FREMONT GEN CORP COM                                 Common Stock         357288109             8,119         425,900       SH
FULLER H B CO  COM  NASD INDL                        Common Stock         359694106                59           1,000       SH
FURNITURE BRANDS INTL  COM                           Common Stock         360921100             1,664          75,200       SH
FURON CO  COM  NASD INDL                             Common Stock         361106107                15           1,200       SH
GATX CORP  COM                                       Common Stock         361448103             1,680          51,000       SH
GTE CORP  COM                                        Common Stock         362320103             9,033         149,300       SH
GABLES RESIDENTIAL T                                 Common Stock         362418105             1,327          60,500       SH
GALILEO INTERNATIONAL INC COM                        Common Stock         363547100             5,142         106,300       SH
GALLAGHER ARTHUR J & CO  COM                         Common Stock         363576109               133           2,900       SH
GANNETT INC  COM                                     Common Stock         364730101            16,122         255,900       SH
GAP INC DEL  COM                                     Common Stock         364760108            14,398         213,900       SH
GATEWAY 2000 INC                                     Common Stock         367833100            11,779         171,800       SH
GENCORP INC  COM                                     Common Stock         368682100               839          46,600       SH
GENERAL ELEC CO  COM                                 Common Stock         369604103            55,235         499,300       SH
GENERAL GROWTH PPTYS INC                             Common Stock         370021107               944          29,100       SH
GENERAL MLS INC  COM                                 Common Stock         370334104            14,727         194,900       SH
GENERAL MTRS CORP  COM                               Common Stock         370442105            11,928         137,100       SH
GEORGIA PAC CORP  COM                                Common Stock         373298108             6,334          85,300       SH
GEORGIA-PACIFIC TIMBER CO                            Common Stock         373298702                96           4,300       SH
GEOTEL COMMUNICATIONS CORP COM                       Common Stock         373656107             3,473          75,700       SH
GILLETTE CO  COM                                     Common Stock         375766102               808          13,600       SH
GLIMCHER REALTY TRUST                                Common Stock         379302102               122           8,500       SH
GRANITE CONSTRUCTION INC                             Common Stock         387328107             1,468          62,800       SH
GREAT LAKES CHEM CORP  COM                           Common Stock         390568103             4,495         122,300       SH
GREENPOINT FINANCIAL CORP                            Common Stock         395384100             2,760          79,422       SH
GTECH HOLDINGS CORP                                  Common Stock         400518106               122           5,000       SH
HAEMONETICS CORPORATION                              Common Stock         405024100               229          14,600       SH
HANDLEMAN CO DEL  COM                                Common Stock         410252100               503          37,638       SH
HEALTH CARE PPTY INVS INC  COM                       Common Stock         421915109               351          12,200       SH
HENRY JACK & ASSOC INC  COM  NASD INDL               Common Stock         426281101             1,080          29,400       SH
HEWLETT PACKARD CO  COM                              Common Stock         428236103             4,591          67,700       SH
HILLENBRAND INDS INC  COM                            Common Stock         431573104             8,297         179,640       SH
HINDALCO INDS GDR LUXEMBORG                          GDR                  433064102               319          25,800       SH
HOME DEPOT INC  COM                                  Common Stock         437076102             8,821         141,700       SH
HORMEL FOODS CORP  COM                               Common Stock         440452100            13,862         389,100       SH
HOUSTON EXPL CO COM                                  Common Stock         442120101               207          11,900       SH
HUNT J B TRANS SVCS INC  COM  NASD INDL              Common Stock         445658107               336          16,000       SH
IBP INC  COM                                         Common Stock         449223106             7,450         400,000       SH
IRSA GDS                                             GDS                  450047204             2,030          76,961       SH

Page Total                                                                                    244,808

<CAPTION>
                                                                    Item 6:
                 Item 1:                                     Investment Discretion         Item 7:              Item 8:
              Name of Issuer                           (a) Sole  (b) Shared  (c) Shared     Other       Voting Authority (Shares)
                                                                     as Def      Other     Managers   (a) Sole (b) Shared (c) None
- -----------------------------------------              ---------------------------------------------------------------------------
<S>                                                    <C>       <C>         <C>          <C>             <C>      <C>    <C>
FLOWER INDS INC GA  COM                                 X                                               306,100       0     4,500
FLUOR CORP  COM                                         X                                                51,400       0         0
FOMENTO ECONOMICO MEX-SP ADR                            X                                               311,520       0     9,400
FOOD LION INC  CL A  NASD INDL                          X                                                 9,900       0         0
FOODMAKER INC                                           X                                                   400       0         0
FORD MTR CO DEL  COM                                    X                                                13,600       0       400
FOSTER WHEELER CORP  COM                                X                                                81,600       0       600
FRANCHISE FINL CORP AMERICA                             X                                                75,700       0         0
FREMONT GEN CORP COM                                    X                                               425,900       0     4,300
FULLER H B CO  COM  NASD INDL                           X                                                     0       0     7,300
FURNITURE BRANDS INTL  COM                              X                                                68,600       0         0
FURON CO  COM  NASD INDL                                X                                                 1,200       0     3,300
GATX CORP  COM                                          X                                                39,200       0         0
GTE CORP  COM                                           X                                               142,600       0     1,400
GABLES RESIDENTIAL T                                    X                                                57,200       0         0
GALILEO INTERNATIONAL INC COM                           X                                               104,600       0    10,600
GALLAGHER ARTHUR J & CO  COM                            X                                                 2,900       0     7,100
GANNETT INC  COM                                        X                                               254,900       0     1,300
GAP INC DEL  COM                                        X                                               207,450       0    11,800
GATEWAY 2000 INC                                        X                                               161,200       0         0
GENCORP INC  COM                                        X                                                32,800       0         0
GENERAL ELEC CO  COM                                    X                                               474,200       0     7,500
GENERAL GROWTH PPTYS INC                                X                                                26,300       0         0
GENERAL MLS INC  COM                                    X                                               194,900       0         0
GENERAL MTRS CORP  COM                                  X                                               131,400       0     4,000
GEORGIA PAC CORP  COM                                   X                                                84,300       0         0
GEORGIA-PACIFIC TIMBER CO                               X                                                     0       0         0
GEOTEL COMMUNICATIONS CORP COM                          X                                                73,000       0     4,000
GILLETTE CO  COM                                        X                                                12,900       0    33,600
GLIMCHER REALTY TRUST                                   X                                                 6,900       0     8,400
GRANITE CONSTRUCTION INC                                X                                                62,800       0    19,600
GREAT LAKES CHEM CORP  COM                              X                                               122,300       0    10,400
GREENPOINT FINANCIAL CORP                               X                                                77,686       0    12,220
GTECH HOLDINGS CORP                                     X                                                 5,000       0    26,300
HAEMONETICS CORPORATION                                 X                                                14,600       0       600
HANDLEMAN CO DEL  COM                                   X                                                37,638       0     4,700
HEALTH CARE PPTY INVS INC  COM                          X                                                11,200       0     7,500
HENRY JACK & ASSOC INC  COM  NASD INDL                  X                                                29,400       0     6,400
HEWLETT PACKARD CO  COM                                 X                                                63,500       0         0
HILLENBRAND INDS INC  COM                               X                                               164,540       0    17,800
HINDALCO INDS GDR LUXEMBORG                             X                                                25,800       0     1,000
HOME DEPOT INC  COM                                     X                                               135,200       0     6,600
HORMEL FOODS CORP  COM                                  X                                               364,200       0         0
HOUSTON EXPL CO COM                                     X                                                11,300       0    11,800
HUNT J B TRANS SVCS INC  COM  NASD INDL                 X                                                 1,400       0     6,700
IBP INC  COM                                            X                                               384,500       0     3,300
IRSA GDS                                                X                                                76,961       0     1,700

Page Total


<PAGE>

Page 6 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
ITT INDUSTRIES INC IND  COM                          Common Stock         450911102            14,504         410,000       SH
IMPERIAL OIL LTD COM NEW                             Common Stock         453038408             1,042          54,500       SH
INFOUSA INC CL B                                     Common Stock         456818103                63          13,900       SH
INGERSOLL RAND CO  COM                               Common Stock         456866102             4,124          83,100       SH
INSITUFORM TECH INC CL A NASD INDL                   Common Stock         457667103                11             600       SH
INTEL CORP  COM  NASD INDL                           Common Stock         458140100            32,441         272,900       SH
INTERNATIONAL BUSINESS MACHINES COM                  Common Stock         459200101            25,311         142,800       SH
INTERTAN INC  COM                                    Common Stock         461120107                11           1,100       SH
INTERVOICE INC  COM  NASD INDL                       Common Stock         461142101               281          25,500       SH
INTUIT INC                                           Common Stock         461202103             3,114          30,600       SH
INVACARE CORP  COM  NASD INDL                        Common Stock         461203101                22             900       SH
IVAX CORP  COM                                       Common Stock         465823102                61           5,200       SH
JACOBS ENGR GROUP INC DEL  COM                       Common Stock         469814107               883          22,400       SH
JOHNS MANVILLE CORP NEW COM                          Common Stock         478129109             3,279         190,100       SH
JOHNSON & JOHNSON  COM                               Common Stock         478160104            15,287         163,500       SH
JOHNSON CTLS INC  COM                                Common Stock         478366107             2,152          34,500       SH
JOHNSTOWN AMER INDS                                  Common Stock         479477101               132           8,900       SH
JONES INTERCABLE INC  CL A  NASD INDL                Common Stock         480206200             2,469          62,600       SH
K MART CORP  COM                                     Common Stock         482584109            29,121       1,732,100       SH
KV A PHARMACEUTICAL CO CL A                          Common Stock         482740206                 6             400       SH
KAMAN CORP  CL A  NASD INDL                          Common Stock         483548103               158          12,300       SH
KAUFMAN & BROAD HOME CORP  COM                       Common Stock         486168107             3,946         174,900       SH
KIMBERLY CLARK CORP  COM                             Common Stock         494368103             3,164          66,000       SH
KING WORLD PRODTNS INC  COM                          Common Stock         495667107               373          12,200       SH
KOREA ELECTRIC POWER (KEPCO) ADR                     Sponsored ADR        500631106             1,459         115,000       SH
KRONOS INC                                           Common Stock         501052104                87           3,550       SH
LNR PROPERTY CORP                                    Common Stock         501940100               514          26,000       SH
LABOR READY INC COM NEW                              Common Stock         505401208             2,150          82,300       SH
LAFARGE CORP  COM                                    Common Stock         505862102             1,854          66,200       SH
LANDSTAR SYS INC                                     Common Stock         515098101               719          21,700       SH
LASALLE HOTEL PROPERTIES                             Common Stock         517942108                64           4,800       SH
UNIBANKA 144A LATVIA                                 GDR 144A             518421102                46          28,572       SH
LAUDER ESTEE COS INC CL A                            Common Stock         518439104             9,696         102,600       SH
LEAR CORP  COM                                       Common Stock         521865105               790          18,500       SH
LEARNING COMPANY INC                                 Common Stock         522008101             2,018          69,600       SH
LEGATO SYSTEMS INC COM                               Common Stock         524651106            10,418         201,800       SH
LENNAR CORP  COM                                     Common Stock         526057104               197           8,800       SH
LEXMARK INTL GROUP INC CL A                          Common Stock         529771107             1,891          16,900       SH
LIBERTY PROPERTY TRUST                               Common Stock         531172104               639          30,800       SH
LIFE TECHNOLOGIES INC  COM  NASD INDL                Common Stock         532177201               185           4,800       SH
LILLY ELI & CO  COM                                  Common Stock         532457108             5,788          68,200       SH
LILLY INDL INC CL A NASD INDL                        Common Stock         532491107                88           5,700       SH
LONE STAR INDUSTRIES                                 Common Stock         542290408             1,190          38,400       SH
LONGS DRUG STORES CORP  COM                          Common Stock         543162101               858          28,200       SH
LUCENT TECHNOLOGIES INC COM                          Common Stock         549463107            17,626         163,200       SH
M D C HLDGS INC  COM                                 Common Stock         552676108               288          20,000       SH
MGIC INVT CORP WIS COM                               Common Stock         552848103             4,513         128,700       SH

Page Total                                                                                    205,033

<CAPTION>

                                                                  Item 6:
                 Item 1:                                   Investment Discretion         Item 7:                Item 8:
              Name of Issuer                         (a) Sole  (b) Shared  (c) Shared     Other         Voting Authority (Shares)
                                                                   as Def      Other     Managers     (a) Sole (b) Shared (c) None
- -----------------------------------------            -----------------------------------------------------------------------------
<S>                                                  <C>       <C>         <C>          <C>               <C>    <C>       <C>
ITT INDUSTRIES INC IND  COM                           X                                                 394,200       0         0
IMPERIAL OIL LTD COM NEW                              X                                                  50,000       0     1,000
INFOUSA INC CL B                                      X                                                   8,300       0     6,450
INGERSOLL RAND CO  COM                                X                                                  79,000       0    10,600
INSITUFORM TECH INC CL A NASD INDL                    X                                                     600       0    13,800
INTEL CORP  COM  NASD INDL                            X                                                 258,700       0    25,100
INTERNATIONAL BUSINESS MACHINES COM                   X                                                 136,400       0     2,800
INTERTAN INC  COM                                     X                                                       0       0         0
INTERVOICE INC  COM  NASD INDL                        X                                                  21,500       0     5,700
INTUIT INC                                            X                                                  29,300       0         0
INVACARE CORP  COM  NASD INDL                         X                                                     900       0         0
IVAX CORP  COM                                        X                                                   5,200       0     1,000
JACOBS ENGR GROUP INC DEL  COM                        X                                                  16,600       0     4,300
JOHNS MANVILLE CORP NEW COM                           X                                                 147,700       0     2,700
JOHNSON & JOHNSON  COM                                X                                                 156,100       0       700
JOHNSON CTLS INC  COM                                 X                                                  30,600       0     1,600
JOHNSTOWN AMER INDS                                   X                                                   8,900       0         0
JONES INTERCABLE INC  CL A  NASD INDL                 X                                                  62,600       0     8,000
K MART CORP  COM                                      X                                               1,614,700       0         0
KV A PHARMACEUTICAL CO CL A                           X                                                     400       0         0
KAMAN CORP  CL A  NASD INDL                           X                                                  12,300       0     1,736
KAUFMAN & BROAD HOME CORP  COM                        X                                                 174,300       0         0
KIMBERLY CLARK CORP  COM                              X                                                  63,100       0    10,900
KING WORLD PRODTNS INC  COM                           X                                                  12,200       0         0
KOREA ELECTRIC POWER (KEPCO) ADR                      X                                                 115,000       0         0
KRONOS INC                                            X                                                   3,550       0         0
LNR PROPERTY CORP                                     X                                                  26,000       0         0
LABOR READY INC COM NEW                               X                                                  82,300       0         0
LAFARGE CORP  COM                                     X                                                  52,200       0     1,700
LANDSTAR SYS INC                                      X                                                  19,400       0     1,000
LASALLE HOTEL PROPERTIES                              X                                                   4,800       0         0
UNIBANKA 144A LATVIA                                  X                                                  28,572       0         0
LAUDER ESTEE COS INC CL A                             X                                                  90,600       0     4,200
LEAR CORP  COM                                        X                                                   6,400       0    15,100
LEARNING COMPANY INC                                  X                                                  69,600       0         0
LEGATO SYSTEMS INC COM                                X                                                 193,100       0     6,500
LENNAR CORP  COM                                      X                                                   7,400       0    24,900
LEXMARK INTL GROUP INC CL A                           X                                                  11,600       0     1,100
LIBERTY PROPERTY TRUST                                X                                                  29,000       0       600
LIFE TECHNOLOGIES INC  COM  NASD INDL                 X                                                   4,800       0         0
LILLY ELI & CO  COM                                   X                                                  63,700       0    14,600
LILLY INDL INC CL A NASD INDL                         X                                                   5,700       0    15,500
LONE STAR INDUSTRIES                                  X                                                  37,100       0       700
LONGS DRUG STORES CORP  COM                           X                                                  24,500       0         0
LUCENT TECHNOLOGIES INC COM                           X                                                 155,800       0    15,800
M D C HLDGS INC  COM                                  X                                                  18,300       0     4,500
MGIC INVT CORP WIS COM                                X                                                  99,700       0     5,600

Page Total

<PAGE>

Page 7 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
MACDERMID INC COM NASD INDL                          Common Stock         554273102                20             600       SH
MACERICH CO                                          Common Stock         554382101             1,137          50,100       SH
MACK CALI RLTY CORP COM                              Common Stock         554489104                44           1,500       SH
MACROMEDIA INC                                       Common Stock         556100105             2,388          52,700       SH
MAGNA INTL INC CL A NASD INDL                        Common Stock         559222401               209           3,600       SH
MATAV ADR HUNGARY                                    ADR                  559776109               420          15,700       SH
MALLINCKRODT GROUP INC COM                           Common Stock         561232109             1,070          40,200       SH
MANITOWOC INC COM                                    Common Stock         563571108             3,120          74,500       SH
MAXTOR CORP  COM  NASD INDL                          Common Stock         577729205               179          25,300       SH
MAXWELL TECHNOLOGIES INC NASD INDL                   Common Stock         577767106                23           1,000       SH
MAY DEPT STORES CO  COM                              Common Stock         577778103             2,400          61,350       SH
MCCLATCHY NEWSPAPERS INC  CL A                       Common Stock         579489105               960          28,600       SH
MCDONALDS CORP  COM                                  Common Stock         580135101            10,644         234,900       SH
MEDCO RESEARCH INC                                   Common Stock         584059109               439          16,900       SH
MEDIA GEN INC  CL A                                  Common Stock         584404107               339           7,300       SH
MEDIMMUNE INC                                        Common Stock         584699102               260           4,400       SH
MEDTRONIC INC  COM                                   Common Stock         585055106             1,596          22,200       SH
MENS WEARHOUSE INC                                   Common Stock         587118100               375          13,000       SH
MENTOR GRAPHICS CORP  COM  NASD INDL                 Common Stock         587200106               157          11,600       SH
MERCANTILE BANCORPORATION INC  COM                   Common Stock         587342106               303           6,372       SH
MERCK & CO INC  COM                                  Common Stock         589331107            21,449         267,700       SH
MERCURY INTERACTIVE CORP                             Common Stock         589405109             3,851         108,100       SH
MEREDITH CORP  COM                                   Common Stock         589433101               104           3,300       SH
MERRILL LYNCH & CO INC  COM                          Common Stock         590188108               398           4,500       SH
METRIS COS INC COM                                   Common Stock         591598107             3,517          87,118       SH
MICROSOFT CORP  COM  NASD INDL                       Common Stock         594918104            69,352         773,800       SH
MICRON TECHNOLOGY INC  COM                           Common Stock         595112103               386           8,000       SH
MIDWEST EXPRESS HLDGS INC COM                        Common Stock         597911106             6,439         219,200       SH
MINNESOTA MNG & MFG CO  COM                          Common Stock         604059105             1,663          23,500       SH
MOBIL CORP  COM                                      Common Stock         607059102               845           9,600       SH
MOHAWK INDUSTRIES IN                                 Common Stock         608190104             1,374          45,800       SH
MOLL MAGYAR OLAJ-ES GAZIPARI GDR 144A                GDR 144A             608464103             1,596          74,400       SH
MONSANTO CO  COM                                     Common Stock         611662107             1,576          34,300       SH
MORGAN ST DEAN WITTER & CO                           Common Stock         617446448             8,734          87,395       SH
MOSTOSTAL WARSZAWA GDR144A                           GDR 144A             619717101               118          31,800       SH
MOTOROLA INC  COM                                    Common Stock         620076109               586           8,000       SH
MUELLER INDUSTRIES                                   Common Stock         624756102                56           2,500       SH
MYLAN LABS INC  COM                                  Common Stock         628530107             1,163          42,400       SH
MYLEX CORP                                           Common Stock         628546103               137          21,100       SH
NCI BUILDING SYSTEMS                                 Common Stock         628852105             1,915          81,500       SH
NAMIBIAN MINERALS CORP COM                           Common Stock         629913104               534         203,500       SH
NATIONAL CITY CORP                                   Common Stock         635405103               119           1,800       SH
NATIONAL RV HOLDINGS INC COM                         Common Stock         637277104               144           6,500       SH
NEVADA POWER CO  COM                                 Common Stock         641423108               265          10,700       SH
NEW PLAN EXCEL REALTY TRUST                          Common Stock         648053106                69           3,600       SH
NICE SYSTEMS LTD ADR                                 ADR                  653656108             1,008          34,160       SH
NIELSON MEDIA RESEARCH INC                           Common Stock         653929307               190           7,700       SH

Page Total                                                                                    153,671

<CAPTION>
                                                                  Item 6:
                 Item 1:                                   Investment Discretion         Item 7:                 Item 8:
              Name of Issuer                         (a) Sole  (b) Shared  (c) Shared     Other          Voting Authority (Shares)
                                                                   as Def      Other     Managers      (a) Sole (b) Shared (c) None
- -----------------------------------------            ------------------------------------------------------------------------------
<S>                                                  <C>       <C>         <C>          <C>            <C>         <C>       <C>
MACDERMID INC COM NASD INDL                           X                                                      600       0     4,100
MACERICH CO                                           X                                                   45,200       0         0
MACK CALI RLTY CORP COM                               X                                                    1,500       0         0
MACROMEDIA INC                                        X                                                   52,400       0    14,200
MAGNA INTL INC CL A NASD INDL                         X                                                    3,600       0     3,500
MATAV ADR HUNGARY                                     X                                                   15,700       0     1,700
MALLINCKRODT GROUP INC COM                            X                                                   40,200       0     6,400
MANITOWOC INC COM                                     X                                                   70,600       0     1,100
MAXTOR CORP  COM  NASD INDL                           X                                                   25,300       0     4,000
MAXWELL TECHNOLOGIES INC NASD INDL                    X                                                    1,000       0     1,300
MAY DEPT STORES CO  COM                               X                                                   60,750       0         0
MCCLATCHY NEWSPAPERS INC  CL A                        X                                                   25,000       0         0
MCDONALDS CORP  COM                                   X                                                  225,400       0     6,500
MEDCO RESEARCH INC                                    X                                                   16,500       0     5,800
MEDIA GEN INC  CL A                                   X                                                    1,400       0    42,400
MEDIMMUNE INC                                         X                                                    4,400       0     7,400
MEDTRONIC INC  COM                                    X                                                   19,000       0     3,900
MENS WEARHOUSE INC                                    X                                                   11,700       0         0
MENTOR GRAPHICS CORP  COM  NASD INDL                  X                                                   10,800       0         0
MERCANTILE BANCORPORATION INC  COM                    X                                                    6,288       0   117,400
MERCK & CO INC  COM                                   X                                                  254,700       0         0
MERCURY INTERACTIVE CORP                              X                                                  106,500       0         0
MEREDITH CORP  COM                                    X                                                    3,300       0       600
MERRILL LYNCH & CO INC  COM                           X                                                    4,300       0     2,900
METRIS COS INC COM                                    X                                                   86,918       0         0
MICROSOFT CORP  COM  NASD INDL                        X                                                  741,400       0         0
MICRON TECHNOLOGY INC  COM                            X                                                    6,800       0         0
MIDWEST EXPRESS HLDGS INC COM                         X                                                  219,200       0         0
MINNESOTA MNG & MFG CO  COM                           X                                                   23,200       0         0
MOBIL CORP  COM                                       X                                                    9,100       0         0
MOHAWK INDUSTRIES IN                                  X                                                   45,300       0    14,000
MOLL MAGYAR OLAJ-ES GAZIPARI GDR 144A                 X                                                   74,400       0     2,300
MONSANTO CO  COM                                      X                                                   34,000       0         0
MORGAN ST DEAN WITTER & CO                            X                                                   83,395       0         0
MOSTOSTAL WARSZAWA GDR144A                            X                                                   31,800       0         0
MOTOROLA INC  COM                                     X                                                    7,600       0         0
MUELLER INDUSTRIES                                    X                                                    2,500       0    12,000
MYLAN LABS INC  COM                                   X                                                   12,000       0    12,100
MYLEX CORP                                            X                                                   21,100       0         0
NCI BUILDING SYSTEMS                                  X                                                   77,700       0     8,700
NAMIBIAN MINERALS CORP COM                            X                                                  203,500       0     1,400
NATIONAL CITY CORP                                    X                                                        0       0         0
NATIONAL RV HOLDINGS INC COM                          X                                                    4,500       0     5,300
NEVADA POWER CO  COM                                  X                                                    9,600       0     1,800
NEW PLAN EXCEL REALTY TRUST                           X                                                    3,600       0         0
NICE SYSTEMS LTD ADR                                  X                                                   34,160       0     4,500
NIELSON MEDIA RESEARCH INC                            X                                                    7,300       0         0

Page Total

<PAGE>

Page 8 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:             
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
NICOR INC  COM                                       Common Stock         654086107                25             700       SH
NIKE INC  CL B  NASD INDL                            Common Stock         654106103               248           4,300       SH
NORTEK INC  COM                                      Common Stock         656559101                47           1,900       SH
NORTEL INVERSORA SA ADR PFD B                        ADR                  656567401             2,066         146,300       SH
NORTH FORK BANCORPORATION, INC.                      Common Stock         659424105             6,616         313,204       SH
NORTHN STS PWR CO MINN  COM                          Common Stock         665772109               981          42,300       SH
NORTHERN TELECOM LTD  COM                            Common Stock         665815106               659          10,600       SH
NOVELL INC  COM  NASD INDL                           Common Stock         670006105             6,377         253,200       SH
OEC-MEDICAL SYS INC  COM                             Common Stock         670828102               315          13,700       SH
OCEANEERING INTL INC  COM  NASD INDL                 Common Stock         675232102               287          19,000       SH
OCULAR SCIENCES INC COM                              Common Stock         675744106             2,235          77,900       SH
OFFICE DEPOT INC COM NASD INDL                       Common Stock         676220106             2,153          57,500       SH
OGDEN CORP  COM                                      Common Stock         676346109             2,303          95,700       SH
OLD KENT FINL CORP  COM  NASD INDL                   Common Stock         679833103             2,924          69,100       SH
OMNICARE INC  COM                                    Common Stock         681904108             2,676         140,400       SH
OMEGA HEALTHCARE INV                                 Common Stock         681936100               828          36,100       SH
ON ASSIGNMENT INC                                    Common Stock         682159108               200           7,800       SH
OSHKOSH B GOSH INC  CL A  NASD INDL                  Common Stock         688222207               207          11,700       SH
OSHKOSH TRUCK CORP  CL B  NASD INDL                  Common Stock         688239201                10             300       SH
OSTEOTECH INC COM                                    Common Stock         688582105             1,427          41,500       SH
OUTBACK STEAKHOUSE I                                 Common Stock         689899102                79           2,400       SH
PECO ENERGY CO  COM                                  Common Stock         693304107            32,014         692,200       SH
P P & L RES INC  COM                                 Common Stock         693499105             6,754         272,900       SH
PACIFIC GATEWAY EXCHANGE INC COM                     Common Stock         694327107             1,311          39,500       SH
PACIFICARE HEALTH SYS  CL B                          Common Stock         695112201             4,477          65,600       SH
PAYMENTECH INC                                       Common Stock         704384106               262          11,100       SH
PEPSICO INC  COM                                     Common Stock         713448108               929          23,700       SH
PERSONNEL GROUP AMER INC COM                         Common Stock         715338109                 2             300       SH
PHARMACIA & UPJOHN INC COM                           Common Stock         716941109             3,923          62,900       SH
PFIZER INC  COM                                      Common Stock         717081103            21,562         155,400       SH
PHILIP MORRIS COS INC  COM                           Common Stock         718154107            12,516         355,700       SH
PHILIPPINE LONG DISTANCE TEL                         Common Stock         718252604               331          12,800       SH
PINNACLE SYS INC COM                                 Common Stock         723481107               305           6,700       SH
PINNACLE WEST CAP CORP  COM                          Common Stock         723484101             2,714          74,600       SH
PITTWAY CORP CLASS A                                 Common Stock         725790208               138           5,200       SH
PLANTRONICS INC                                      Common Stock         727493108               601           9,600       SH
PLEXUS CORP                                          Common Stock         729132100               254           9,100       SH
POLARIS INDS INC COM                                 Common Stock         731068102               438          13,800       SH
PREPAID LEGAL SERVICES INC                           Common Stock         740065107             2,668         108,900       SH
PREMARK INTL INC  COM                                Common Stock         740459102            15,843         481,000       SH
PRENTISS PPTYS TRUST                                 Common Stock         740706106             1,941         103,500       SH
PROCTER & GAMBLE CO  COM                             Common Stock         742718109            11,801         120,500       SH
PROGRESS SOFTWARE CO                                 Common Stock         743312100             1,046          30,650       SH
PROLOGIS TRUST                                       Common Stock         743410102             2,474         120,700       SH
PULTE CORP COM                                       Common Stock         745867101               741          35,600       SH
QUAKER OATS CO  COM                                  Common Stock         747402105               274           4,400       SH
QUANTUM CORP  COM  NASD INDL                         Common Stock         747906105             1,465          81,400       SH

Page Total                                                                                    159,447


<CAPTION>

                                                                 Item 6:
                 Item 1:                                  Investment Discretion         Item 7:                Item 8:
              Name of Issuer                        (a) Sole  (b) Shared  (c) Shared     Other         Voting Authority (Shares)
                                                                  as Def      Other     Managers     (a) Sole (b) Shared (c) None
- ------------------------------------------          -----------------------------------------------------------------------------
<S>                                                 <C>       <C>         <C>          <C>           <C>         <C>       <C>
NICOR INC  COM                                       X                                                     700       0         0
NIKE INC  CL B  NASD INDL                            X                                                   4,300       0     1,300
NORTEK INC  COM                                      X                                                   1,900       0     3,700
NORTEL INVERSORA SA ADR PFD B                        X                                                 139,900       0         0
NORTH FORK BANCORPORATION, INC.                      X                                                 304,704       0     7,400
NORTHN STS PWR CO MINN  COM                          X                                                  36,500       0     6,700
NORTHERN TELECOM LTD  COM                            X                                                   7,800       0     1,700
NOVELL INC  COM  NASD INDL                           X                                                 225,200       0    13,495
OEC-MEDICAL SYS INC  COM                             X                                                  12,900       0    29,000
OCEANEERING INTL INC  COM  NASD INDL                 X                                                  14,900       0         0
OCULAR SCIENCES INC COM                              X                                                  76,800       0     4,900
OFFICE DEPOT INC COM NASD INDL                       X                                                  57,500       0         0
OGDEN CORP  COM                                      X                                                  91,000       0       300
OLD KENT FINL CORP  COM  NASD INDL                   X                                                  62,000       0         0
OMNICARE INC  COM                                    X                                                 140,200       0         0
OMEGA HEALTHCARE INV                                 X                                                  35,200       0         0
ON ASSIGNMENT INC                                    X                                                   7,800       0     3,900
OSHKOSH B GOSH INC  CL A  NASD INDL                  X                                                   6,900       0         0
OSHKOSH TRUCK CORP  CL B  NASD INDL                  X                                                       0       0         0
OSTEOTECH INC COM                                    X                                                  41,500       0       600
OUTBACK STEAKHOUSE I                                 X                                                   1,650       0     1,700
PECO ENERGY CO  COM                                  X                                                 682,800       0     3,600
P P & L RES INC  COM                                 X                                                 258,400       0     9,500
PACIFIC GATEWAY EXCHANGE INC COM                     X                                                  39,500       0       400
PACIFICARE HEALTH SYS  CL B                          X                                                  58,200       0       300
PAYMENTECH INC                                       X                                                   9,700       0     5,900
PEPSICO INC  COM                                     X                                                  17,600       0       400
PERSONNEL GROUP AMER INC COM                         X                                                     300       0         0
PHARMACIA & UPJOHN INC COM                           X                                                  60,100       0     3,200
PFIZER INC  COM                                      X                                                 150,000       0     1,300
PHILIP MORRIS COS INC  COM                           X                                                 339,000       0       800
PHILIPPINE LONG DISTANCE TEL                         X                                                  12,800       0        84
PINNACLE SYS INC COM                                 X                                                   6,700       0    13,000
PINNACLE WEST CAP CORP  COM                          X                                                  63,100       0     1,600
PITTWAY CORP CLASS A                                 X                                                   5,200       0         0
PLANTRONICS INC                                      X                                                   9,300       0    12,800
PLEXUS CORP                                          X                                                   7,500       0       200
POLARIS INDS INC COM                                 X                                                  13,800       0       200
PREPAID LEGAL SERVICES INC                           X                                                 108,000       0    32,400
PREMARK INTL INC  COM                                X                                                 480,700       0     1,200
PRENTISS PPTYS TRUST                                 X                                                 103,500       0         0
PROCTER & GAMBLE CO  COM                             X                                                 115,000       0       300
PROGRESS SOFTWARE CO                                 X                                                  29,650       0       500
PROLOGIS TRUST                                       X                                                  90,400       0       500
PULTE CORP COM                                       X                                                  35,600       0         0
QUAKER OATS CO  COM                                  X                                                       0       0       300
QUANTUM CORP  COM  NASD INDL                         X                                                  70,300       0     4,000

Page Total

<PAGE>

Page 9 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:              
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
QUEENS COUNTY BANCOR                                 Common Stock         748242104               181           6,700       SH
RPM INC OHIO  COM  NASD INDL                         Common Stock         749685103             1,731         130,000       SH
RALCORP HLDGS INC COM                                Common Stock         751028101             2,221         116,900       SH
RAYTHEON CL A                                        Common Stock         755111309               211           3,647       SH
READERS DIGEST ASS'N A                               Common Stock         755267101             1,773          56,400       SH
REHABCARE GROUP INC  COM                             Common Stock         759148109                21           1,400       SH
REMEDY CORP                                          Common Stock         759548100                 6             400       SH
RESOURCE AMERICA INC                                 Common Stock         761195205                 7             800       SH
RESOURCES BANCSHARES MTG GRP                         Common Stock         761197102               407          31,600       SH
REXALL SUNDOWN INC                                   Common Stock         761648104                56           2,900       SH
ROADWAY EXPRESS IN                                   Common Stock         769742107               464          27,200       SH
ROBERT HALF INTL INC  COM                            Common Stock         770323103             7,445         226,908       SH
ROCHESTER GAS & ELEC CORP  COM                       Common Stock         771367109               589          23,000       SH
ROSS STORES INC  COM  NASD INDL                      Common Stock         778296103             6,865         156,700       SH
ROYAL DUTCH PETE CO NY REG GLD1.25                   Common Stock         780257804             1,191          22,900       SH
RUBY TUESDAY INC                                     Common Stock         781182100               976          56,200       SH
RYANS FAMILY STEAK HOUSE INC  COM  NASD              Common Stock         783519101               139          11,500       SH
RYLAND GROUP INC  COM                                Common Stock         783764103               932          36,800       SH
SEI CORP  COM  NASD INDL                             Common Stock         784117103             1,915          20,700       SH
SPS TECHNOLOGIES INC  COM                            Common Stock         784626103               220           5,600       SH
SAFEWAY INC                                          Common Stock         786514208             8,939         174,200       SH
ST JUDE MED INC  COM  NASD INDL                      Common Stock         790849103            11,322         464,500       SH
SANMINA CORP                                         Common Stock         800907107             5,425          85,100       SH
SANTA CRUZ OPERATION INC                             Common Stock         801833104               167          30,800       SH
SARA LEE CORP  COM                                   Common Stock         803111103             2,705         109,300       SH
SCHERING PLOUGH CORP  COM                            Common Stock         806605101            25,920         469,140       SH
SCHLUMBERGER LTD  COM                                Common Stock         806857108               343           5,700       SH
SCHOLASTIC CORP                                      Common Stock         807066105               528          10,800       SH
SCHULMAN A INC  COM  NASD INDL                       Common Stock         808194104             1,328          97,500       SH
SCHWAB (CHARLES) CORP                                Common Stock         808513105             4,364          45,400       SH
SEAGATE TECHNOLOGY  COM  NASD INDL                   Common Stock         811804103             4,316         146,000       SH
SEITEL INC  COM NEW                                  Common Stock         816074306             1,213          87,000       SH
SHAW INDUSTRIES                                      Common Stock         820286102            21,405       1,157,000       SH
SHERWIN WILLIAMS CO  COM                             Common Stock         824348106             2,638          93,800       SH
SIEBEL SYSTEMS INC                                   Common Stock         826170102             6,536         137,600       SH
SILICON GRAPHICS INC  COM                            Common Stock         827056102             2,395         144,600       SH
SIMON PROPERTY GROUP INC                             Common Stock         828806109               499          18,200       SH
SMITH A O COM                                        Common Stock         831865209               201          10,600       SH
SOCIEDAD QUIMICA Y MINERA DE CHILE S.A.              Common Stock         833635105               534          16,700       SH
SOLUTIA INC COM                                      Common Stock         834376105             9,728         559,880       SH
SONIC CORP                                           Common Stock         835451105             4,919         182,600       SH
SOUTHDOWN INC  COM                                   Common Stock         841297104             4,043          75,300       SH
SOUTHWEST SECURITIES                                 Common Stock         845224104             2,667          94,400       SH
SPRINGS INDS INC  COM                                Common Stock         851783100               322          11,900       SH
SPRINT CORP COM                                      Common Stock         852061100             7,879          80,300       SH
STANLEY FURNITURE CO INC                             Common Stock         854305208                23           1,200       SH
STERIS CORP                                          Common Stock         859152100             5,163         193,900       SH

Page Total                                                                                    162,872

<CAPTION>
                                                                  Item 6:
                 Item 1:                                   Investment Discretion         Item 7:               Item 8:
              Name of Issuer                         (a) Sole  (b) Shared  (c) Shared     Other        Voting Authority (Shares)
                                                                   as Def      Other     Managers    (a) Sole (b) Shared (c) None
- ---------------------------------------------        ----------------------------------------------------------------------------
<S>                                                  <C>       <C>         <C>          <C>          <C>         <C>       <C>
QUEENS COUNTY BANCOR                                  X                                                  5,500       0         0
RPM INC OHIO  COM  NASD INDL                          X                                                107,700       0       800
RALCORP HLDGS INC COM                                 X                                                116,900       0         0
RAYTHEON CL A                                         X                                                  3,647       0       400
READERS DIGEST ASS'N A                                X                                                 53,400       0         0
REHABCARE GROUP INC  COM                              X                                                  1,400       0         0
REMEDY CORP                                           X                                                      0       0         0
RESOURCE AMERICA INC                                  X                                                    800       0    30,400
RESOURCES BANCSHARES MTG GRP                          X                                                 28,800       0         0
REXALL SUNDOWN INC                                    X                                                  2,900       0     3,800
ROADWAY EXPRESS IN                                    X                                                 22,000       0     3,500
ROBERT HALF INTL INC  COM                             X                                                224,400       0         0
ROCHESTER GAS & ELEC CORP  COM                        X                                                 22,400       0     1,800
ROSS STORES INC  COM  NASD INDL                       X                                                145,800       0         0
ROYAL DUTCH PETE CO NY REG GLD1.25                    X                                                 21,700       0     2,000
RUBY TUESDAY INC                                      X                                                 53,600       0         0
RYANS FAMILY STEAK HOUSE INC  COM  NASD               X                                                 11,500       0     5,000
RYLAND GROUP INC  COM                                 X                                                 33,400       0     1,100
SEI CORP  COM  NASD INDL                              X                                                 20,700       0     2,200
SPS TECHNOLOGIES INC  COM                             X                                                  5,100       0         0
SAFEWAY INC                                           X                                                169,500       0         0
ST JUDE MED INC  COM  NASD INDL                       X                                                449,500       0       400
SANMINA CORP                                          X                                                 77,500       0         0
SANTA CRUZ OPERATION INC                              X                                                 30,800       0         0
SARA LEE CORP  COM                                    X                                                105,600       0         0
SCHERING PLOUGH CORP  COM                             X                                                457,840       0     6,400
SCHLUMBERGER LTD  COM                                 X                                                  5,400       0     8,500
SCHOLASTIC CORP                                       X                                                  6,300       0     5,800
SCHULMAN A INC  COM  NASD INDL                        X                                                 97,200       0     2,800
SCHWAB (CHARLES) CORP                                 X                                                 43,800       0    28,000
SEAGATE TECHNOLOGY  COM  NASD INDL                    X                                                115,300       0       800
SEITEL INC  COM NEW                                   X                                                 73,700       0     4,100
SHAW INDUSTRIES                                       X                                              1,113,000       0     1,100
SHERWIN WILLIAMS CO  COM                              X                                                 93,800       0         0
SIEBEL SYSTEMS INC                                    X                                                123,600       0     4,700
SILICON GRAPHICS INC  COM                             X                                                135,200       0     7,100
SIMON PROPERTY GROUP INC                              X                                                      0       0       200
SMITH A O COM                                         X                                                 10,600       0       900
SOCIEDAD QUIMICA Y MINERA DE CHILE S.A.               X                                                 14,200       0         0
SOLUTIA INC COM                                       X                                                542,780       0    12,700
SONIC CORP                                            X                                                181,700       0     4,800
SOUTHDOWN INC  COM                                    X                                                 70,800       0       300
SOUTHWEST SECURITIES                                  X                                                 94,400       0         0
SPRINGS INDS INC  COM                                 X                                                  9,700       0       750
SPRINT CORP COM                                       X                                                 75,700       0    15,600
STANLEY FURNITURE CO INC                              X                                                  1,200       0     9,400
STERIS CORP                                           X                                                179,600       0     1,500

Page Total


<PAGE>

Page 10 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:              
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
STRIDE RITE CORP  COM                                Common Stock         863314100                20           1,600       SH
SUMMIT BANCORP                                       Common Stock         866005101                10             268       SH
SUMMIT PROPERTIES INC                                Common Stock         866239106               456          27,300       SH
SUN MICROSYSTEMS INC  COM  NASD INDL                 Common Stock         866810104             6,141          49,100       SH
SUPERIOR TELECOM INC                                 Common Stock         868365107               196          10,400       SH
SYNOPSYS INC                                         Common Stock         871607107             4,999          93,000       SH
TJ INTL INC  COM  NASD INDL                          Common Stock         872534102                92           3,800       SH
TJX COS INC NEW  COM                                 Common Stock         872540109            22,950         675,000       SH
TRW INC  COM                                         Common Stock         872649108               378           8,300       SH
TALBOTS INC                                          Common Stock         874161102             1,055          43,300       SH
TECO ELECTRIC & MACHINE GDR 144A                     GDR 144A             878757103                 0               0       SH
TECUMSEH PRODUCTS CO  -CL A                          Common Stock         878895200             6,067         119,100       SH
TELECOM ARGENTINA S.A. ADR (REPR 10 CLB              ADR                  879273209             2,420          88,200       SH
TELEFONICA DE ARGENTINA S A ADR CL B                 Sponsored ADR CL B   879378206             9,196         304,000       SH
TEREX CORP NEW  COM  NASD INDL                       Common Stock         880779103             4,461         184,900       SH
TESORO PETE CORP  COM                                Common Stock         881609101               141          12,800       SH
TEXACO INC  COM                                      Common Stock         881694103               369           6,500       SH
TEXAS INSTRS INC  COM                                Common Stock         882508104             3,940          39,700       SH
TEXAS UTILS CO  COM                                  Common Stock         882848104             9,618         229,000       SH
TIME WARNER INC  COM                                 Common Stock         887315109             9,673         136,600       SH
TIMES MIRROR CO NEW COM SER A                        Common Stock         887364107               763          14,100       SH
TOSCO CORP  COM NEW                                  Common Stock         891490302            11,007         443,600       SH
TRACTOR SUPPLY CO                                    Common Stock         892356106               248           9,700       SH
TRANSACTION SYS ARCHITECTS CL A                      Common Stock         893416107                58           1,600       SH
TRANSCANADA PIPELINES LTD  COM                       Common Stock         893526103               324          25,300       SH
TRANSOCEAN OFFSHORE INC COM                          Common Stock         893817106            10,845         376,400       SH
TRANSWITCH CORP                                      Common Stock         894065101             3,000          66,300       SH
TRICON GLOBAL RESTAURANTS COM                        Common Stock         895953107             1,574          22,400       SH
TRIBUNE CO NEW  COM                                  Common Stock         896047107               321           4,900       SH
TRINITY INDS INC DEL  COM                            Common Stock         896522109               543          18,500       SH
TRIZEC HAHN CORP                                     Common Stock         896938107             1,890         102,500       SH
TUBOS DE ACERO DE MEXICO SA ADR NEW                  ADR New              898592506             2,164         240,400       SH
TYCO INTL LTD NEW COM                                Common Stock         902124106             5,919          82,500       SH
TYSON FOODS INC  CL A  NASD INDL                     Common Stock         902494103                66           3,200       SH
UICI COM                                             Common Stock         902737105               140           6,200       SH
USX MARATHON GROUP COM NEW                           Common Stock         902905827            25,726         935,500       SH
US BANCORP DEL COM                                   Common Stock         902973106             1,758          51,600       SH
URS CORP                                             Common Stock         903236107               623          34,500       SH
USG CORP                                             Common Stock         903293405             3,833          74,600       SH
ULTRAMAR DIAMOND SHAMROCK CO COM                     Common Stock         904000106             5,984         276,700       SH
UNILEVER N.V. NEW YORK SHARES                        Common Stock         904784501             3,461          52,100       SH
UNIONBANCAL CORP COM                                 Common Stock         908906100             1,121          32,900       SH
UNISYS CORP  COM                                     Common Stock         909214108            16,427         593,300       SH
UNITED DOMINION REALTY TR INC  COM                   Common Stock         910197102               180          17,600       SH
UNITED ILLUM CO  COM                                 Common Stock         910637107             3,741          89,200       SH
UNITED TECHNOLOGIES CORP  COM                        Common Stock         913017109            11,092          81,900       SH
UNIVERSAL FOODS CORP  COM                            Common Stock         913538104             2,341         113,500       SH

Page Total                                                                                    197,331


<CAPTION>
                                                                    Item 6:
                 Item 1:                                     Investment Discretion         Item 7:               Item 8:
              Name of Issuer                           (a) Sole  (b) Shared  (c) Shared     Other        Voting Authority (Shares)
                                                                     as Def      Other     Managers    (a) Sole (b) Shared (c) None
- ------------------------------------------             ----------------------------------------------------------------------------
<S>                                                    <C>       <C>         <C>          <C>          <C>         <C>       <C>
STRIDE RITE CORP  COM                                   X                                                      0       0         0
SUMMIT BANCORP                                          X                                                      0       0    14,500
SUMMIT PROPERTIES INC                                   X                                                 27,300       0         0
SUN MICROSYSTEMS INC  COM  NASD INDL                    X                                                 46,700       0     7,400
SUPERIOR TELECOM INC                                    X                                                  9,000       0     1,400
SYNOPSYS INC                                            X                                                 90,100       0     6,100
TJ INTL INC  COM  NASD INDL                             X                                                  3,800       0         0
TJX COS INC NEW  COM                                    X                                                626,100       0     2,800
TRW INC  COM                                            X                                                  6,300       0     5,400
TALBOTS INC                                             X                                                 41,800       0    16,700
TECO ELECTRIC & MACHINE GDR 144A                        X                                                      0       0         0
TECUMSEH PRODUCTS CO  -CL A                             X                                                109,100       0         0
TELECOM ARGENTINA S.A. ADR (REPR 10 CLB                 X                                                 88,200       0         0
TELEFONICA DE ARGENTINA S A ADR CL B                    X                                                291,900       0    11,500
TEREX CORP NEW  COM  NASD INDL                          X                                                182,600       0         0
TESORO PETE CORP  COM                                   X                                                 12,800       0       300
TEXACO INC  COM                                         X                                                  6,200       0     3,800
TEXAS INSTRS INC  COM                                   X                                                 37,600       0     1,600
TEXAS UTILS CO  COM                                     X                                                223,400       0         0
TIME WARNER INC  COM                                    X                                                130,400       0         0
TIMES MIRROR CO NEW COM SER A                           X                                                  9,600       0       900
TOSCO CORP  COM NEW                                     X                                                413,500       0       300
TRACTOR SUPPLY CO                                       X                                                  7,000       0         0
TRANSACTION SYS ARCHITECTS CL A                         X                                                  1,600       0         0
TRANSCANADA PIPELINES LTD  COM                          X                                                 25,300       0     1,600
TRANSOCEAN OFFSHORE INC COM                             X                                                353,200       0     5,500
TRANSWITCH CORP                                         X                                                 65,300       0     1,000
TRICON GLOBAL RESTAURANTS COM                           X                                                 19,000       0         0
TRIBUNE CO NEW  COM                                     X                                                      0       0    30,300
TRINITY INDS INC DEL  COM                               X                                                 15,400       0     4,300
TRIZEC HAHN CORP                                        X                                                 66,300       0         0
TUBOS DE ACERO DE MEXICO SA ADR NEW                     X                                                232,200       0     4,400
TYCO INTL LTD NEW COM                                   X                                                 78,100       0    11,100
TYSON FOODS INC  CL A  NASD INDL                        X                                                  3,200       0     1,200
UICI COM                                                X                                                  6,200       0       500
USX MARATHON GROUP COM NEW                              X                                                894,500       0    14,300
US BANCORP DEL COM                                      X                                                 49,600       0    22,300
URS CORP                                                X                                                 32,300       0         0
USG CORP                                                X                                                 65,600       0    21,700
ULTRAMAR DIAMOND SHAMROCK CO COM                        X                                                263,700       0         0
UNILEVER N.V. NEW YORK SHARES                           X                                                 49,400       0     3,000
UNIONBANCAL CORP COM                                    X                                                      0       0         0
UNISYS CORP  COM                                        X                                                539,000       0     2,400
UNITED DOMINION REALTY TR INC  COM                      X                                                 16,500       0       400
UNITED ILLUM CO  COM                                    X                                                 89,200       0         0
UNITED TECHNOLOGIES CORP  COM                           X                                                 77,300       0     2,800
UNIVERSAL FOODS CORP  COM                               X                                                107,600       0         0

Page Total

<PAGE>

Page 11 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:              
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
USFREIGHTWAYS CORP COM                               Common Stock         916906100             4,912         149,400       SH
URBAN SHOPPING CENTERS INC                           Common Stock         917060105               625          21,800       SH
V F CORP  COM                                        Common Stock         918204108            14,877         313,200       SH
VALASSIS COMMUNICATI                                 Common Stock         918866104             5,413         104,600       SH
VALUE CITY DEPT STOR                                 Common Stock         920387107               243          24,900       SH
VANGUARD CELLULAR SYS INC  CL A  NASD IN             Common Stock         922022108               374          13,700       SH
VARLEN CORP  COM  NASD INDL                          Common Stock         922248109             1,093          49,674       SH
VASTAR RESOURCES INC                                 Common Stock         922380100             2,158          45,200       SH
VETERINARY CENTERS OF AMERICA                        Common Stock         925514101               407          28,800       SH
VIACOM INC CL B                                      Common Stock         925524308             5,003          59,600       SH
VINA CONCHA & TORO ADR                               Sponsored ADR        927191106               120           4,100       SH
VULCAN MATLS CO  COM                                 Common Stock         929160109             2,388          57,800       SH
WAL MART STORES INC  COM                             Common Stock         931142103            44,969         487,800       SH
WALGREEN CO  COM                                     Common Stock         931422109             3,362         119,000       SH
WARNER LAMBERT CO  COM                               Common Stock         934488107            10,766         162,500       SH
WASHINGTON MUTUAL INC                                Common Stock         939322103             1,316          32,200       SH
WATERS CORP COM                                      Common Stock         941848103             3,740          35,600       SH
WATSON PHARMACEUTICALS INC                           Common Stock         942683103               962          21,800       SH
WEINGARTEN RLTY INVS  SH BEN INT                     Common Stock         948741103               654          16,500       SH
WEIS MKTS INC  COM                                   Common Stock         948849104                47           1,300       SH
WELLS FARGO & CO COM                                 Common Stock         949746101             5,158         147,100       SH
WERNER ENTERPRISES INC  COM  NASD INDL               Common Stock         950755108                77           4,900       SH
WESTERNBANK PUERTO RICO                              Common Stock         959897109             1,004          63,020       SH
WESTFIELD AMER INC COM                               Common Stock         959910100                99           5,700       SH
WESTINGHOUSE AIR BRAKE CO COM                        Common Stock         960386100                61           2,900       SH
WET SEAL INC  -CL A                                  Common Stock         961840105               328           8,900       SH
WILEY JOHN & SONS INC  CL A                          Common Stock         968223206               214           5,100       SH
WINSLOEW FURNITURE INC COM                           Common Stock         975377102                30           1,000       SH
XILINX INC COM NASD INDL                             Common Stock         983919101            14,035         346,000       SH
XIRCOM INC                                           Common Stock         983922105             2,698         107,400       SH
XEROX CORP  COM                                      Common Stock         984121103             5,300          99,300       SH
YPF SOCIEDAD ANONIMA ADR                             Sponsored ADR CL D   984245100            18,486         585,700       SH
YELLOW CORP COM                                      Common Stock         985509108               798          45,900       SH
YORK INTL                                            Common Stock         986670107             1,557          44,100       SH
ZALE CORP NEW  COM                                   Common Stock         988858106             4,232         123,800       SH
AES CORP                                             Common Stock         00130H105            12,624         338,900       SH
ADAPTEC INC  COM  NASD INDL                          Common Stock         00651F108             9,474         415,300       SH
ADOBE SYSTEMS                                        Common Stock         00724F101             3,899          68,700       SH
AGRIBRANDS INTERNATIONAL INC                         Common Stock         00849R105               756          23,000       SH
AIRTOUCH COMMUNICATIONS                              Common Stock         00949T100             9,363          96,900       SH
AMERICA ONLINE INC                                   Common Stock         02364J104            16,170         110,000       SH
AMERN EAGLE OUTFITTERS INC                           Common Stock         02553D108             1,634          22,800       SH
AMERICAN FREIGHTWAYS CORP COM                        Common Stock         02629V108                63           4,900       SH
AMERIN CORP                                          Common Stock         03070X106               337          16,600       SH
ANTEC CORP                                           Common Stock         03664P105             1,329          61,800       SH
APARTMENT INVT & MGMT CO CL A                        Common Stock         03748R101             1,711          47,200       SH
ASUSTEK COMPUTER INC GDR 144A                        GDR 144A             04648R100             1,173         128,250       SH

Page Total                                                                                    216,039

<CAPTION>
                                                                 Item 6:
                 Item 1:                                  Investment Discretion         Item 7:               Item 8:
              Name of Issuer                        (a) Sole  (b) Shared  (c) Shared     Other        Voting Authority (Shares)
                                                                  as Def      Other     Managers    (a) Sole (b) Shared (c) None
- ------------------------------------------          ----------------------------------------------------------------------------
<S>                                                 <C>       <C>         <C>          <C>         <C>         <C>       <C>
USFREIGHTWAYS CORP COM                               X                                                149,100       0     5,200
URBAN SHOPPING CENTERS INC                           X                                                 19,100       0     2,508
V F CORP  COM                                        X                                                310,500       0       600
VALASSIS COMMUNICATI                                 X                                                104,200       0    10,900
VALUE CITY DEPT STOR                                 X                                                 24,900       0     1,200
VANGUARD CELLULAR SYS INC  CL A  NASD IN             X                                                      0       0     2,600
VARLEN CORP  COM  NASD INDL                          X                                                 44,799       0         0
VASTAR RESOURCES INC                                 X                                                 44,700       0     3,400
VETERINARY CENTERS OF AMERICA                        X                                                 28,800       0    13,500
VIACOM INC CL B                                      X                                                 56,100       0         0
VINA CONCHA & TORO ADR                               X                                                    800       0       500
VULCAN MATLS CO  COM                                 X                                                 55,400       0     4,700
WAL MART STORES INC  COM                             X                                                471,400       0    15,000
WALGREEN CO  COM                                     X                                                113,500       0     7,600
WARNER LAMBERT CO  COM                               X                                                155,900       0         0
WASHINGTON MUTUAL INC                                X                                                 31,800       0     3,700
WATERS CORP COM                                      X                                                 34,300       0    11,300
WATSON PHARMACEUTICALS INC                           X                                                 19,400       0       300
WEINGARTEN RLTY INVS  SH BEN INT                     X                                                 15,800       0     4,500
WEIS MKTS INC  COM                                   X                                                  1,300       0       300
WELLS FARGO & CO COM                                 X                                                140,500       0     1,600
WERNER ENTERPRISES INC  COM  NASD INDL               X                                                  4,900       0    30,700
WESTERNBANK PUERTO RICO                              X                                                 63,020       0    13,300
WESTFIELD AMER INC COM                               X                                                  5,700       0    44,000
WESTINGHOUSE AIR BRAKE CO COM                        X                                                  2,900       0         0
WET SEAL INC  -CL A                                  X                                                  8,900       0    14,000
WILEY JOHN & SONS INC  CL A                          X                                                  4,600       0     9,400
WINSLOEW FURNITURE INC COM                           X                                                  1,000       0    18,200
XILINX INC COM NASD INDL                             X                                                324,800       0         0
XIRCOM INC                                           X                                                106,300       0     2,500
XEROX CORP  COM                                      X                                                 94,800       0    17,100
YPF SOCIEDAD ANONIMA ADR                             X                                                572,400       0       900
YELLOW CORP COM                                      X                                                 42,500       0     4,500
YORK INTL                                            X                                                 34,900       0         0
ZALE CORP NEW  COM                                   X                                                118,600       0     2,200
AES CORP                                             X                                                338,900       0    14,300
ADAPTEC INC  COM  NASD INDL                          X                                                392,200       0     1,600
ADOBE SYSTEMS                                        X                                                 59,000       0       268
AGRIBRANDS INTERNATIONAL INC                         X                                                 22,700       0         0
AIRTOUCH COMMUNICATIONS                              X                                                 92,300       0     2,400
AMERICA ONLINE INC                                   X                                                106,200       0    22,800
AMERN EAGLE OUTFITTERS INC                           X                                                 22,400       0     1,400
AMERICAN FREIGHTWAYS CORP COM                        X                                                  4,900       0    17,300
AMERIN CORP                                          X                                                 15,600       0         0
ANTEC CORP                                           X                                                 60,100       0     2,900
APARTMENT INVT & MGMT CO CL A                        X                                                 23,700       0         0
ASUSTEK COMPUTER INC GDR 144A                        X                                                128,250       0    48,900

Page Total


<PAGE>

Page 12 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:              
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
AVID TECHNOLOGY INC                                  Common Stock         05367P100               392          22,500       SH
BJS WHOLESALE CLUB INC CO                            Common Stock         05548J106               400          15,200       SH
BANK ONE CORP                                        Common Stock         06423A103             5,882         106,828       SH
BANKAMERICA CORP NEW                                 Common Stock         06605F102            11,181         158,317       SH
BEAZER HOMES USA INC                                 Common Stock         07556Q105                53           2,500       SH
BENCHMARK ELECTRONICS INC                            Common Stock         08160H101               312          10,400       SH
CBS CORP                                             Common Stock         12490K107             3,649          89,412       SH
CABLEVISION SYS CORP  CL A                           Common Stock         12686C109               348           4,700       SH
CARDINAL HEALTH INC  COM NASD INDL                   Common Stock         14149Y108                 0               1       SH
CENTEX CONSTRN PRODS INC                             Common Stock         15231R109               731          21,000       SH
CHASE MANHATTAN CORP NEW  COM                        Common Stock         16161A108            13,793         169,500       SH
CISCO SYSTEMS                                        Common Stock         17275R102            20,748         189,375       SH
COGNOS INC  COM  NASD INDL                           Common Stock         19244C109                42           1,800       SH
CIA BRAS DISTRB PAO ACUCAR ADR BRAZIL                ADR                  20440T201             2,900         198,300       SH
COMP PARANAENSE ENERG (COPEL) ADR PFD                ADR                  20441B407             3,725         496,600       SH
COMPLETE BUSINESS SOLUTIONS                          Common Stock         20452F107             1,849          94,200       SH
CORPORACION GEO,S.A. DE C.V. ADS (GEO AD             ADS                  21986V105                91           7,800       SH
COVENANT TRANSPORT INC CL A                          Common Stock         22284P105                39           2,600       SH
DAL-TILE INTL INC COM                                Common Stock         23426R108             1,079         119,100       SH
DIAL CORP NEW COM                                    Common Stock         25247D101                79           2,300       SH
DIME BANCORP INC                                     Common Stock         25429Q102             4,413         190,300       SH
DUN & BRADSTREET CORP  COM                           Common Stock         26483B106               613          17,200       SH
ENDOSONICS CORP                                      Common Stock         29264K105                 4             600       SH
ENERSIS S A SPONSORED ADR                            Sponsored ADR        29274F104             2,201          82,100       SH
ENTERTAINMENT PROPERTIES TR                          Common Stock         29380T105               304          17,600       SH
FINANCIAL SEC ASSURN HLDGS LTD COM                   Common Stock         31769P100             1,474          29,700       SH
FIRST INDL REALTY TRUST INC                          Common Stock         32054K103               223           9,300       SH
FRONTIER CORP COM                                    Common Stock         35906P105             1,084          20,900       SH
GENSET SA SPONSORED ADR                              Sponsored ADR        37244T104                71           4,600       SH
GEON COMPANY                                         Common Stock         37246W105               237          10,400       SH
GLOBAL TELESYSTEMS GROUP (GTS) INC                   Common Stock         37936U104             1,896          33,900       SH
GRACE W R & CO  COM                                  Common Stock         38388F108             1,945         160,400       SH
GROUP MAINTENANCE AMERICA CORP                       Common Stock         39943E107                 6             500       SH
GRUPO TELEVISA SA DE CV SPN ADR REPORD               Sponsored ADR RepO   40049J206            10,407         331,700       SH
HANGER ORTHOPEDIC GRP                                Common Stock         41043F208               234          17,300       SH
HEALTH MGMT SYS INC                                  Common Stock         42219M100                87          18,300       SH
HOSPITALITY PPTYS TR COM SH BEN INT                  Common Stock         44106M102               696          25,700       SH
ICU MEDICAL INC                                      Common Stock         44930G107                11             700       SH
INSIGNIA FINANCIAL GROUP INC                         Common Stock         45767A105               698          49,664       SH
INTERDIGITAL COMMUNICATIONS CP COM                   Common Stock         45866A105                15           3,500       SH
INTERMET CORP  COM  NASD INDL                        Common Stock         45881K104                95           7,100       SH
JP REALTY INC                                        Common Stock         46624A106               945          48,000       SH
LABORATORIO CHILE SA  SPON ADR                       ADR                  50540H104                76           4,900       SH
MBNA CORP                                            Common Stock         55262L100               186           7,800       SH
MCI WORLDCOM INC COM                                 Common Stock         55268B106            26,181         295,621       SH
MAXXIM MED INC COM                                   Common Stock         57777G105                32           1,700       SH
MEDIA ARTS GROUP INC                                 Common Stock         58439C102               105          11,700       SH

Page Total                                                                                    121,532

<CAPTION>
                                                                  Item 6:
                 Item 1:                                   Investment Discretion         Item 7:              Item 8:
              Name of Issuer                         (a) Sole  (b) Shared  (c) Shared     Other       Voting Authority (Shares)
                                                                   as Def      Other     Managers   (a) Sole (b) Shared (c) None
- ------------------------------------------           ---------------------------------------------------------------------------
<S>                                                  <C>       <C>         <C>          <C>         <C>         <C>       <C>
AVID TECHNOLOGY INC                                   X                                                18,500       0     2,000
BJS WHOLESALE CLUB INC CO                             X                                                15,200       0     1,500
BANK ONE CORP                                         X                                               101,970       0         0
BANKAMERICA CORP NEW                                  X                                               151,265       0    10,000
BEAZER HOMES USA INC                                  X                                                 1,800       0         0
BENCHMARK ELECTRONICS INC                             X                                                 8,600       0    12,100
CBS CORP                                              X                                                89,012       0     2,300
CABLEVISION SYS CORP  CL A                            X                                                     0       0         0
CARDINAL HEALTH INC  COM NASD INDL                    X                                                     1       0       300
CENTEX CONSTRN PRODS INC                              X                                                20,200       0     2,100
CHASE MANHATTAN CORP NEW  COM                         X                                               159,700       0     5,600
CISCO SYSTEMS                                         X                                               180,625       0     6,200
COGNOS INC  COM  NASD INDL                            X                                                 1,800       0     4,500
CIA BRAS DISTRB PAO ACUCAR ADR BRAZIL                 X                                               191,100       0    30,100
COMP PARANAENSE ENERG (COPEL) ADR PFD                 X                                               482,800       0     2,700
COMPLETE BUSINESS SOLUTIONS                           X                                                94,200       0     4,250
CORPORACION GEO,S.A. DE C.V. ADS (GEO AD              X                                                     0       0         0
COVENANT TRANSPORT INC CL A                           X                                                 2,600       0         0
DAL-TILE INTL INC COM                                 X                                               119,100       0    23,200
DIAL CORP NEW COM                                     X                                                     0       0     1,000
DIME BANCORP INC                                      X                                               190,300       0     3,400
DUN & BRADSTREET CORP  COM                            X                                                17,200       0     4,900
ENDOSONICS CORP                                       X                                                     0       0     3,900
ENERSIS S A SPONSORED ADR                             X                                                82,100       0     3,100
ENTERTAINMENT PROPERTIES TR                           X                                                10,300       0    36,200
FINANCIAL SEC ASSURN HLDGS LTD COM                    X                                                29,700       0     8,200
FIRST INDL REALTY TRUST INC                           X                                                 9,300       0     4,400
FRONTIER CORP COM                                     X                                                 3,100       0         0
GENSET SA SPONSORED ADR                               X                                                 4,600       0         0
GEON COMPANY                                          X                                                10,400       0    41,000
GLOBAL TELESYSTEMS GROUP (GTS) INC                    X                                                33,900       0     2,000
GRACE W R & CO  COM                                   X                                               152,400       0     2,200
GROUP MAINTENANCE AMERICA CORP                        X                                                   500       0     4,600
GRUPO TELEVISA SA DE CV SPN ADR REPORD                X                                               320,800       0     9,000
HANGER ORTHOPEDIC GRP                                 X                                                15,600       0    13,000
HEALTH MGMT SYS INC                                   X                                                18,300       0         0
HOSPITALITY PPTYS TR COM SH BEN INT                   X                                                24,600       0     2,700
ICU MEDICAL INC                                       X                                                     0       0    32,900
INSIGNIA FINANCIAL GROUP INC                          X                                                49,664       0    54,300
INTERDIGITAL COMMUNICATIONS CP COM                    X                                                     0       0     1,100
INTERMET CORP  COM  NASD INDL                         X                                                 5,400       0         0
JP REALTY INC                                         X                                                41,500       0     2,800
LABORATORIO CHILE SA  SPON ADR                        X                                                 4,900       0     4,600
MBNA CORP                                             X                                                 1,100       0     5,900
MCI WORLDCOM INC COM                                  X                                               282,126       0       300
MAXXIM MED INC COM                                    X                                                     0       0     2,700
MEDIA ARTS GROUP INC                                  X                                                11,400       0     2,700

Page Total

<PAGE>

Page 13 of 13


   FORM 13F         NAME OF REPORTING MANAGER:        BATTERYMARCH FINANCIAL MANAGEMENT, INC.                Run Date: 04/12/1999
                                                      FOR POSITIONS HELD AS OF 03/31/1999                    --------------------
                                                                                                                S.E.C. Use Only

                                                                                                             --------------------



                                                                                                              Item 5:              
                 Item 1:                              Item 2:             Item 3:             Item4:         Shares or
              Name of Issuer                       Title of Class       CUSIP Number     Fair Market Value   Principal
                                                                                             (X $1000)        Amount
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                                      <C>              <C>                     <C>           <C>         <C>
MEDIAONE GROUP INC                                   Common Stock         58440J104               476           7,500       SH
MERITOR AUTOMOTIVE INC COM                           Common Stock         59000G100               380          24,500       SH
MORRISON HEALTH CARE INC                             Common Stock         61841L108                95           5,300       SH
MORRISON KNUDSEN CORP NEW COM                        Common Stock         61844A109                61           6,100       SH
MUSICLAND STORES COR                                 Common Stock         62758B109                14           1,500       SH
NVR INC                                              Common Stock         62944T105             1,542          36,600       SH
NATIONAL GOLF PPTYS INC                              Common Stock         63623G109               180           8,200       SH
NAVISTAR INTL CORP NEW COM                           Common Stock         63934E108               446          11,100       SH
NETWORK APPLIANCE INC COM                            Common Stock         64120L104             6,986         138,000       SH
NEW CENTURY ENERGIES INC COM                         Common Stock         64352U103             8,999         264,200       SH
ORACLE CORP  COM                                     Common Stock         68389X105             7,123         270,050       SH
OWENS CORNING  COM                                   Common Stock         69073F103             5,504         173,000       SH
PG&E CORP COM                                        Common Stock         69331C108             6,337         204,000       SH
PMC-SIERRA INC COM                                   Common Stock         69344F106             1,879          26,400       SH
PHYSICIAN RELIANCE NETWORK                           Common Stock         71940G108               127          14,900       SH
PLAYTEX PRODUCTS INC                                 Common Stock         72813P100               324          21,400       SH
PLIVA 144A   CROATIA                                 GDR 144A             72917Q103               321          20,000       SH
PREMIERE TECHNOLOGIES INC COM                        Common Stock         74058F102             1,175         103,300       SH
PRIMEDIA INC COM                                     Common Stock         74157K101               175          12,500       SH
PROJECT SOFTWARE & DEV IN  COM                       Common Stock         74339P101             1,132          46,200       SH
PROVIDIAN FINANCIAL CORP COM                         Common Stock         74406A102            14,091         128,100       SH
QUEST DIAGNOSTICS INC COM                            Common Stock         74834L100               165           7,400       SH
QUILMES INDL QUINSA SOC SPON ADR(REP 1NO             Sponsored ADR NV P   74838Y108             2,234         236,750       SH
RATIONAL SOFTWARE CORP COM NEW                       Common Stock         75409P202            16,728         623,900       SH
RELIASTAR FINL CORP  COM                             Common Stock         75952U103             1,543          36,200       SH
SBC COMMUNICATIONS INC                               Common Stock         78387G103            23,881         506,091       SH
SUNOCO INC                                           Common Stock         86764P109            14,804         410,500       SH
SYBRON INTL CORP  COM                                Common Stock         87114F106               875          35,000       SH
SYNCOR INTL CORP DEL  COM  NASD INDL                 Common Stock         87157J106                45           1,600       SH
TRANS WORLD ENTMT CORP COM                           Common Stock         89336Q100               294          26,700       SH
TRIGON HEALTHCARE INC                                Common Stock         89618L100             3,120          91,100       SH
UNICAPITAL CORP                                      Common Stock         90459D108               183          28,700       SH
US WEST INC                                          Common Stock         91273H101             3,358          60,982       SH
WPS RESOURCES CORP COM                               Common Stock         92931B106               254           8,600       SH
WASTE MANAGEMENT INC                                 Common Stock         94106L109             3,762          84,785       SH
TERRA NOVA BERMUDA CL A                              Common Stock         G87615103               545          24,900       SH
TOMMY HILFIGER CORP                                  Common Stock         G8915Z102             7,101         103,100       SH
ORBOTECH LTD ORD NASD INDL                           Common Stock         M75253100               432           8,800       SH
STEINER LEISURE LTD ORD                              Common Stock         P8744Y102             1,049          34,100       SH

Page Total                                                                                    137,740

TOTAL                                                                                       2,241,988


<CAPTION>
                                                                    Item 6:
                 Item 1:                                     Investment Discretion         Item 7:               Item 8:
              Name of Issuer                           (a) Sole  (b) Shared  (c) Shared     Other        Voting Authority (Shares)
                                                                     as Def      Other     Managers    (a) Sole (b) Shared (c) None
- -------------------------------------------            ----------------------------------------------------------------------------
<S>                                                    <C>       <C>         <C>          <C>           <C>         <C>       <C>
MEDIAONE GROUP INC                                      X                                                  7,100       0       400
MERITOR AUTOMOTIVE INC COM                              X                                                 11,700       0         0
MORRISON HEALTH CARE INC                                X                                                  5,300       0    13,700
MORRISON KNUDSEN CORP NEW COM                           X                                                  5,300       0     4,875
MUSICLAND STORES COR                                    X                                                  1,500       0       500
NVR INC                                                 X                                                 33,100       0         0
NATIONAL GOLF PPTYS INC                                 X                                                  8,200       0     3,500
NAVISTAR INTL CORP NEW COM                              X                                                 11,100       0         0
NETWORK APPLIANCE INC COM                               X                                                133,000       0     3,300
NEW CENTURY ENERGIES INC COM                            X                                                262,000       0     2,400
ORACLE CORP  COM                                        X                                                257,350       0     1,100
OWENS CORNING  COM                                      X                                                157,400       0    16,400
PG&E CORP COM                                           X                                                202,500       0     5,500
PMC-SIERRA INC COM                                      X                                                 26,400       0     6,600
PHYSICIAN RELIANCE NETWORK                              X                                                 14,900       0       400
PLAYTEX PRODUCTS INC                                    X                                                 17,600       0     2,300
PLIVA 144A   CROATIA                                    X                                                 20,000       0     1,300
PREMIERE TECHNOLOGIES INC COM                           X                                                103,300       0     2,400
PRIMEDIA INC COM                                        X                                                 10,900       0       700
PROJECT SOFTWARE & DEV IN  COM                          X                                                 46,200       0         0
PROVIDIAN FINANCIAL CORP COM                            X                                                123,800       0     6,600
QUEST DIAGNOSTICS INC COM                               X                                                  6,900       0         0
QUILMES INDL QUINSA SOC SPON ADR(REP 1NO                X                                                222,450       0         0
RATIONAL SOFTWARE CORP COM NEW                          X                                                602,200       0         0
RELIASTAR FINL CORP  COM                                X                                                 33,800       0         0
SBC COMMUNICATIONS INC                                  X                                                492,591       0         0
SUNOCO INC                                              X                                                387,700       0       500
SYBRON INTL CORP  COM                                   X                                                 17,700       0         0
SYNCOR INTL CORP DEL  COM  NASD INDL                    X                                                  1,600       0    21,200
TRANS WORLD ENTMT CORP COM                              X                                                 22,450       0     1,100
TRIGON HEALTHCARE INC                                   X                                                 87,200       0     4,500
UNICAPITAL CORP                                         X                                                 28,700       0    13,300
US WEST INC                                             X                                                 58,182       0     3,400
WPS RESOURCES CORP COM                                  X                                                  7,500       0     9,200
WASTE MANAGEMENT INC                                    X                                                 82,485       0     5,200
TERRA NOVA BERMUDA CL A                                 X                                                 21,600       0     3,300
TOMMY HILFIGER CORP                                     X                                                 93,300       0     9,800
ORBOTECH LTD ORD NASD INDL                              X                                                  8,800       0         0
STEINER LEISURE LTD ORD                                 X                                                 31,000       0     3,100

Page Total

TOTAL
</TABLE>

<PAGE>

<TABLE>
<CAPTION>


                                                                        03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
AAON INC                                     COMMON               000360206               50600          4600
AFSC EQUITY FUND                             COMMON                 0   BLA          10,627,491       599,306
AAR CORP                                     COMMON               000361105             1316397         73903
ABN AMRO HLDG N V ADR                        COMMON               000937102           3,577,803       172,945
AGCO CORP                                    COMMON               001084102             7339500       1118400
AK STL HLDG CORP                             COMMON               001547108              470180         20839
AMR CORP DE                                  COMMON               001765106            53700910        916984
ARM FINL GROUP INC CL                        COMMON               001944107             3644066        243953
AT&T CORP                                    COMMON               001957109              804510         10080
ASA LTD                                      COMMON               002050102           1,211,381        72,865
AAVID THERMAL TECHNOLOGI                     COMMON               002539104               96250          7000
AAMES FINL CORP                              COMMON               00253A101               84375         50000
ABBOTT LABS                                  COMMON               002824100             655,375        14,000
ABITIBI-CONSOLIDATED                         COMMON               003924107             152,500        17,305
ACCEPTANCE INS COS INC                       COMMON               004308102             4312224        319424
ACETO CORP                                   COMMON               004446100              890580         75393
ACME ELEC CORP                               COMMON               004644100              300800         75200
ACUSON CORP                                  COMMON               005113105              132585          8876
ACX TECHNOLOGIES INC                         COMMON               005123104             3459737        263599
ADAMS RES & ENERGY INC                       COMMON               006351308              288600         48100
ADOBE SYS INC                                COMMON               00724F101               22700           400
ADVANCED DIGITAL INFO                        COMMON               007525108              248438         15000
ADVANCED MARKETING SVCS                      COMMON               00753T105              951600         73200
ADVEST GROUP INC                             COMMON               007566102              240500         13000
ADVOCAT INC                                  COMMON               007586100               71725         30200
AEROQUIP-VICKERS INC                         COMMON               007869100              773719         13500
ADVANCED MICRO DEVICES                       COMMON               007903107                2325           150
ADVANTA CORP                                 COMMON               007942105             6929760        626419
ADVANTA CORP                                 COMMON               007942204               43856          4907
AETNA INC.                                   COMMON               008117103             7443440         89680
AFTERMARKET TECHNOLOGY C                     COMMON               008318107             1916356        281300
AIR PRODS & CHEMS INC                        COMMON               009158106            13369488        390350
AIRBORNE FREIGHT DEL                         COMMON               009266107             1588905         51255
AIRPORT SYS INTL INC                         COMMON               00949N103               16400          8200
AKZO N V                                     COMMON               010199305           2,785,915        75,295
ALAMO GROUP INC                              COMMON               011311107              485888         61700
ALASKA AIR GROUP INC                         COMMON               011659109             1009375         21250
ALBANY INTL CORP                             COMMON               012348108             1094794         58389
ALBERTO CULVER CO                            COMMON               013068200              168895          7948
ALBERTSONS INC                               COMMON               013104104               13609           250
ALCAN ALUMINIUM LTD NEW                      COMMON               013716105               12906           500
ALCOA INC                                    COMMON               013817101               65900          1600
ALCATEL ALSTHOM                              COMMON               013904305           1,379,586        60,475
ALFA CORP                                    COMMON               015385107              165668         10274
ALIGN-RITE INTL INC                          COMMON               016251100              983969         85100
ALLEGHENY ENERGY INC                         COMMON               017361106             1514235         51330
ALLEGHENY TELEDYNE INC                       COMMON               017415100                3788           200
                         COLUMN TOTALS:                                               136419604


<CAPTION>



=================================================================================================================================
=================================================================================================================================
                ITEM  1                                      ITEM 6                ITEM 7                    ITEM 8
                                                    INVESTMENT DISCRETION                               VOTING AUTHORITY
                                                                      SHARED
                                          SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE

<S>                                       <C>            <C>           <C>           <C>        <C>            <C>         <C>
AAON INC                                  4600                                         1          4600
AFSC EQUITY FUND                             X                                                       0            0       599,308
AAR CORP                                 73903                                         1         73903
ABN AMRO HLDG N V ADR                        X             X             X                     148,590        1,835        22,520
AGCO CORP                              1111600                                         1       1091700            0         26700
AK STL HLDG CORP                         20839                                         1         20839
AMR CORP DE                             844600                                         1        762209            0        154775
ARM FINL GROUP INC CL                   174633                                         1        228628          180         15145
AT&T CORP                                10080                                         1         10080
ASA LTD                                      X             X             X                      53,315        2,160        17,390
AAVID THERMAL TECHNOLOGI                  7000                                         1          7000
AAMES FINL CORP                          50000                                         1         50000
ABBOTT LABS                                  X                                                  10,000            0         4,000
ABITIBI-CONSOLIDATED                         X                                                       0            0        17,305
ACCEPTANCE INS COS INC                  318324                                         1        312324            0          7100
ACETO CORP                               75393                                         1         72588                       2805
ACME ELEC CORP                           74700                                         1         73000            0          2200
ACUSON CORP                               8876                                         1          8876
ACX TECHNOLOGIES INC                    260999                                         1        251299            0         12300
ADAMS RES & ENERGY INC                   48100                                         1         47300                        800
ADOBE SYS INC                              400                                         1           400
ADVANCED DIGITAL INFO                    15000                                         1         15000
ADVANCED MARKETING SVCS                  73200                                         1         69300                       3900
ADVEST GROUP INC                         13000                                         1         13000
ADVOCAT INC                              30200                                         1         30200
AEROQUIP-VICKERS INC                      9600                                         1         13500            0             0
ADVANCED MICRO DEVICES                     150                                         1           150
ADVANTA CORP                            623119                                         1        615219            0         11200
ADVANTA CORP                              4907                                         1          4907
AETNA INC.                                 150                                         1         70565            0         19115
AFTERMARKET TECHNOLOGY C                279300                                         1        272400            0          8900
AIR PRODS & CHEMS INC                   390350                                         1        390350
AIRBORNE FREIGHT DEL                       200                                         1         39985          140         11130
AIRPORT SYS INTL INC                      8200                                         1          8200
AKZO N V                                     X             X             X                      70,455        1,765         3,075
ALAMO GROUP INC                          61200                                         1         58200            0          3500
ALASKA AIR GROUP INC                     21250                                         1         21250
ALBANY INTL CORP                         55197                                         1         53032            0          5357
ALBERTO CULVER CO                         7948                                         1          7948
ALBERTSONS INC                             250                                         1           250
ALCAN ALUMINIUM LTD NEW                    500                                         1           500
ALCOA INC                                 1600                                         1          1600
ALCATEL ALSTHOM                              X             X             X                      56,780        1,565         2,130
ALFA CORP                                10274                                         1         10274
ALIGN-RITE INTL INC                      85100                                         1         83000                       2100
ALLEGHENY ENERGY INC                     44530                                         1         44530            0          6800
ALLEGHENY TELEDYNE INC                     200                                         1           200
                         COLUMN TOTALS:

</TABLE>


<PAGE>



<TABLE>
<CAPTION>




                                                                      0/3/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                        ITEM 2              ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>

CENTRICA PLC                                 COMMON                 0183901              19,355        11,000
ALLIANT TECHSYSTEMS                          COMMON               018804104             6506328         83750
ALLIED PRODS CORP DEL                        COMMON               019411107              618750        206250
ALLIED RESH CORP                             COMMON               019483106              622013         87300
ALLIEDSIGNAL INC                             COMMON               019512102               29513           600
ALLIED ZURICH PLC ADR                        COMMON               01959Q101           3,955,439       143,521
ALLSTAR SYS INC                              COMMON               019892108               59875         47900
ALLSTATE CORP                                COMMON               020002101            40863570       1102557
ALLTRISTA CORP                               COMMON               020040101             2026050        103900
ALPHA INDS INC                               COMMON               020753109              330750         18000
ALPHANET SOLUTIONS INC                       COMMON               020787107              388648        107213
ALPHARMA INC CL A                            COMMON               020813101             282,600         7,200
AMBAC INC                                    COMMON               023139108            35047728        649032
AMCAST INDL CORP                             COMMON               023395106              491813         30500
AMCOR LTD                                    COMMON               02341R302             360,217        18,355
AMCOL INTL CORP                              COMMON               02341W103              101760         10176
AMERADA HESS CORP                            COMMON               023551104                5088           100
AMERCO                                       COMMON               023586100              206400          9600
AMEREN CORP                                  COMMON               023608102                5428           150
AMERICA WEST HLDG CORP                       COMMON               023657208            13415272        703752
AMERICAN ANNUITY GROUP I                     COMMON               023840101             2016486         92712
AMERICAN BK CONN WATERBU                     COMMON               024327108              349050         17900
AMERICAN BILTRITE INC                        COMMON               024591109              646875         34500
AMERICAN BLDGS CO NEW                        COMMON               024757106             1617588         85700
AMERICAN BUSINESS PRODS                      COMMON               024763104               69384          4956
AMERICAN DENTAL TECHNOLO                     COMMON               025352204              478563        123500
AMERICAN ELEC PWR INC                        COMMON               025537101                7938           200
AMERICAN EXPRESS CO                          COMMON               025816109               58875           500
AMERICAN GENERAL CORP TEXAS                  COMMON               026351106             8763977        124310
AMERICAN HOMESTAR CORP                       COMMON               026651109             1139288        155800
AMERICAN MED SEC GROUP I                     COMMON               02744P101               44128          3152
AMERICAN PHYSICIAN PARTN                     COMMON               028880102              622200        103700
AMERICAN PHYSICIANS SVC                      COMMON               028882108              106425         47300
AMERICAN SAFETY RAZOR CO                     COMMON               029362100             2923463        210700
AMERICAN TOWER CORP                          COMMON               029912201              102484          4183
AMERICAN TECHNICNAL CERA                     COMMON               030137103                8625          1500
AMERICAN VANGUARD CORP                       COMMON               030371108              118950         24400
AMERICAN WOODMARK CORP                       COMMON               030506109              502838         15900
AMERILINK CORP                               COMMON               03070N108              366781         48500
AMERISTAR CASINOS INC                        COMMON               03070Q101              154275         56100
AMERIN CORP                                  COMMON               03070X106             1584579         78010
AMERON INTL INC                              COMMON               030710107             2385600         67200
AMERIPATH INC                                COMMON               03071D109              633600         70400
AMERUS LIFE HLDGS INC                        COMMON               030732101            12022416        500934
AMES DEPARTMENT STORES                       COMMON               030789507             1767150         47600
AMERITECH CORP NEW                           COMMON               030954101             232,805         4,040
AMETEK INC NEW                               COMMON               031100100             2312275        126700
AMGEN INC                                    COMMON               031162100             1150829         15370
                         COLUMN TOTALS:                                               147524044




<CAPTION>



=================================================================================================================================
=================================================================================================================================
                ITEM 1                                ITEM 6                      ITEM 7                      ITEM 8
                                               INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                     SHARED
                                          SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE

<S>                                        <C>           <C>            <C>          <C>           <C>          <C>           <C>
 CENTRICA PLC                                 X                                         1             0            0        11,000
 ALLIANT TECHSYSTEMS                      83750                                         1         80850                       2900
 ALLIED PRODS CORP DEL                   204850                                         1        200650            0          5600
 ALLIED RESH CORP                         87300                                         1         85300                       2000
 ALLIEDSIGNAL INC                           600                                         1           600
 ALLIED ZURICH PLC ADR                        X             X             X                     130,087        2,990        10,444
 ALLSTAR SYS INC                          47900                                         1         47900
 ALLSTATE CORP                           999581                                         1        869917            0        232640
 ALLTRISTA CORP                          103300                                         1        102100            0          1800
 ALPHA INDS INC                           18000                                         1         18000
 ALPHANET SOLUTIONS INC                  106513                                         1        104913            0          2300
 ALPHARMA INC CL A                            X                                                       0            0         7,200
 AMBAC INC                               533000                                         1        510372            0        138660
 AMCAST INDL CORP                         30500                                         1         30500
 AMCOR LTD                                    X                                                       0            0        18,355
 AMCOL INTL CORP                          10176                                         1         10176
 AMERADA HESS CORP                          100                                         1           100
 AMERCO                                    9600                                         1          9600
 AMEREN CORP                                150                                         1           150
 AMERICA WEST HLDG CORP                  694852                                         1        683952            0         19800
 AMERICAN ANNUITY GROUP I                 92712                                         1         81712                      11000
 AMERICAN BK CONN WATERBU                 17900                                         1         17900
 AMERICAN BILTRITE INC                    34500                                         1         32900                       1600
 AMERICAN BLDGS CO NEW                    85200                                         1         84200            0          1500
 AMERICAN BUSINESS PRODS                   4956                                         1          4956
 AMERICAN DENTAL TECHNOLO                123500                                         1        120400                       3100
 AMERICAN ELEC PWR INC                      200                                         1           200
 AMERICAN EXPRESS CO                        500                                         1           500
 AMERICAN GENERAL CORP TEXAS              11800                                         1         96790            0         27520
 AMERICAN HOMESTAR CORP                  155200                                         1        155800            0             0
 AMERICAN MED SEC GROUP I                  3152                                         1          3152
 AMERICAN PHYSICIAN PARTN                103700                                         1        103700
 AMERICAN PHYSICIANS SVC                  47300                                         1         45500                       1800
 AMERICAN SAFETY RAZOR CO                209700                                         1        205400            0          5300
 AMERICAN TOWER CORP                       4183                                         1          4183
 AMERICAN TECHNICNAL CERA                  1500                                         1          1500
 AMERICAN VANGUARD CORP                   24400                                         1         23300                       1100
 AMERICAN WOODMARK CORP                   15900                                         1         15900
 AMERILINK CORP                           48500                                         1         47300                       1200
 AMERISTAR CASINOS INC                    56100                                         1         53500                       2600
 AMERIN CORP                              76610                                         1         78010            0             0
 AMERON INTL INC                          67200                                         1         66200                       1000
 AMERIPATH INC                            69700                                         1         70400            0             0
 AMERUS LIFE HLDGS INC                   499234                                         1        489772            0         11162
 AMES DEPARTMENT STORES                   47600                                         1         37500                      10100
 AMERITECH CORP NEW                           X                                                       0            0         4,040
 AMETEK INC NEW                          126700                                         1        126700
 AMGEN INC                                15370                                         1         15370
                          COLUMN TOTALS:

</TABLE>

<PAGE>

<TABLE>
<CAPTION>




                                                                        03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
AMISTAR CORP                                 COMMON               031535107               52700         24800
AMRESCO INC                                  COMMON               031909104             4086675        531600
AMPCO-PITTSBURGH CORP                        COMMON               032037103             1621476        164200
AMPEX CORP DEL                               COMMON               032092108              174688         65000
AMPLICON INC                                 COMMON               032101107             1154738        111300
AMREP CORP NEW                               COMMON               032159105              357725         69800
AMSOUTH BANCORPORATION                       COMMON               032165102                6825           150
AMWEST INS GROUP INC DEL                     COMMON               032345100               58201          6292
ANCHOR GAMING                                COMMON               033037102             2419375         55300
ANDERSONS INC                                COMMON               034164103             1117926         92200
ANDREW CORP                                  COMMON               034425108            14937846       1213225
ANSYS INC                                    COMMON               03662Q105               83875         12200
ANTEC CORP                                   COMMON               03664P105              106124          4936
AON CORP                                     COMMON               037389103               12650           200
APACHE CORP                                  COMMON               037411105            28427672       1090750
APASCO S.A. DE C.V.                          COMMON               037488103             1024093         33765
APOGEE ENTERPRISES INC                       COMMON               037598109              927438         78100
APPLE COMPUTER INC                           COMMON               037833100                5391           150
APPLEBEES INTL INC                           COMMON               037899101             2553961        102929
APPLIED INDL TECHNOLOGIE                     COMMON               03820C105             3110038        279554
APPLIED SIGNAL TECHNOLOG                     COMMON               038237103              567500         90800
AQUARION CO                                  COMMON               03838W101              771375         28050
ARACRUZ CELULOSE S A                         COMMON               038496204           3,666,688       252,675
ARCADIA FINANCIAL LTD                        COMMON               039101100             3253916        685035
ARCH CHEMICALS INC                           COMMON               03937R102              167500         10000
ARCHER DANIELS MIDLAND C                     COMMON               039483102             5433488        369933
ARCTIC CAT INC                               COMMON               039670104             5279794        531300
ARGONAUT GROUP INC                           COMMON               040157109             1840366         71644
ARK RESTAURANTS CORP                         COMMON               040712101              615600         60800
ARKANSAS BEST CORP DEL                       COMMON               040790107             2264476        332400
ARMCO INC                                    COMMON               042170100             9869001       2224000
ARMSTRONG WORLD INDS INC                     COMMON               042476101             1041798         23055
ARNOLD INDS INC                              COMMON               042595108             5191822        349030
ARVIN INDUSTRIES INC                         COMMON               043339100             9762824        289805
ASHWORTH INC                                 COMMON               04516H101              319550         91300
ASIA PULP & PAPER LTD                        COMMON               04516V100             3898018        465435
ASSOCIATES FIRST CAP COR                     COMMON               046008108               28080           624
ASTRA AB SPON ADR A S                        COMMON               046298105             5845278        254835
ASTRA AB ADR SPONS SH                        COMMON               046298204             215,063         9,585
ASTRONICS CORP                               COMMON               046433108              134017         14107
ASYST TECHNOLOGY CORP                        COMMON               04648X107              195250         14200
ATCHISON CASTING CORP                        COMMON               046613105             1244850        154400
ATLANTIC AMERN CORP                          COMMON               048209100              247200         61800
ATLANTIC RICHFIELD CO DE                     COMMON               048825103            98810783       1351258
ATLANTIS PLASTICS INC                        COMMON               049156102              336375         39000
AUTODESK INC                                 COMMON               052769106             1342525         33200
AUTOLOGIC INFORMATION IN                     COMMON               052803103               61119         12700
AUTOCAM CORP                                 COMMON               052907102              541896         67737
                         COLUMN TOTALS:                                               225185569


<CAPTION>



==================================================================================================================================
==================================================================================================================================
                ITEM 1                                ITEM 6                      ITEM 7                      ITEM 8
                                               INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                    SHARED
                                          SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
 <S>                                       <C>                                           <C>       <C>           <C>          <C>
AMISTAR CORP                              24800                                         1         23600                       1200
AMRESCO INC                              529300                                         1        512600            0         19000
AMPCO-PITTSBURGH CORP                    163700                                         1        159800            0          4400
AMPEX CORP DEL                            65000                                         1         65000
AMPLICON INC                             111300                                         1        105800                       5500
AMREP CORP NEW                            69800                                         1         68100                       1700
AMSOUTH BANCORPORATION                      150                                         1           150
AMWEST INS GROUP INC DEL                   6292                                         1          6292
ANCHOR GAMING                             54200                                         1         50600            0          4700
ANDERSONS INC                             91500                                         1         90900            0          1300
ANDREW CORP                              992550                                         1        962860          140        250225
ANSYS INC                                 12200                                         1         12200
ANTEC CORP                                 4936                                         1          4936
AON CORP                                    200                                         1           200
APACHE CORP                             1090750                                         1        856650            0        234100
APASCO S.A. DE C.V.                       25700                                         1         25700            0          8065
APOGEE ENTERPRISES INC                    75300                                         1         78100            0             0
APPLE COMPUTER INC                          150                                         1           150
APPLEBEES INTL INC                        15339                                         1         80399          210         22320
APPLIED INDL TECHNOLOGIE                 277554                                         1        269754            0          9800
APPLIED SIGNAL TECHNOLOG                  90000                                         1         87200            0          3600
AQUARION CO                               28050                                         1         28050
ARACRUZ CELULOSE S A                          X             X             X                     213,410        4,880        34,585
ARCADIA FINANCIAL LTD                    681100                                         1        667735            0         17300
ARCH CHEMICALS INC                        10000                                         1         10000
ARCHER DANIELS MIDLAND C                   3093                                         1        295969            0         73964
ARCTIC CAT INC                           528400                                         1        518600            0         12700
ARGONAUT GROUP INC                          829                                         1         60094          205         11345
ARK RESTAURANTS CORP                      60800                                         1         59200                       1600
ARKANSAS BEST CORP DEL                   330200                                         1        323700            0          8700
ARMCO INC                               2211800                                         1       2173900            0         50100
ARMSTRONG WORLD INDS INC                    300                                         1         21250            0          1805
ARNOLD INDS INC                          347730                                         1        338730            0         10300
ARVIN INDUSTRIES INC                     230430                                         1        266630          130         23045
ASHWORTH INC                              90300                                         1         91300            0             0
ASIA PULP & PAPER LTD                     35400                                         1        436300        11385         17750
ASSOCIATES FIRST CAP COR                    624                                         1           624
ASTRA AB SPON ADR A S                     69205                                         1        220345         4185         30305
ASTRA AB ADR SPONS SH                         X                                                     130            0         9,455
ASTRONICS CORP                            14107                                         1         14107
ASYST TECHNOLOGY CORP                     14200                                         1         14200
ATCHISON CASTING CORP                    153300                                         1        150900            0          3500
ATLANTIC AMERN CORP                       61800                                         1         57100                       4700
ATLANTIC RICHFIELD CO DE                1245848                                         1       1155639            0        195619
ATLANTIS PLASTICS INC                     39000                                         1         39000
AUTODESK INC                              33200                                         1          7200                      26000
AUTOLOGIC INFORMATION IN                  12700                                         1         12700
AUTOCAM CORP                              67737                                         1         65368                       2369
                         COLUMN TOTALS:

</TABLE>


<PAGE>

<TABLE>



                                                                       03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>

AUTOZONE INC                                 COMMON               053332102                4556           150
AVADO BRANDS INC                             COMMON               05336P108               66928         11272
AVANT CORP                                   COMMON               053487104              177536         10002
AVERY DENNISON CORP                          COMMON               053611109                5750           100
AVIALL INC NEW                               COMMON               05366B102             4984800        321600
AVIS RENT A CAR INC                          COMMON               053790101              181917         10701
AVISTA CORP                                  COMMON               05379B107              485875         29900
AXSYS TECHNOLOGIES INC                       COMMON               054615109              963900         56700
AZTEC MFG CO                                 COMMON               054825104              646712         77800
BAA PLC SPONSORED ADR                        COMMON               05518L206           3,037,104       264,096
BCE INC                                      COMMON               05534B109            99886833       2254145
BCT INTL INC                                 COMMON               055355101              102594         46900
BG PLC ADR FINAL INST                        COMMON               055434104              519447         17721
BHA GROUP HLDGS INC                          COMMON               055446108               34675          3800
BOC GROUP PLC ADR                            COMMON               055617609             3742710        136720
BOK FINL CORP                                COMMON               05561Q201              108047          4196
BP AMOCO P L C                               COMMON               055622104            25145911        248969
BACK BAY RESTAURANT GROU                     COMMON               05635V103              111375         11000
BAIRNCO CORP                                 COMMON               057097107              704900        148400
BAKER MICHAEL CORP                           COMMON               057149106                7250          1000
BAKER HUGHES INC                             COMMON               057224107            28702122       1180550
BAKER J INC                                  COMMON               057232100              165375         44100
BALCHEM CORP                                 COMMON               057665200              150075         26100
BALDWIN TECHNOLOGY INC                       COMMON               058264102              842663        293100
BALTEK CORP                                  COMMON               058822107               63000          7000
BALTIMORE GAS & ELEC CO                      COMMON               059165100                5075           200
BANCINSURANCE CORP                           COMMON               05945K102               99550         18100
BANCO DE SANTANDER                           COMMON               059574202             3638033        181335
BANCTEC INC                                  COMMON               059784108             4958835        402748
BANCWEST CP                                  COMMON               059790105             2516038         59200
BANDAG INC                                   COMMON               059815100             2467778         86779
BANDAG INC                                   COMMON               059815308               77116          3247
BANGOR HYDRO ELEC CO                         COMMON               060077104              750394         59143
BANK ONE CORP                                COMMON               06423A103            94261758       1711904
BANK TOKYO MITSUBISHI                        COMMON               065379109             5049730        360695
BANKATLANTIC BANCORP                         COMMON               065908501             1887806        267300
BANKAMERICA CORP NEW                         COMMON               06605F102            69769238        987882
BANKBOSTON CORP.                             COMMON               06605R106             5301567        122402
BANKERS TR CORP                              COMMON               066365107            17191100        194800
BANKNORTH GROUP INC DEL                      COMMON               06646L100              184416          6528
BARD C R INC                                 COMMON               067383109              726300         14400
BARNES GROUP INC                             COMMON               067806109             5521875        294500
BARNETT INC                                  COMMON               068062108              298375         34100
BARRY R G CORP OHIO                          COMMON               068798107              859575         94200
BASSETT FURNITURE INDS I                     COMMON               070203104              100094          4524
BAY ST GAS CO                                COMMON               072612609              204641          5189
BAYER AG SPONS ADR                           COMMON               072730302           1,526,691        40,985
BAYOU STL CORP LA PLACE                      COMMON               073051104              718125        229800
                         COLUMN TOTALS:                                               388956165


<CAPTION>



=================================================================================================================================
=================================================================================================================================
                ITEM 1                               ITEM 6                  ITEM 7                   ITEM 8
                                              INVESTMENT DISCRETION                              VOTING AUTHORITY
                                                                SHARED
                                    SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED      NONE
<S>                                 <C>           <C>             <C>          <C>           <C>          <C>         <C>
AUTOZONE INC                        150                                         1           150
AVADO BRANDS INC                  11272                                         1         11272
AVANT CORP                        10002                                         1         10002
AVERY DENNISON CORP                 100                                         1           100
AVIALL INC NEW                   320100                                         1        312400            0          9200
AVIS RENT A CAR INC               10701                                         1         10701
AVISTA CORP                       29900                                         1         29900
AXSYS TECHNOLOGIES INC            56700                                         1         54800                       1900
AZTEC MFG CO                      77300                                         1         75400            0          2400
BAA PLC SPONSORED ADR                 X             X             X                     209,346        5,240        49,510
BCE INC                         2006270                                         1       1926626            0        327317
BCT INTL INC                      46900                                         1         44400                       2500
BG PLC ADR FINAL INST              5117                                         1          5117            0         12604
BHA GROUP HLDGS INC                3800                                         1          3800
BOC GROUP PLC ADR                  7400                                         1        114690         2850         19180
BOK FINL CORP                      4196                                         1          4196
BP AMOCO P L C                   209279                                         1        244749            0          4220
BACK BAY RESTAURANT GROU          11000                                         1         11000
BAIRNCO CORP                     147900                                         1        143600            0          4800
BAKER MICHAEL CORP                 1000                                         1                                     1000
BAKER HUGHES INC                1180550                                         1        967250            0        213300
BAKER J INC                       44100                                         1         44100
BALCHEM CORP                      26100                                         1         26100
BALDWIN TECHNOLOGY INC           291400                                         1        281600            0         11500
BALTEK CORP                        7000                                         1          6800                        200
BALTIMORE GAS & ELEC CO             200                                         1           200
BANCINSURANCE CORP                18100                                         1         18100
BANCO DE SANTANDER                 7300                                         1        165670         3825         11840
BANCTEC INC                      398548                                         1        390948            0         11800
BANCWEST CP                         200                                         1         47010          145         12045
BANDAG INC                        85379                                         1         82179            0          4600
BANDAG INC                         3247                                         1          3247
BANGOR HYDRO ELEC CO                200                                         1         45940          155         13048
BANK ONE CORP                   1537102                                         1       1489200            0        222704
BANK TOKYO MITSUBISHI             18500                                         1        297385         7300         56010
BANKATLANTIC BANCORP             265175                                         1        250475            0         16825
BANKAMERICA CORP NEW             929930                                         1        829055            0        158827
BANKBOSTON CORP.                  16300                                         1         91425            0         30977
BANKERS TR CORP                  194800                                         1        194800
BANKNORTH GROUP INC DEL            6528                                         1          6528
BARD C R INC                      14400                                         1         14400
BARNES GROUP INC                 293000                                         1        284600            0          9900
BARNETT INC                       33300                                         1         34100            0             0
BARRY R G CORP OHIO               93800                                         1         92600            0          1600
BASSETT FURNITURE INDS I           4524                                         1          4524
BAY ST GAS CO                      5189                                         1          5189
BAYER AG SPONS ADR                    X             X             X                      38,060        1,025         1,900
BAYOU STL CORP LA PLACE          228600                                         1        224100            0          5700
                         COLUMN TOTALS:


</TABLE>

<PAGE>


<TABLE>
<CAPTION>


                                                                        03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
BEAR STEARNS COS INC                         COMMON               073902108                4692           105
BEAZER HOMES USA INC                         COMMON               07556Q105             2411241        114821
BECKMAN COULTER INC C                        COMMON               075811109             2083983         47095
BEL FUSE INC                                 COMMON               077347201              578100         14100
BEL FUSE INC                                 COMMON               077347300              767250         24750
BELCO OIL & GAS CORP                         COMMON               077410108               18406          3100
BELDEN INC                                   COMMON               077459105             8886150        520800
BELL ATLANTIC CORP                           COMMON               077853109            23481121        454289
BELL INDS INC                                COMMON               078107109              140063         13500
BELL MICROPRODUCTS INC                       COMMON               078137106              311006         51300
BELLSOUTH CORP                               COMMON               079860102               96150          2400
BEN FRANKLIN RETAIL STOR                     COMMON               081499105                  75          4660
BENIHANA INC                                 COMMON               082047200              103513          9100
BERKLEY W R CORP                             COMMON               084423102              216360          8831
BEVERLY ENTERPRISES INC                      COMMON               087851309             4977928        971303
BIG DOG HLDGS INC                            COMMON               089128102               15525          2700
BILLITON                                     COMMON               090171109           3,009,620     1,148,710
BINDLEY WESTN INDS INC                       COMMON               090324104              132359          4634
BIO RAD LABS INC                             COMMON               090572207             3096955        152935
BIOSOURCE INTL INC                           COMMON               09066H104              388875         91500
BLACK HAWK GAMING & DEV                      COMMON               092067107              161875         25900
BLACK HILLS CORP                             COMMON               092113109              104921          4923
BLAIR CORP                                   COMMON               092828102             2319975        147300
BLIMPIE INTL INC                             COMMON               093538106              257644        105700
BLOCK DRUG INC                               COMMON               093644102             2166724         52847
BLOCK H & R INC                              COMMON               093671105              579870         12240
BLONDER TONGUE LABS INC                      COMMON               093698108              572000        114400
BLOUNT INTL INC                              COMMON               095177101              918947         31825
BLUEGREEN CORP                               COMMON               096231105             1397663        286700
BOISE CASCADE OFFICE PRO                     COMMON               097403109             6094531        547823
BON-TON STORES INC                           COMMON               09776J101             1766313        239500
BORG-WARNER AUTOMOTIVE                       COMMON               099724106              773654         16181
BORG WARNER SECURITY CORP                    COMMON               099733107             2138160        127650
BOSTON ACOUSTICS INC                         COMMON               100534106             1179750         72600
BOSTON CHICKEN INC                           COMMON               100578103               15217         21738
BOWATER INC                                  COMMON               102183100            32423156        818250
BOWNE & CO INC                               COMMON               103043105             3772538        322784
BOYD BROS TRANSPORTATION                     COMMON               103255105              338000         41600
BOYD GAMING CORP                             COMMON               103304101             3972292        934657
BRIDGEPORT MACHS INC                         COMMON               108228107              360732         58300
BRISTOL MYERS SQUIBB CO                      COMMON               110122108            31876538        497100
BRITISH AWYS PLC                             COMMON               110419306             3812119         55550
BROOKS AUTOMATION INC                        COMMON               11434A100             1115266         49844
BROWNING FERRIS INDS                         COMMON               115885105                7713           200
BRUSH WELLMAN INC                            COMMON               117421107               91843          6334
BRYLANE INC                                  COMMON               117661108             3710250        153000
BTR SIEBE PLC ADR SPO                        COMMON               11776R109             302,194        34,050
BUCKEYE TECHNOLOGIES                         COMMON               118255108             6028400        430600
                         COLUMN TOTALS:                                               158977657


<CAPTION>

===========================================================================================================================
===========================================================================================================================
         ITEM 1                                         ITEM 6                ITEM 7                     ITEM 8
                                                INVESTMENT DISCRETION                               VOTING AUTHORITY
                                                                 SHARED
                                     SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE

<S>                                   <C>           <C>           <C>            <C>         <C>            <C>          <C>
BEAR STEARNS COS INC                  105                                         1           105
BEAZER HOMES USA INC               114321                                         1        112121            0          2700
BECKMAN COULTER INC C                 150                                         1         36955          125         10015
BEL FUSE INC                        14100                                         1         14100
BEL FUSE INC                        24750                                         1         24750
BELCO OIL & GAS CORP                 3100                                         1          3100
BELDEN INC                         518300                                         1        508900            0         11900
BELL ATLANTIC CORP                 358968                                         1        423284            0         31005
BELL INDS INC                       13500                                         1         13500
BELL MICROPRODUCTS INC              51300                                         1         51300
BELLSOUTH CORP                       2400                                         1          2400
BEN FRANKLIN RETAIL STOR             4660                                         1          4660
BENIHANA INC                         9100                                         1          8100                       1000
BERKLEY W R CORP                     8831                                         1          8831
BEVERLY ENTERPRISES INC            932900                                         1        921500            0         49803
BIG DOG HLDGS INC                    2700                                         1          2700
BILLITON                                X             X             X                   1,001,055        27,555      120,100
BINDLEY WESTN INDS INC               4634                                         1          4634
BIO RAD LABS INC                    68400                                         1        129840          255         22840
BIOSOURCE INTL INC                  90800                                         1         88200            0          3300
BLACK HAWK GAMING & DEV             25900                                         1         24900                       1000
BLACK HILLS CORP                     4923                                         1          4923
BLAIR CORP                         145900                                         1        143700            0          3600
BLIMPIE INTL INC                   104700                                         1        102500            0          3200
BLOCK DRUG INC                        212                                         1         42123          142         10582
BLOCK H & R INC                     12240                                         1         12240
BLONDER TONGUE LABS INC            113700                                         1        111600            0          2800
BLOUNT INTL INC                     31825                                         1         26725                       5100
BLUEGREEN CORP                     284600                                         1        277600            0          9100
BOISE CASCADE OFFICE PRO           547823                                         1        532323                      15500
BON-TON STORES INC                 238000                                         1        232700            0          6800
BORG-WARNER AUTOMOTIVE              16181                                         1         16181
BORG WARNER SECURITY CORP             500                                         1        100430          360         26860
BOSTON ACOUSTICS INC                72600                                         1         70950                       1650
BOSTON CHICKEN INC                  21738                                         1         21738
BOWATER INC                        818250                                         1        699950            0        118300
BOWNE & CO INC                     315584                                         1        307184            0         15600
BOYD BROS TRANSPORTATION            41600                                         1         39800                       1800
BOYD GAMING CORP                   927657                                         1        906257            0         28400
BRIDGEPORT MACHS INC                57800                                         1         56000            0          2300
BRISTOL MYERS SQUIBB CO            493400                                         1        493400            0          3700
BRITISH AWYS PLC                     8100                                         1         41915          960         12675
BROOKS AUTOMATION INC                 140                                         1         39056          140         10648
BROWNING FERRIS INDS                  200                                         1           200
BRUSH WELLMAN INC                    6334                                         1          6334
BRYLANE INC                        151200                                         1        150900            0          2100
BTR SIEBE PLC ADR SPO                   X                                                       0            0        34,050
BUCKEYE TECHNOLOGIES               427400                                         1        415200            0         15400
                     COLUMN TOTALS:
</TABLE>


<PAGE>

<TABLE>

<CAPTION>

                                                                       03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
BUDGET GROUP INC                             COMMON               119003101             4542300        370800
BUFFETS INC                                  COMMON               119882108              217250         22000
BUILDING MATLS HLDG CORP                     COMMON               120113105             1743525        172200
BUILDING ONE SVCS CORP                       COMMON               120114103              126122          7338
BURLINGTON COAT FACTRY                       COMMON               121579106             9435523        803022
BURLINGTON INDS INC                          COMMON               121693105             8944201       1350068
BURLINGTON NORTHN SANTA                      COMMON               12189T104            13071100        397600
BURLINGTON RES INC                           COMMON               122014103              104037          2605
BUTLER MFG CO DEL                            COMMON               123655102             3300000        140800
C&D TECHNOLOGIES INC                         COMMON               124661109              676600         27200
CAI WIRELESS SYS INC                         COMMON               12476P104                 118          5899
CBL MED INC                                  COMMON               124831108                 253           900
CCA INDS INC                                 COMMON               124867102              120656         99000
CBRL GROUP INC COM                           COMMON               12489V106             1996560        110920
C D I CORP                                   COMMON               125071100             7543594        313500
CFC INTL INC                                 COMMON               125252106               12350          1300
CFI PROSERVICES INC                          COMMON               12525N100              186725         15400
CHS ELECTRONICS INC                          COMMON               12542A206             1269581        398300
CIGNA CP                                     COMMON               125509109            40210058        479763
CIT GROUP INC CL A                           COMMON               125577106            50456523       1650928
CLECO CORP                                   COMMON               12561M107             4333255        146890
CMP GROUP INC (HLDG CO)                      COMMON               125887109             2432768        132395
CMS ENERGY CORP                              COMMON               125896100                4025           100
CPB INC                                      COMMON               125903104              800175         45400
CTG RES INC                                  COMMON               125957100              469569         19464
CNF TRANSPORTATION INC                       COMMON               12612W104            34137424        902806
CPAC INC                                     COMMON               126145101              952113        129100
C P CLARE CORP                               COMMON               12615K107              416513        114900
CSX CORP                                     COMMON               126408103            14848816        381350
CTS CORP                                     COMMON               126501105             1304310         26383
CVS CORP                                     COMMON               126650100               38000           800
CABLE DESIGN TECHNOLOGIE                     COMMON               126924109             2296800        208800
CABOT INDUSTRIAL TRUST                       COMMON               127072106              283125         15000
CABOT OIL & GAS CORP                         COMMON               127097103              118229          8189
CACHE INC                                    COMMON               127150308              209575         33200
CAL MAINE FOODS INC                          COMMON               128030202              165000         30000
CALLAWAY GOLF CO                             COMMON               131193104                1019           100
CALPINE CORP                                 COMMON               131347106             3024313         83000
CAMDEN PPTY TR                               COMMON               133131102             5496307        222073
CAMERON ASHLEY BUILDING                      COMMON               133290106             1676263        183700
CANADIAN PAC LTD NEW                         COMMON               135923100              119331          6100
CANNON EXPRESS INC                           COMMON               137694105               25185          7900
CANNONDALE CORP                              COMMON               137798104             1267138        151300
CANON INC ADR                                COMMON               138006309             4452449        186490
CAPITAL RE CORP                              COMMON               140432105             9256126        536587
CARBIDE/GRAPHITE GROUP I                     COMMON               140777103             1837875        169000
CARAUSTAR INDS INC                           COMMON               140909102             1672100         72700
CAROLINA PWR & LT CO                         COMMON               144141108                7563           200
                         COLUMN TOTALS:                                               235602442

<CAPTION>




===============================================================================================================================
===============================================================================================================================
                ITEM 1                        ITEM 6                      ITEM 7                      ITEM 8
                                       INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                             SHARED
                                 SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE

<S>                             <C>             <C>           <C>            <C>          <C>               <C>       <C>
BUDGET GROUP INC                368100                                         1        360800            0         10000
BUFFETS INC                      21600                                         1         22000            0             0
BUILDING MATLS HLDG CORP        171000                                         1        167300            0          4900
BUILDING ONE SVCS CORP            7338                                         1          7338
BURLINGTON COAT FACTRY          698487                                         1        693357          265        109400
BURLINGTON INDS INC            1341168                                         1       1321468            0         28600
BURLINGTON NORTHN SANTA         397600                                         1        397600
BURLINGTON RES INC                2605                                         1          2605
BUTLER MFG CO DEL               140400                                         1        137300            0          3500
C&D TECHNOLOGIES INC             27200                                         1         27200
CAI WIRELESS SYS INC              5899                                         1          5899
CBL MED INC                        900                                         1           900
CCA INDS INC                     99000                                         1         95900                       3100
CBRL GROUP INC COM                 390                                         1         90955          335         19630
C D I CORP                      311500                                         1        313500            0             0
CFC INTL INC                      1300                                         1          1300
CFI PROSERVICES INC              15400                                         1         15400
CHS ELECTRONICS INC             396300                                         1        398300            0             0
CIGNA CP                        406950                                         1        374808            0        104955
CIT GROUP INC CL A              406950                                         1        374808            0        324470
CLECO CORP                      146890                                         1        135190                      11700
CMP GROUP INC (HLDG CO)            250                                         1        106625          310         25460
CMS ENERGY CORP                    100                                         1           100
CPB INC                          45400                                         1         44200                       1200
CTG RES INC                      19302                                         1         16486            0          2978
CNF TRANSPORTATION INC          766945                                         1        710941            0        191865
CPAC INC                        128000                                         1        125900            0          3200
C P CLARE CORP                  114900                                         1        110600                       4300
CSX CORP                        381350                                         1        381350
CTS CORP                         26383                                         1         26383
CVS CORP                           800                                         1           800
CABLE DESIGN TECHNOLOGIE        207700                                         1        208800            0             0
CABOT INDUSTRIAL TRUST           15000                                         1         15000
CABOT OIL & GAS CORP              8189                                         1          8189
CACHE INC                        32300                                         1         33200            0             0
CAL MAINE FOODS INC              30000                                         1         30000
CALLAWAY GOLF CO                   100                                         1           100
CALPINE CORP                     83000                                         1         83000
CAMDEN PPTY TR                  222073                                         1        195320                      26753
CAMERON ASHLEY BUILDING         183200                                         1        179200            0          4500
CANADIAN PAC LTD NEW              6100                                         1          2400                       3700
CANNON EXPRESS INC                7900                                         1          7900
CANNONDALE CORP                 149600                                         1        147300            0          4000
CANON INC ADR                    25700                                         1        150755         3320         32415
CAPITAL RE CORP                 530187                                         1        522987            0         13600
CARBIDE/GRAPHITE GROUP I        168600                                         1        165000            0          4000
CARAUSTAR INDS INC               72700                                         1         69100                       3600
CAROLINA PWR & LT CO               200                                         1           200

                         COLUMN TOTALS:
</TABLE>


<PAGE>

<TABLE>
<CAPTION>

                                                                        03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
CARPENTER TECHNOLOGY COR                     COMMON               144285103             9600999        370159
CARTER WALLACE INC                           COMMON               146285101              114678          6371
CASCADE CORP                                 COMMON               147195101             2007063        188900
CASE CORP                                    COMMON               14743R103             4559888        179700
CASTLE A M & CO                              COMMON               148411101              304719         24875
CASTLE ENERGY CORP                           COMMON               148449309              236800         14800
CATALINA LTG INC                             COMMON               148865108              119075         43300
CATERPILLAR INC DEL                          COMMON               149123101             4635679        100913
CATO CORP NEW                                COMMON               149205106              754313         81000
CAVALIER HOMES INC                           COMMON               149507105             1629705        169320
CELLSTAR CORP                                COMMON               150925105             1870613        180300
CENDANT CORP                                 COMMON               151313103               27094          1700
CENTEX CONSTRUCTION PROD                     COMMON               15231R109             8382606        240793
CENTRAL & SOUTH WEST COR                     COMMON               152357109            11630859        496250
CENTRAL GARDEN & PET                         COMMON               153527106              153613          9103
CENTRAL HUDSON GAS & ELE                     COMMON               153609102              358125         10000
CENTRAL VT PUB SVC CORP                      COMMON               155771108              704693         70030
CENTRIS GROUP INC                            COMMON               155904105             1101669        104300
CENTURY ALUMINUM CO                          COMMON               156431108             1509548        265410
CENVILL DEV CORP NEW                         COMMON               156906109                4659          9300
CHAMPION INTL CORP                           COMMON               158525105            10939050        266400
CHANNELL COML CORP                           COMMON               159186105             1366819        155100
CHART INDS INC                               COMMON               16115Q100              154875         23600
CHARTWELL RE CORP                            COMMON               16139W109             3324075        192700
CHASE CORP                                   COMMON               16150R104                1044           100
CHASE INDS INC                               COMMON               161568100             1835719        240750
CHASE MANHATTAN CORPO                        COMMON               16161A108            67828777        833533
CHECKPOINT SYSTEMS INC                       COMMON               162825103              107597         12944
CHELSEA GCA RLTY INC                         COMMON               163262108             7496981        268950
CHEMED CORP                                  COMMON               163596109               90074          3498
CHEMFIRST INCORPORATED                       COMMON               16361A106             2268728         96540
CHEMICAL FINL CORP                           COMMON               163731102               99552          3111
CHERRY CORP                                  COMMON               164541203             1795500        133000
CHESAPEAKE CORP VA                           COMMON               165159104             1017187         37500
CHESAPEAKE UTILS CORP                        COMMON               165303108              229694         14300
CHEVRON CORPORATION                          COMMON               166751107               62125           700
CHICAGO RIVET & MACH CO                      COMMON               168088102               89700          3900
CHIQUITA BRANDS INTL INC                     COMMON               170032106              140149         13757
CHITTENDEN CORP                              COMMON               170228100              159351          5971
CHOCK FULL O NUTS CORP                       COMMON               170268106              623700        113400
CHROMCRAFT REVINGTON INC                     COMMON               171117104             1935200        131200
CHUBB CORP                                   COMMON               171232101            13337493        227748
CINCINNATI FINL CORP                         COMMON               172062101                7288           200
CINERGY CORP                                 COMMON               172474108              104500          3800
CIRCLE INTL GROUP INC                        COMMON               172574105             1398189         96013
CIRRUS LOGIC INC                             COMMON               172755100              144069         22599
CITATION CORP                                COMMON               172895104             3863225        376900
CITIGROUP INC                                COMMON               172967101              210788          3300
                         COLUMN TOTALS:                                               170337847

<CAPTION>




============================================================================================================================
============================================================================================================================
                ITEM 1                                 ITEM 6                ITEM 7                    ITEM 8
                                                INVESTMENT DISCRETION                              VOTING AUTHORITY
                                                                SHARED
                                    SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
<S>                                 <C>             <C>            <C>         <C>            <C>          <C>        <C>
CARPENTER TECHNOLOGY COR           368559                                         1        361059            0          9100
CARTER WALLACE INC                   6371                                         1          6371
CASCADE CORP                       188300                                         1        183700            0          5200
CASE CORP                          179700                                         1        179700
CASTLE A M & CO                     24875                                         1         24875
CASTLE ENERGY CORP                  14800                                         1         13800                       1000
CATALINA LTG INC                    43300                                         1         43300
CATERPILLAR INC DEL                   900                                         1         77963            0         22950
CATO CORP NEW                       81000                                         1         81000
CAVALIER HOMES INC                 168320                                         1        163180            0          6140
CELLSTAR CORP                      174500                                         1        180300            0             0
CENDANT CORP                         1700                                         1          1700
CENTEX CONSTRUCTION PROD           239193                                         1        228693            0         12100
CENTRAL & SOUTH WEST COR           496250                                         1        496250
CENTRAL GARDEN & PET                 9103                                         1          9103
CENTRAL HUDSON GAS & ELE            10000                                         1         10000
CENTRAL VT PUB SVC CORP               240                                         1         54120          175         15735
CENTRIS GROUP INC                  104300                                         1        104300
CENTURY ALUMINUM CO                 72200                                         1        231160          500         33750
CENVILL DEV CORP NEW                 9300                                         1          9300
CHAMPION INTL CORP                 266400                                         1        266400
CHANNELL COML CORP                 154600                                         1        151000            0          4100
CHART INDS INC                      23600                                         1         23600
CHARTWELL RE CORP                  190800                                         1        188200            0          4500
CHASE CORP                            100                                         1           100
CHASE INDS INC                     239000                                         1        234050            0          6700
CHASE MANHATTAN CORPO              762944                                         1        767348            0         66185
CHECKPOINT SYSTEMS INC              12944                                         1         12944
CHELSEA GCA RLTY INC               268950                                         1        238150                      30800
CHEMED CORP                          3498                                         1          3498
CHEMFIRST INCORPORATED              28940                                         1         81535          185         14820
CHEMICAL FINL CORP                   3111                                         1          3111
CHERRY CORP                        130500                                         1        126600            0          6400
CHESAPEAKE CORP VA                  29800                                         1         29800            0          7700
CHESAPEAKE UTILS CORP               14300                                         1         14300
CHEVRON CORPORATION                   700                                         1           700
CHICAGO RIVET & MACH CO              3900                                         1          3900
CHIQUITA BRANDS INTL INC            13757                                         1         13757
CHITTENDEN CORP                      5971                                         1          5971
CHOCK FULL O NUTS CORP             111300                                         1        108800            0          4600
CHROMCRAFT REVINGTON INC           130000                                         1        127400            0          3800
CHUBB CORP                         221800                                         1        220600            0          7148
CINCINNATI FINL CORP                  200                                         1           200
CINERGY CORP                         3800                                         1          1600                       2200
CIRCLE INTL GROUP INC               94813                                         1         96013            0             0
CIRRUS LOGIC INC                    22599                                         1         22599
CITATION CORP                      375100                                         1        368700            0          8200
CITIGROUP INC                        3300                                         1          3300

                 COLUMN TOTALS:
</TABLE>


<PAGE>

<TABLE>
<CAPTION>


                                                                       03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
CLARCOR INC                                  COMMON               179895107              162930          9549
CLEVELAND CLIFFS INC                         COMMON               185896107            10020080        294167
COACHMEN INDUSTRIES                          COMMON               189873102              128535          6270
COAST DENTAL SVCS INC                        COMMON               19034H102              291619         45300
COASTAL CORP                                 COMMON               190441105                8250           250
COBRA ELECTRS CORP                           COMMON               191042100              394125        105100
COGENERATION CORP AMER                       COMMON               19238M105             1029288        122900
COGNITRONICS CORP                            COMMON               192432102              430950         50700
COHERENT INC                                 COMMON               192479103              119474          8689
COHU INC                                     COMMON               192576106             2176200         93600
COLD METAL PRODS INC                         COMMON               192861102               22750         13000
COLDWATER CREEK INC                          COMMON               193068103              230000         20000
COLE NATIONAL CORP NEW                       COMMON               193290103             2617050        143400
COLLINS INDS INC                             COMMON               194858106              172900         36400
COLONIAL PROPERTIES TR ALABAMA               COMMON               195872106             7189263        281930
COLTEC INDS INC                              COMMON               196879100              154594          8500
COLUMBIA ENERGY GROUP                        COMMON               197648108               62700          1200
COLUMBIA/HCA HEALTHCARE CORP                 COMMON               197677107             5356692        282859
COLUMBUS MCKINNON CORP N                     COMMON               199333105             4811888        239100
COMDIAL CORP                                 COMMON               200332302              302250         46500
COMMERCE GROUP INC MASS                      COMMON               200641108              443427         18053
COMMERCIAL FEDERAL CORPO                     COMMON               201647104              459623         19822
COMMERCIAL INTERTECH COR                     COMMON               201709102             1922401        172800
COMMERCIAL METALS CO                         COMMON               201723103             6333080        316654
COMMONWEALTH ENERGY SYS                      COMMON               202800108             3760860         98970
COMMUNICATIONS SYS INC                       COMMON               203900105              474050         49900
COMPAQ COMPUTER CORP                         COMMON               204493100              462352         14591
COMPDENT CORP                                COMMON               20449F103              632500         50600
COMPUCOM SYS INC                             COMMON               204780100             1457476        496162
COMPUTER ASSOC INTL INC                      COMMON               204912109             4871730        136989
CONCORD CAMERA CORP                          COMMON               206156101              523257        129800
CONCORD FABRICS INC                          COMMON               206219206              120863         29300
CONECTIV INC                                 COMMON               206829103               57428          2964
CONGOLEUM CORP NEW                           COMMON               207195108              976525        147400
CONNECTICUT WTR SVC INC                      COMMON               207797101              404400         16850
CONOCO INC                                   COMMON               208251306               17194           700
CONSO INTL CORP                              COMMON               20854R105              786604        128425
CONSLDTD DELIVERY & LOGI                     COMMON               209029107              128050         39400
CONSOLIDATED EDISON INC                      COMMON               209115104               13594           300
CONSOLIDATED FREIGHTWAYS                     COMMON               209232107             4187700        356400
CONSOLIDATED NAT GAS                         COMMON               209615103                4869           100
CONSOLIDATED PAPERS INC                      COMMON               209759109              707350         30100
CONSUMER PORTFOLIO SVCS                      COMMON               210502100              190125         67600
CONTINENTAL AG SPONSO                        COMMON               210771200             363,508        14,705
COOKER RESTAURANT CORP                       COMMON               216284208              894325        172400
COOPER CAMERON CORP                          COMMON               216640102              945113         27900
COOPER INDUSTRIES                            COMMON               216669101                4263           100
COPLEY PHARMACEUTICAL IN                     COMMON               21745K101             1942038        228470
                         COLUMN TOTALS:                                                68766243



<CAPTION>

================================================================================================================================
================================================================================================================================
                ITEM 1                                ITEM 6                      ITEM 7                      ITEM 8
                                               INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                    SHARED
                                             SOLE       SHARED      OTHER       MANAGERS        SOLE         SHARED        NONE
<S>                                           <C>          <C>        <C>           <C>          <C>           <C>          <C>
CLARCOR INC                                   9549                                    1          9549
CLEVELAND CLIFFS INC                        239812                                    1        276707          145         17315
COACHMEN INDUSTRIES                           6270                                    1          6270
COAST DENTAL SVCS INC                        45300                                    1         45300
COASTAL CORP                                   250                                    1           250
COBRA ELECTRS CORP                          104600                                    1        102200            0          2900
COGENERATION CORP AMER                      122100                                    1        119900            0          3000
COGNITRONICS CORP                            50700                                    1         49100                       1600
COHERENT INC                                  8689                                    1          8689
COHU INC                                     93100                                    1         89100            0          4500
COLD METAL PRODS INC                         13000                                    1         13000
COLDWATER CREEK INC                          20000                                    1         20000
COLE NATIONAL CORP NEW                      142800                                    1        143400            0             0
COLLINS INDS INC                             36400                                    1         36400
COLONIAL PROPERTIES TR ALABAMA              223200                                    1        241185          145         40600
COLTEC INDS INC                               8500                                    1          8500
COLUMBIA ENERGY GROUP                         1200                                    1          1200
COLUMBIA/HCA HEALTHCARE CORP                     0                                    1        227119            0         55740
COLUMBUS MCKINNON CORP N                    237800                                    1        239100            0             0
COMDIAL CORP                                 46500                                    1         46500
COMMERCE GROUP INC MASS                      18053                                    1         18053
COMMERCIAL FEDERAL CORPO                     19822                                    1         19822
COMMERCIAL INTERTECH COR                    170700                                    1        166900            0          5900
COMMERCIAL METALS CO                        313154                                    1        308954            0          7700
COMMONWEALTH ENERGY SYS                      98970                                    1         88370                      10600
COMMUNICATIONS SYS INC                       49500                                    1         49900            0             0
COMPAQ COMPUTER CORP                         14591                                    1         14591
COMPDENT CORP                                50200                                    1         48400            0          2200
COMPUCOM SYS INC                            491662                                    1        474862            0         21300
COMPUTER ASSOC INTL INC                      33135                                    1        114309            0         22680
CONCORD CAMERA CORP                         129200                                    1        124900            0          4900
CONCORD FABRICS INC                          29300                                    1         29300
CONECTIV INC                                  2964                                    1          2964
CONGOLEUM CORP NEW                          146400                                    1        143400            0          4000
CONNECTICUT WTR SVC INC                      16850                                    1         14900                       1950
CONOCO INC                                     700                                    1           700
CONSO INTL CORP                             126925                                    1        125050            0          3375
CONSLDTD DELIVERY & LOGI                     38800                                    1         37500            0          1900
CONSOLIDATED EDISON INC                        300                                    1           300
CONSOLIDATED FREIGHTWAYS                    354100                                    1        345800            0         10600
CONSOLIDATED NAT GAS                           100                                    1           100
CONSOLIDATED PAPERS INC                      19900                                    1         17100            0         13000
CONSUMER PORTFOLIO SVCS                      67600                                    1         67600
CONTINENTAL AG SPONSO                            X                                                  0            0        14,705
COOKER RESTAURANT CORP                      171900                                    1        168100            0          4300
COOPER CAMERON CORP                          27900                                    1         27900
COOPER INDUSTRIES                              100                                    1           100
COPLEY PHARMACEUTICAL IN                       800                                    1        175675          570         52225
</TABLE>


<PAGE>


<TABLE>
<CAPTION>

                                                                       03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
CORDANT TECHNOLOGIES INC                     COMMON               218412104             1575969         39585
CORE MATLS CORP                              COMMON               218683100               89700         29900
CORN PRODS INTL INC                          COMMON               219023108              331319         13841
CORRPRO COS INC                              COMMON               220317101              277266         24375
CORT BUSINESS SVCS CORP                      COMMON               220493100             3702313        160100
CORUS BANKSHARES INC                         COMMON               220873103             4121381        128292
COTTON STS LIFE INS CO                       COMMON               221774102               61676          5249
COUNTRYWIDE CREDIT INDS DEL                  COMMON               222372104             6350915        169354
COURIER CORP                                 COMMON               222660102              508375         24500
COVENANT TRANS INC                           COMMON               22284P105             1422051         95600
CRAWFORD & CO                                COMMON               224633107               77665          7441
CRAWFORD & CO                                COMMON               224633206               66086          6487
CROMPTON & KNOWLES CORP                      COMMON               227111101                4379           278
CROSSMANN CMNTYS INC                         COMMON               22764E109               27912          1400
CROWN CORK&SEAL CO PA                        COMMON               228255105             5757323        201568
CROWN VANTAGE INC                            COMMON               228622106                 400           160
CUMMINS ENGINE INC                           COMMON               231021106               17781           500
CURTISS WRIGHT CORP                          COMMON               231561101              292950          9431
CYBEROPTICS CORP                             COMMON               232517102               79300          6100
CYPRESS SEMICONDUCTOR CO                     COMMON               232806109              181638         20182
CYPRUS AMAX MINERALS CO                      COMMON               232809103              386788         31900
CYTEC INDUSTRIES INC                         COMMON               232820100             1813489         81276
D & N FINL CORP                              COMMON               232864108              637000         28000
CYCLE & CARRIAGE LTD                         COMMON               232903302             3727568        432545
DIY HOME WHSE INC                            COMMON               23321D105               20992         32000
D R HORTON INC                               COMMON               23331A109              355301         21212
DSP TECHNOLOGY INC                           COMMON               233321108              160775         21800
DSP GROUP INC                                COMMON               23332B106              988469         67300
DTE ENERGY CO                                COMMON               233331107            16495453        429150
DT INDUSTRIES INC                            COMMON               23333J108             1253693        177514
DAIN RAUSCHER CORP                           COMMON               233856103             3727794        109641
DAIWA HOUSE IND LTD A                        COMMON               234062206             228,891         2,005
DAKTRONICS INC                               COMMON               234264109               98700          9400
DAMES & MOORE GROUP INC                      COMMON               235713104             3089988        276200
DANA CORP                                    COMMON               235811106                7600           200
DATA GENERAL CORP                            COMMON               237688106            23360604       2307217
DATARAM CORP                                 COMMON               238108203              467325         60300
DAVOX CORP                                   COMMON               239208101              671963        108600
DAWSON GEOPHYSICAL CO                        COMMON               239359102              452813         57500
DAY RUNNER INC                               COMMON               239545106              480150         39600
DE BEERS CONS MINES LTD                      COMMON               240253302            44301915       2339375
DEB SHOPS INC                                COMMON               242728103              164250         14600
DECORATOR INDS INC                           COMMON               243631207              280044         46674
DEERE & CO.                                  COMMON               244199105            36355323        941237
DEL GLOBAL TECHNOLOGIES                      COMMON               245073101              269100         31200
DE RIGO S P A                                COMMON               245334107              967600        131200
DELPHI FINL GROUP INC                        COMMON               247131105             2537847         74918
DELTA AIR LINES INC DEL                      COMMON               247361108             2276125         32750
                         COLUMN TOTALS:                                               170523959

<CAPTION>

================================================================================================================================
================================================================================================================================
                ITEM 1                                   ITEM 6                      ITEM 7                      ITEM 8
                                                INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                      SHARED
                                               SOLE      SHARED       OTHER       MANAGERS        SOLE         SHARED        NONE
<S>                                             <C>        <C>         <C>          <C>          <C>            <C>          <C>
CORDANT TECHNOLOGIES INC                        120                                    1         31270          115          8200
CORE MATLS CORP                               29900                                    1         29900
CORN PRODS INTL INC                           13841                                    1         13841
CORRPRO COS INC                               24375                                    1         23750                        625
CORT BUSINESS SVCS CORP                      159800                                    1        154300            0          5800
CORUS BANKSHARES INC                          78417                                    1        114182          130         13980
COTTON STS LIFE INS CO                         5249                                    1          5249
COUNTRYWIDE CREDIT INDS DEL                     100                                    1        129159            0         40195
COURIER CORP                                  24500                                    1         23750                        750
COVENANT TRANS INC                            94300                                    1         88700            0          6900
CRAWFORD & CO                                  7441                                    1          7441
CRAWFORD & CO                                  6487                                    1          6487
CROMPTON & KNOWLES CORP                         278                                    1           278
CROSSMANN CMNTYS INC                            300                                    1          1400            0             0
CROWN CORK&SEAL CO PA                         55700                                    1        119418            0         82150
CROWN VANTAGE INC                             X                                                    160                          0
CUMMINS ENGINE INC                              500                                    1           500
CURTISS WRIGHT CORP                            9431                                    1          8931                        500
CYBEROPTICS CORP                               6100                                    1          6100
CYPRESS SEMICONDUCTOR CO                      20182                                    1         20182
CYPRUS AMAX MINERALS CO                       31900                                    1         31900
CYTEC INDUSTRIES INC                          17250                                    1         61520          150         19606
D & N FINL CORP                               28000                                    1         28000
CYCLE & CARRIAGE LTD                          17600                                    1        404195        10120         18230
DIY HOME WHSE INC                             30500                                    1         28500            0          3500
D R HORTON INC                                21212                                    1         21212
DSP TECHNOLOGY INC                            21800                                    1         21800
DSP GROUP INC                                 67300                                    1         67300
DTE ENERGY CO                                429150                                    1        429150
DT INDUSTRIES INC                            175214                                    1        172214            0          5300
DAIN RAUSCHER CORP                           109041                                    1        104991            0          4650
DAIWA HOUSE IND LTD A                             X                                                  0            0         2,005
DAKTRONICS INC                                 9400                                    1          9400
DAMES & MOORE GROUP INC                      274500                                    1        266300            0          9900
DANA CORP                                       200                                    1           200
DATA GENERAL CORP                           2003180                                    1       1998737          230        308250
DATARAM CORP                                  60300                                    1         57500                       2800
DAVOX CORP                                   107800                                    1        108600            0             0
DAWSON GEOPHYSICAL CO                         57500                                    1         55100                       2400
DAY RUNNER INC                                37400                                    1         39600            0             0
DE BEERS CONS MINES LTD                     2339375                                    1       2018975            0        320400
DEB SHOPS INC                                 14600                                    1         14600
DECORATOR INDS INC                            46674                                    1         45634                       1040
DEERE & CO.                                  769065                                    1        757152            0        184085
DEL GLOBAL TECHNOLOGIES                       31200                                    1         31200
DE RIGO S P A                                131200                                    1        131200
DELPHI FINL GROUP INC                         74918                                    1         67534                       7384
DELTA AIR LINES INC DEL                       32750                                    1           150                      32600
                         COLUMN TOTALS:


</TABLE>


<PAGE>


<TABLE>
<CAPTION>

                                                                       03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
DELTA FINANCIAL CORP                         COMMON               247918105              797625        141800
DELUXE CORPORATION                           COMMON               248019101            37808066       1298130
DEPARTMENT 56 INC                            COMMON               249509100             4382970        143999
DERWELL CO CL A VTC                          COMMON               249995101               88420           400
DETROIT DIESEL CORPORATION                   COMMON               250837101             1140638         50695
DEUTSCHE BK A G SPON                         COMMON               251525309           2,983,500        58,500
DEWOLFE COS INC                              COMMON               252115100              219800         31400
DEXTER CORP                                  COMMON               252165105            11120792        353041
DIAGNOSTIC PRODS CORP                        COMMON               252450101              105221          4339
DIALOGIC CORP                                COMMON               252499108              256200          8400
DIEBOLD INC                                  COMMON               253651103            32391408       1349642
DIMON INC                                    COMMON               254394109              361425         94800
DIODES INC                                   COMMON               254543101              306638         62900
DISCOUNT AUTO PTS INC                        COMMON               254642101              668650         31100
DISNEY WALT COMPANY                          COMMON               254687106             1129215         36280
DIXIE GROUP INC                              COMMON               255519100             1516200        212800
DIXON TICONDEROGA CO                         COMMON               255860108               37188          3500
DOLE FOOD INC                                COMMON               256605106            12375000        412500
DOLLAR THRIFTY AUTOMOTIV                     COMMON               256743105              489590         28382
DOMINION HOMES INC                           COMMON               257386102              685913         87100
DOMINION RES INC VA                          COMMON               257470104                7388           200
DONEGAL GROUP INC                            COMMON               257701102             1032761         84307
DONNELLEY R R & SONS CO                      COMMON               257867101                4828           150
DONNELLY CORP                                COMMON               257870105               61688          4700
DOVER CORP                                   COMMON               260003108              499700         15200
DOW CHEMICAL COMPANY                         COMMON               260543103             1700672         18250
DOWNEY FINL CORP                             COMMON               261018105             4078469        222715
DRESS BARN INC                               COMMON               261570105             6021625        433991
DREW INDS INC                                COMMON               26168L205              569888         50100
DU PONT E I DE NEMOURS &                     COMMON               263534109              117402          2022
DUCKWALL-ALCO STORES INC                     COMMON               264142100              910650         93400
DUKE ENERGY CORP                             COMMON               264399106               21925           400
DUN & BRADSTREET CORP                        COMMON               26483B106                7125           200
DUNN COMPUTER CORP VA                        COMMON               265771105               12963          6100
DURA AUTOMOTIVE SYSTEMS                      COMMON               265903104             2259544         79983
DUPONT PHOTOMASKS INC                        COMMON               26613X101               67125          1694
DURAKON INDS INC                             COMMON               266334101              612813         53000
DYERSBURG CORP                               COMMON               267575108              344532        220500
DYNAMEX INC                                  COMMON               26784F103              197600         83200
DYNAMIC MATLS CORP                           COMMON               267888105                8663          2200
ECI TELECOM LTD                              COMMON               268258100             3670975        104885
EFTC CORP                                    COMMON               268443108              492101        106400
EG & G INC                                   COMMON               268457108                1451            55
ELXSI CORP                                   COMMON               268613205              768750         75000
EMC INS GROUP INC                            COMMON               268664109             1521188        128100
ENI S P A SPONSORED A                        COMMON               26874R108           3,513,222        55,655
ESCO ELECTRS CORP                            COMMON               269030201             1680300        186700
EAGLE FOOD CENTERS INC                       COMMON               269514105              419769        142900
                         COLUMN TOTALS:                                               139469576


<CAPTION>


================================================================================================================================
================================================================================================================================
     ITEM 1                                   ITEM 6                          ITEM 7                      ITEM 8
                                        INVESTMENT DISCRETION                                         VOTING AUTHORITY
                                                                 SHARED
                                     SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
DELTA FINANCIAL CORP                140400                                         1        135800            0          6000
DELUXE CORPORATION                 1164320                                         1       1117135            0        180995
DEPARTMENT 56 INC                   143999                                         1        135599                       8400
DERWELL CO CL A VTC                    400                                         1           400
DETROIT DIESEL CORPORATION           50620                                         1         49495            0          1200
DEUTSCHE BK A G SPON                     X             X             X                      54,580        1,485         2,435
DEWOLFE COS INC                      31400                                         1         30000                       1400
DEXTER CORP                         351141                                         1        342441            0         10600
DIAGNOSTIC PRODS CORP                 4339                                         1          4339
DIALOGIC CORP                         8400                                         1          8400
DIEBOLD INC                        1099100                                         1       1062772            0        286870
DIMON INC                            94800                                         1         85800                       9000
DIODES INC                           62400                                         1         61100            0          1800
DISCOUNT AUTO PTS INC                31100                                         1         31100
DISNEY WALT COMPANY                  36280                                         1         36280
DIXIE GROUP INC                     212200                                         1        208600            0          4200
DIXON TICONDEROGA CO                  3500                                         1          3500
DOLE FOOD INC                       412500                                         1        316900            0         95600
DOLLAR THRIFTY AUTOMOTIV             28382                                         1         28382
DOMINION HOMES INC                   86500                                         1         84300            0          2800
DOMINION RES INC VA                    200                                         1           200
DONEGAL GROUP INC                    84307                                         1         80574                       3733
DONNELLEY R R & SONS CO                150                                         1           150
DONNELLY CORP                         4700                                         1          4700
DOVER CORP                           15200                                         1         15200
DOW CHEMICAL COMPANY                 18250                                         1           450                      17800
DOWNEY FINL CORP                    222415                                         1        222715            0             0
DRESS BARN INC                      431791                                         1        423291            0         10700
DREW INDS INC                        49600                                         1         48100            0          2000
DU PONT E I DE NEMOURS &              2022                                         1          2022
DUCKWALL-ALCO STORES INC             92900                                         1         91300            0          2100
DUKE ENERGY CORP                       400                                         1           400
DUN & BRADSTREET CORP                  200                                         1           200
DUNN COMPUTER CORP VA                 6100                                         1          6100
DURA AUTOMOTIVE SYSTEMS              36916                                         1         71658          103          8222
DUPONT PHOTOMASKS INC                 1694                                         1          1694
DURAKON INDS INC                     53000                                         1         51700                       1300
DYERSBURG CORP                      219500                                         1        213400            0          7100
DYNAMEX INC                          83200                                         1         82000                       1200
DYNAMIC MATLS CORP                    2200                                         1          2200
ECI TELECOM LTD                      32130                                         1         88670         1795         14420
EFTC CORP                           104900                                         1        105400            0          1000
EG & G INC                         X                                                            55                          0
ELXSI CORP                           75000                                         1         72600                       2400
EMC INS GROUP INC                   125400                                         1        124500            0          3600
ENI S P A SPONSORED A                    X             X             X                      52,165        1,235         2,255
ESCO ELECTRS CORP                   185700                                         1        182300            0          4400
EAGLE FOOD CENTERS INC              140700                                         1        139300            0          3600
                         COLUMN TOTALS:
</TABLE>

<PAGE>

<TABLE>
<CAPTION>

                                                                       03/31/99
                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
EASCO INC                                    COMMON               27033E103              330600         45600
EASTERN CO                                   COMMON               276317104               44250          2000
EASTN UTILS ASSOC                            COMMON               277173100             2344712         82815
EASTMAN KODAK CO                             COMMON               277461109               25550           400
EATERIES INC                                 COMMON               277851101                9750          2600
EATON CORP                                   COMMON               278058102                3575            50
EDELBROCK CORP                               COMMON               279434104              430500         28700
EDPERBRASCAN CORP LTD                        COMMON               280905803             161,381        13,590
EDISON INTL                                  COMMON               281020107               33375          1500
EDO CORP                                     COMMON               281347104              761150        117100
EDUCATIONAL DEV CORP                         COMMON               281479105              284315        113726
EDWARDS AG INC                               COMMON               281760108              578569         17700
EISAI CO LTD - ADR                           COMMON               282579309           2,608,625        127250
EKCO GROUP INC                               COMMON               282636109              754988        223700
EL PASO ELECTRIC CO NEW                      COMMON               283677854             6306459        827075
EL PASO ENERGY CORP DEL                      COMMON               283905107                4903           150
ELECTRO RENT CORP                            COMMON               285218103              661280         72469
ELF AQUITAINE SPONSOR                        COMMON               286269105             6306283         93686
ELLETT BROS INC                              COMMON               288398100              339762         70600
EN POINTE TECHNOLOGIES I                     COMMON               29247F108              151450         23300
ENCORE WIRE CORP                             COMMON               292562105             1190700        151200
ENERGEN CORP                                 COMMON               29265N108              912607         61095
ENGLE HOMES INC                              COMMON               292896107             2111550        201100
ENERGYNORTH INC                              COMMON               292925104              566500         20600
ENERGYSOUTH INC                              COMMON               292970100              485850         23700
ENESCO GROUP INC                             COMMON               292973104              135866          7522
ENHANCE FINL SVCS GROUP                      COMMON               293310108              252264         10968
ENNIS BUSINESS FORMS INC                     COMMON               293389102              747394         92700
ENTERGY CORP NEW                             COMMON               29364G103            11475750        417300
EQUINOX SYS INC                              COMMON               294436100              270000         28800
EQUITABLE COS INC                            COMMON               29444G107               17500           250
EQUITABLE RES INC                            COMMON               294549100            13275690        509379
EQUITY MARKETING INC                         COMMON               294724109              230000         40000
ESTERLINE TECHNOLOGIES C                     COMMON               297425100             1016888         78600
ETHYL CORP                                   COMMON               297659104             6923875       1629147
EVEREN CAPITAL CORP                          COMMON               299761106               95054          4859
EVEREST REINS HLDGS INC                      COMMON               299808105            23442085        751650
EXCEL LEGACY CORP                            COMMON               300665106               16737          4869
EXCEL TECHNOLOGY INC                         COMMON               30067T103              543723         52407
EXIDE CORP                                   COMMON               302051107              945132         84955
EXPONET INC                                  COMMON               30214U102              394875         70200
EXXON CORP                                   COMMON               302290101              592725          8400
EZCORP INC                                   COMMON               302301106              998250        145200
F & M NATL CORP                              COMMON               302374103              178872          7453
FBL FINL GROUP INC                           COMMON               30239F106               92886          5233
F M C CORP                                   COMMON               302491303            26156406        529750
FPL GROUP INC                                COMMON               302571104               10650           200
FTI CONSULTING INC                           COMMON               302941109              189750         66000
                         COLUMN TOTALS:                                               115411056
<CAPTION>


==============================================================================================================================
==============================================================================================================================
          ITEM 1                               ITEM 6                      ITEM 7                      ITEM 8
                                        INVESTMENT DISCRETION                                     VOTING AUTHORITY
<S>                                            <C>           <C>           <C>           <C>           <C>          <C>
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
EASCO INC                      45600                                         1         45600
EASTERN CO                      2000                                         1           900                       1100
EASTN UTILS ASSOC                  0                                         1         66180          215         16420
EASTMAN KODAK CO                 400                                         1           400
EATERIES INC                    2600                                         1          2600
EATON CORP                        50                                         1            50
EDELBROCK CORP                 28700                                         1         27600                       1100
EDPERBRASCAN CORP LTD              X                                                       0            0        13,590
EDISON INTL                     1500                                         1          1500
EDO CORP                      115800                                         1        114200            0          2900
EDUCATIONAL DEV CORP          113726                                         1        112626                       1100
EDWARDS AG INC                 17700                                         1         17700
EISAI CO LTD - ADR                 X             X             X                     118,860        3,255         5,135
EKCO GROUP INC                221900                                         1        218200            0          5500
EL PASO ELECTRIC CO NEW       623400                                         1        752245          535         74295
EL PASO ENERGY CORP DEL          150                                         1           150
ELECTRO RENT CORP              72469                                         1         72469
ELF AQUITAINE SPONSOR              0                                         1         72786            0         20900
ELLETT BROS INC                70100                                         1         69300            0          1300
EN POINTE TECHNOLOGIES I       23300                                         1         23300
ENCORE WIRE CORP              149800                                         1        146200            0          5000
ENERGEN CORP                   61095                                         1         55795                       5300
ENGLE HOMES INC               199800                                         1        196200            0          4900
ENERGYNORTH INC                20600                                         1         19800                        800
ENERGYSOUTH INC                23700                                         1         23700
ENESCO GROUP INC                7522                                         1          7522
ENHANCE FINL SVCS GROUP        10968                                         1         10968
ENNIS BUSINESS FORMS INC       92700                                         1         92700
ENTERGY CORP NEW              417300                                         1        417300
EQUINOX SYS INC                28800                                         1         28800
EQUITABLE COS INC                250                                         1           250
EQUITABLE RES INC             509379                                         1        509379
EQUITY MARKETING INC           40000                                         1         38200                       1800
ESTERLINE TECHNOLOGIES C       78600                                         1         74600                       4000
ETHYL CORP                   1619447                                         1       1593847            0         35300
EVEREN CAPITAL CORP             4859                                         1          4859
EVEREST REINS HLDGS INC       751650                                         1        593350            0        158300
EXCEL LEGACY CORP               4869                                         1          4869
EXCEL TECHNOLOGY INC           51907                                         1         52407            0             0
EXIDE CORP                     20500                                         1         70885          150         13920
EXPONET INC                    70200                                         1         68700                       1500
EXXON CORP                       200                                         1          8200            0           200
EZCORP INC                    144000                                         1        145200            0             0
F & M NATL CORP                 7453                                         1          7453
FBL FINL GROUP INC              5233                                         1          5233
F M C CORP                    529750                                         1        420550            0        109200
FPL GROUP INC                    200                                         1           200
FTI CONSULTING INC             66000                                         1         63900                       2100
                         COLUMN TOTALS:
</TABLE>


<PAGE>

                                                                       03/31/99
<TABLE>
<CAPTION>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
FAIRFIELD COMMUNITIES                        COMMON               304231301               85746          9594
FANSTEEL INC DEL                             COMMON               307260109              142988         27900
FARR CO                                      COMMON               311648109              414163         48725
FARREL CORP NEW                              COMMON               311667109               52019         20300
FDX CORP                                     COMMON               31304N107              306900          3300
FEATHERLITE INC                              COMMON               313054108              242550         44100
FEDERAL SIGNAL CORP                          COMMON               313855108             1493062         71524
FEDERATED DEPT STRS INC DEL                  COMMON               31410H101            36172178        901487
FERRO CORP                                   COMMON               315405100              368057         14871
FIBERMARK INC                                COMMON               315646109             1330678        112650
FIDELITY NATL FINL INC                       COMMON               316326107             6690495        446033
FINLAY ENTERPRISES INC                       COMMON               317884203             2038157        188500
FINISH LINE INC                              COMMON               317923100             1900350        147600
FIRST ALLIANCE CORP                          COMMON               317936102             1076988        297100
FIRST AMERN FINL CORP                        COMMON               318522307              128872          8150
FIRST CAP HLDGS CORP                         COMMON               319417101                1531         24300
FIRST CTZNS BANCSHARES I                     COMMON               31946M103             4234680         52280
FIRST COMWLTH INC                            COMMON               319983102              111563          7500
FIRST MERCHANTS ACCEP CO                     COMMON               320816101                  30          5000
FIRST HEALTH GROUP CORP                      COMMON               320960107              533275         33200
FIRST REP BK SAN FRANCIS                     COMMON               336158100              919163         38100
FIRST SEC CORP DEL                           COMMON               336294103                3863           200
FIRST UN CORP                                COMMON               337358105            15236955        285136
FIRST VIRGINIA BANKS                         COMMON               337477103             1304379         28550
FIRSTCITY FINL CORP                          COMMON               33761X107              929157         93500
FIRSTFED FINL CORP                           COMMON               337907109             3769869        234700
FIRSTENERGY CORP                             COMMON               337932107                8400           300
FLEET FINL GROUP INC NEW                     COMMON               338915101             4302932        114362
FLEETWOOD ENTERPRISES IN                     COMMON               339099103              649788         22700
FLEMING COS INC                              COMMON               339130106             5950536        694953
FLEXSTEEL INDS INC                           COMMON               339382103              912188         69500
FLORIDA EAST COAST INDS                      COMMON               340632108              136515          4560
FLORIDA PANTHERS HLDGS I                     COMMON               341064103               65666          8473
FLORIDA PROGRESS CORP                        COMMON               341109106              687050         18200
FLORIDA ROCK INDS INC                        COMMON               341140101             5500779        161195
FLOWSERVE CORP                               COMMON               34354P105             9854175        633200
FOAMEX INTL INC                              COMMON               344123104             1438313        255700
FOILMARK INC                                 COMMON               344185103               42500         27200
FOOD LION INC                                COMMON               344775200                5522           600
FOOTSTAR INC                                 COMMON               344912100            11015072        344221
FORD MTR CO DEL                              COMMON               345370100            14971169        264100
FOREMOST CORP OF AMER                        COMMON               345469100             7099557        352773
FOREST CITY ENTERPRISES                      COMMON               345550107               36281          1500
FORTRESS GROUP INC                           COMMON               34956K108              338000        169000
FORTUNE BRANDS INC CO                        COMMON               349631101             3992236        103691
FORWARD AIR CORP                             COMMON               349853101              139125         10600
FOSTER L B CO                                COMMON               350060109              228938         49500
FOUNDATION HEALTH SYS IN                     COMMON               350404109             7539188        618600
                         COLUMN TOTALS:                                               154401598
<CAPTION>



==========================================================================================================================
==========================================================================================================================
            ITEM 1                                    ITEM 6                 ITEM 7                         ITEM 8
                                             INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                SHARED
                                    SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
FAIRFIELD COMMUNITIES               9594                                         1          9594
FANSTEEL INC DEL                   27900                                         1         27900
FARR CO                            47075                                         1         46775            0          1950
FARREL CORP NEW                    20300                                         1         18900                       1400
FDX CORP                            3300                                         1          3300
FEATHERLITE INC                    43500                                         1         41400            0          2700
FEDERAL SIGNAL CORP                  200                                         1         55274          190         16060
FEDERATED DEPT STRS INC DEL       792050                                         1        719962            0        181525
FERRO CORP                         14871                                         1         14871
FIBERMARK INC                     111950                                         1        109100            0          3550
FIDELITY NATL FINL INC            443423                                         1        434646            0         11387
FINLAY ENTERPRISES INC            187400                                         1        184100            0          4400
FINISH LINE INC                   147600                                         1        147600
FIRST ALLIANCE CORP               295200                                         1        288100            0          9000
FIRST AMERN FINL CORP               8150                                         1          8150
FIRST CAP HLDGS CORP               24300                                         1         24300
FIRST CTZNS BANCSHARES I           52280                                         1         46980                       5300
FIRST COMWLTH INC                   7100                                         1          6300            0          1200
FIRST MERCHANTS ACCEP CO            5000                                         1          3400                       1600
FIRST HEALTH GROUP CORP            33200                                         1         33200
FIRST REP BK SAN FRANCIS           38100                                         1         38100
FIRST SEC CORP DEL                   200                                         1           200
FIRST UN CORP                     285136                                         1        282220                       2916
FIRST VIRGINIA BANKS               21000                                         1         18250            0         10300
FIRSTCITY FINL CORP                92600                                         1         90600            0          2900
FIRSTFED FINL CORP                232800                                         1        226400            0          8300
FIRSTENERGY CORP                     300                                         1           300
FLEET FINL GROUP INC NEW             600                                         1         89761            0         24601
FLEETWOOD ENTERPRISES IN           22700                                         1         22700
FLEMING COS INC                   691153                                         1        677253            0         17700
FLEXSTEEL INDS INC                 68100                                         1         67200            0          2300
FLORIDA EAST COAST INDS             4560                                         1          4560
FLORIDA PANTHERS HLDGS I            8473                                         1          8473
FLORIDA PROGRESS CORP              18200                                         1         18200
FLORIDA ROCK INDS INC             157395                                         1        152795            0          8400
FLOWSERVE CORP                    629700                                         1        617000            0         16200
FOAMEX INTL INC                   250700                                         1        242000            0         13700
FOILMARK INC                       27200                                         1         27200
FOOD LION INC                        600                                         1           600
FOOTSTAR INC                      342121                                         1        331821            0         12400
FORD MTR CO DEL                   264100                                         1        264100
FOREMOST CORP OF AMER             350773                                         1        348773            0          4000
FOREST CITY ENTERPRISES             1500                                         1          1500
FORTRESS GROUP INC                167900                                         1        163700            0          5300
FORTUNE BRANDS INC CO                200                                         1         77881            0         25810
FORWARD AIR CORP                   10600                                         1         10600
FOSTER L B CO                      49500                                         1         44500                       5000
FOUNDATION HEALTH SYS IN          618600                                         1        618600
                 COLUMN TOTALS:
</TABLE>


<PAGE>

                                                                       03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                        ITEM 2              ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
FOUNTAIN POWERBOAT IND                       COMMON               350755302               69750         15500
FRANKLIN COVEY CO                            COMMON               353469109             3722076        413564
FRANKLIN RES INC                             COMMON               354613101                8438           300
FREEDOM SECURITIES CORP                      COMMON               35644K103             2506823        157290
FREEPORT-MCM COPR GOLD                       COMMON               35671D857             1796550        165200
FRENCH FRAGRANCES INC                        COMMON               357658103             1248325        217100
FRIEDE GOLDMAN INTL                          COMMON               358430106             2268800        141800
FRIEDMAN INDS INC                            COMMON               358435105              324086         83635
FRIEDMAN'S INC                               COMMON               358438109             2184300        242700
FRITZ COS INC                                COMMON               358846103               60617          8817
FRONTIER INS GROUP INC N                     COMMON               359081106             4143901        348960
FRONTIER OIL CORP                            COMMON               35914P105             2431500        486300
FROZEN FOOD EXPRESS INDS                     COMMON               359360104              269025         42200
FUJI PHOTO ADR NEW                           COMMON               359586302             275,267         7,365
FUJITSU LTD ADR 5 COM                        COMMON               359590304           5,556,016        69,887
FULLER H B & COMPANY                         COMMON               359694106             3182334         53995
FUNCO INC                                    COMMON               360762108             1507000         68500
FURON CO                                     COMMON               361106107             1065550         84400
GC COS INC                                   COMMON               36155Q109               69634          2215
GRC INTERNATIONAL INC                        COMMON               361922107              824813        124500
GPU INC                                      COMMON               36225X100                5597           150
GTE CORP                                     COMMON               362320103            56120284        927606
G-III APPAREL GROUP LTD                      COMMON               36237H101               29688         12500
GADZOOKS INC                                 COMMON               362553109              516907         69500
GALEY & LORD INC                             COMMON               36352K103              911019        205300
GALLAGHER ARTHUR J & CO                      COMMON               363576109              487600         10600
GALLAHER GROUP PLC                           COMMON               363595109            17112700        728200
GARAN INC                                    COMMON               364802108             1918288         77900
GARDEN RIDGE CORP                            COMMON               36541P104              963969        141500
GAYLORD ENTERTAINMENT                        COMMON               367905106              218347          9004
GAYLORD CONTAINER CORP CLASS A               COMMON               368145108                 788           105
GEHL CO                                      COMMON               368483103              914500         62000
GENCOR INDS INC                              COMMON               368678108              107060         16960
GENCORP INC                                  COMMON               368682100             3603600        200200
GENERAL CHEM GROUP INC                       COMMON               369332101             5299876        403800
GENERAL CIGAR HLDGS INC                      COMMON               36933P100             3581625        384604
GENERAL DYNAMICS CORP                        COMMON               369550108                9638           150
GENERAL ELEC CO                              COMMON               369604103             309,750         2,800
GENERAL MTRS CORP                            COMMON               370442105            87251778       1002894
GENERAL MTRS CORP                            COMMON               370442832               22697           450
GENERAL NUTRITION COS                        COMMON               37047F103             1328600         94900
GENERAL SEMICONDUCTOR IN                     COMMON               370787103             4352175        600300
GENESCO INC                                  COMMON               371532102             4366925        472100
GENESSEE AND WYOMING                         COMMON               371559105             1958176        183220
GENESIS HEALTH VENTURES                      COMMON               371912106             3435871        704794
GENLYTE GROUP INC                            COMMON               372302109             1230400         76900
GENUINE PARTS CO                             COMMON               372460105                5763           200
GEON CO                                      COMMON               37246W105              218696          9613
                         COLUMN TOTALS:                                               229797122

<CAPTION>


==============================================================================================
==============================================================================================
            ITEM 1                                    ITEM 6                 ITEM 7                         ITEM 8
                                             INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                SHARED
                                    SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
FOUNTAIN POWERBOAT IND             15500                                         1         15500
FRANKLIN COVEY CO                 411564                                         1        402464            0         11100
FRANKLIN RES INC                     300                                         1           300
FREEDOM SECURITIES CORP            15300                                         1        124500          385         32405
FREEPORT-MCM COPR GOLD            165200                                         1        165200
FRENCH FRAGRANCES INC             215800                                         1        210800            0          6300
FRIEDE GOLDMAN INTL               141000                                         1        141800            0             0
FRIEDMAN INDS INC                  83635                                         1         81205                       2430
FRIEDMAN'S INC                    239800                                         1        235000            0          7700
FRITZ COS INC                       8817                                         1          8817
FRONTIER INS GROUP INC N          345220                                         1        331690            0         17270
FRONTIER OIL CORP                 483600                                         1        473400            0         12900
FROZEN FOOD EXPRESS INDS           40600                                         1         42200            0             0
FUJI PHOTO ADR NEW                     X                                                       0            0         7,365
FUJITSU LTD ADR 5 COM                  X             X             X                      60,307        1,445         8,135
FULLER H B & COMPANY                5700                                         1         41080          150         12765
FUNCO INC                          68500                                         1         67300                       1200
FURON CO                           83200                                         1         84400            0             0
GC COS INC                          2215                                         1          2215
GRC INTERNATIONAL INC             124000                                         1        121500            0          3000
GPU INC                              150                                         1           150
GTE CORP                          846035                                         1        780876            0        146730
G-III APPAREL GROUP LTD            12500                                         1         12500
GADZOOKS INC                       69000                                         1         65600            0          3900
GALEY & LORD INC                  204200                                         1        199900            0          5400
GALLAGHER ARTHUR J & CO            10600                                         1         10600
GALLAHER GROUP PLC                728200                                         1        728200
GARAN INC                          77400                                         1         75700            0          2200
GARDEN RIDGE CORP                 140200                                         1        141500            0             0
GAYLORD ENTERTAINMENT               9004                                         1          9004
GAYLORD CONTAINER CORP CLASS A   X                                                           105                          0
GEHL CO                            62000                                         1         59900                       2100
GENCOR INDS INC                    16960                                         1         16960
GENCORP INC                       200200                                         1        184900                      15300
GENERAL CHEM GROUP INC            401900                                         1        394500            0          9300
GENERAL CIGAR HLDGS INC           382104                                         1        372004            0         12600
GENERAL DYNAMICS CORP                150                                         1           150
GENERAL ELEC CO                        X                                                       0            0         2,800
GENERAL MTRS CORP                 912800                                         1        819309            0        183585
GENERAL MTRS CORP                    450                                         1           450
GENERAL NUTRITION COS              94900                                         1         94900
GENERAL SEMICONDUCTOR IN          596700                                         1        584700            0         15600
GENESCO INC                       469100                                         1        460100            0         12000
GENESSEE AND WYOMING               80300                                         1        159455          275         23490
GENESIS HEALTH VENTURES           684194                                         1        671794            0         33000
GENLYTE GROUP INC                  74200                                         1         74500            0          2400
GENUINE PARTS CO                     200                                         1           200
GEON CO                             9613                                         1          9613
</TABLE>


<PAGE>

                                                                       03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
GEORGIA GULF CORP                            COMMON               373200203             6096069        544900
GEORGIA PAC CORP                             COMMON               373298108                7425           100
GETCHELL GOLD CORP                           COMMON               374265106              262163         10011
GETTY IMAGES INC                             COMMON               374276103                6363           303
GIANT CEMENT HLDG INC                        COMMON               374450104             2220625        129200
GLATFELTER P H CO                            COMMON               377316104             6598623        589821
GLEASON CORP                                 COMMON               377339106              738475         43600
GLENBOROUGH RLTY TR INC                      COMMON               37803P105              340000         20000
GLOBAL DIRECTMAIL CORP                       COMMON               379321102               28475          1700
GLOBAL INDL TECHNOLOGIES                     COMMON               379335102             2362388        227700
GLOBAL MARINE INC                            COMMON               379352404              410016         34895
GOLDEN WEST FINL CORP DE                     COMMON               381317106                4775            50
GOODYEAR TIRE & RUBR CO                      COMMON               382550101             9703475        194800
GOODYS FAMILY CLOTHING I                     COMMON               382588101             6291388        451400
GORMAN RUPP CO                               COMMON               383082104              355950         22600
GRACO INC                                    COMMON               384109104              392713         17800
GRADCO SYS INC                               COMMON               384111100              240389        128207
GRADALL INDUSTRIES INC                       COMMON               38411P107             2223000        171000
GRAHAM CORP                                  COMMON               384556106              183600         22950
GRAINGER W W INC                             COMMON               384802104                4306           100
GRANITE CONSTR INC                           COMMON               387328107              114631          4904
GT ATL & PAC TEA CO                          COMMON               390064103             1359450         45315
GREAT LAKES CHEM CORP                        COMMON               390568103               14700           400
GREEN MOUNTAIN PWR CORP                      COMMON               393154109              242188         25000
GREENBRIER COS INC                           COMMON               393657101             2153650        226700
GREIF BROS CORP                              COMMON               397624107               65384          2972
GRIFFON CORP                                 COMMON               398433102             3884534        565023
GRUBB & ELLIS CO                             COMMON               400095204              590950         89200
GUCCI GROUP N V SHS-N                        COMMON               401566104            15270448        189695
GUILFORD MLS INC                             COMMON               401794102             4014010        458744
GULF ISLAND FABRICATN                        COMMON               402307102             1774500        169000
GULFSTREAM AEROSPACE                         COMMON               402734107                2169            50
GYMBOREE CORP                                COMMON               403777105             1344201        150400
HMT TECHNOLOGY CORP C                        COMMON               403917107             1150613        328735
HSBC HLDGS PLC ADR SP                        COMMON               404280307           5,791,275        18,385
HAEMONETICS CORP MASS                        COMMON               405024100              136277          8687
HALLIBURTON CO                               COMMON               406216101               17325           450
HALLWOOD GROUP INC                           COMMON               406364406              129575          7100
HALTER MARINE GROUP INC                      COMMON               40642Y105              921281        158500
HAMBRECHT & QUIST GRP                        COMMON               406545103             3879936        111854
HAMPSHIRE GROUP LTD                          COMMON               408859106              220800         27600
M.A. HANNA CO.                               COMMON               410522106            10775798        841035
HANOVER COMPRESSOR CO                        COMMON               410768105              169282          6388
HARCOURT GENERAL INC                         COMMON               41163G101              475252         10725
HARDINGE INC                                 COMMON               412324303             2586994        183150
HARLAND JOHN H CO                            COMMON               412693103              132299         10226
HARLEYSVILLE GROUP INC                       COMMON               412824104             8687866        448406
HARMAN INTL INDS INC                         COMMON               413086109             5146103        140030
                         COLUMN TOTALS:                                               109521709
<CAPTION>


==============================================================================================
==============================================================================================
                                            ITEM 6                      ITEM 7                      ITEM 8
                                     INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                          SHARED
                               SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
GEORGIA GULF CORP            541400                                         1        531000            0         13900
GEORGIA PAC CORP                100                                         1           100
GETCHELL GOLD CORP            10011                                         1         10011
GETTY IMAGES INC                303                                         1           303
GIANT CEMENT HLDG INC        128700                                         1        124100            0          5100
GLATFELTER P H CO            586021                                         1        572021            0         17800
GLEASON CORP                  43600                                         1         41400                       2200
GLENBOROUGH RLTY TR INC       20000                                         1         20000
GLOBAL DIRECTMAIL CORP         1700                                         1          1700
GLOBAL INDL TECHNOLOGIES     226000                                         1        218200            0          9500
GLOBAL MARINE INC             24300                                         1         24300            0         10595
GOLDEN WEST FINL CORP DE         50                                         1            50
GOODYEAR TIRE & RUBR CO      194800                                         1        194800
GOODYS FAMILY CLOTHING I     448800                                         1        436600            0         14800
GORMAN RUPP CO                21300                                         1         20100            0          2500
GRACO INC                     17800                                         1         17800
GRADCO SYS INC               127507                                         1        125757            0          2450
GRADALL INDUSTRIES INC       170500                                         1        166600            0          4400
GRAHAM CORP                   22950                                         1         22950
GRAINGER W W INC                100                                         1           100
GRANITE CONSTR INC             4904                                         1          4904
GT ATL & PAC TEA CO             150                                         1         34900          130         10285
GREAT LAKES CHEM CORP           400                                         1           400
GREEN MOUNTAIN PWR CORP       25000                                         1         25000
GREENBRIER COS INC           225400                                         1        220700            0          6000
GREIF BROS CORP                2972                                         1          2972
GRIFFON CORP                 562723                                         1        550323            0         14700
GRUBB & ELLIS CO              87400                                         1         81500            0          7700
GUCCI GROUP N V SHS-N        144755                                         1        177135         1165         11395
GUILFORD MLS INC             457944                                         1        458744            0             0
GULF ISLAND FABRICATN        168100                                         1        165000            0          4000
GULFSTREAM AEROSPACE             50                                         1            50
GYMBOREE CORP                149000                                         1        145600            0          4800
HMT TECHNOLOGY CORP C         99100                                         1        269220          560         58955
HSBC HLDGS PLC ADR SP             X             X             X                      15,995          405         1,985
HAEMONETICS CORP MASS          8687                                         1          8687
HALLIBURTON CO                  450                                         1           450
HALLWOOD GROUP INC             7100                                         1          7100
HALTER MARINE GROUP INC      155200                                         1        149700            0          8800
HAMBRECHT & QUIST GRP        111854                                         1        100954                      10900
HAMPSHIRE GROUP LTD           27600                                         1         26600                       1000
M.A. HANNA CO.               744280                                         1        801175          215         39645
HANOVER COMPRESSOR CO          6388                                         1          6388
HARCOURT GENERAL INC          10725                                         1         10725
HARDINGE INC                 181200                                         1        178650            0          4500
HARLAND JOHN H CO             10226                                         1         10226
HARLEYSVILLE GROUP INC       447006                                         1        436806            0         11600
HARMAN INTL INDS INC         138830                                         1        138630            0          1400


</TABLE>


<PAGE>

                                                                       03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
HARTFORD FINL SVCS GROUP                     COMMON               416515104               59653          1050
HARTFORD LIFE INC                            COMMON               416592103              148500          2700
HARTMARX CORP                                COMMON               417119104              344663         70700
HARVEY ENTMT CO                              COMMON               417662103               36203          8275
HASKEL INTL INC                              COMMON               418106100              710325         57400
HAWKINS CHEM INC                             COMMON               420200107              138743         14230
HAWTHORNE FINL CORP                          COMMON               420542102              171000         11400
HEALTHCARE SVCS GRP INC                      COMMON               421906108             1452503        152895
HEALTHSOUTH CORP                             COMMON               421924101                5188           500
HECTOR COMMUNICATIONS CO                     COMMON               422730101              190125         23400
HELLER FINANCIAL INC                         COMMON               423328103               70500          3000
HELMERICH & PAYNE INC                        COMMON               423452101              544500         24000
HERBALIFE INTL INC                           COMMON               426908208             6721775        545931
HERBALIFE INTL INC                           COMMON               426908307              980287        104564
HERCULES INC                                 COMMON               427056106            10652975        421900
HERLEY INDS INC DEL                          COMMON               427398102              658788         54899
HERTZ CORP                                   COMMON               428040109                5350           100
HEWLETT PACKARD CO                           COMMON               428236103              734748         10835
HEXCEL CORP NEW                              COMMON               428291108             4153525        572900
HI-TECH PHARMACAL INC                        COMMON               42840B101              125775         38700
HILITE INDUSTRIES INC                        COMMON               431353101               85556          8100
HIRSCH INTL CORP                             COMMON               433550100              175275         77900
HITACHI LTD                                  COMMON               433578507           3,663,690        50,360
HOECHST A G ADR SPONS                        COMMON               434390308           4,184,343        96,469
HOLIDAY RV SUPERSTORES I                     COMMON               434902102               56500         22600
HOLLY CORP                                   COMMON               435758305              494875         37000
HOLLYWOOD PK INC NEW                         COMMON               436255103               92513          8971
HOME PRODS INTL INC                          COMMON               437305105             1167088        127900
HOME THEATER PRODS INTL                      COMMON               437373103                  60         10000
HONEYWELL INC                                COMMON               438506107               11372           150
HORACE MANN EDUCATORS CP                     COMMON               440327104             2094753         90340
HORIZON HEALTH CORP                          COMMON               44041Y104              408100         61600
HOST MARRIOTT SVCS CORP                      COMMON               440914109             1765800        261600
HOVNANIAN ENTERPRISES IN                     COMMON               442487203             4956680        660885
HUBBELL INC                                  COMMON               443510102               89762          2426
HUGHES SUPPLY INC                            COMMON               444482103             6721488        295450
HUMANA INC COM                               COMMON               444859102            23414891       1357385
HUNTINGTON BANCSHARES IN                     COMMON               446150104                7734           250
HURCO COMPANIES INC                          COMMON               447324104              656604        145912
HVIDE MARINE INC                             COMMON               448515106             1259250        292000
IBP INC                                      COMMON               449223106               18625          1000
ILX RESORTS INC                              COMMON               449661503               35263         21700
IMC GLOBAL INC                               COMMON               449669100            47053257       2302300
IMCO RECYCLING INC                           COMMON               449681105              441613         34300
IMC MTG CO                                   COMMON               449923101               46328        296500
IRI INTL CORP                                COMMON               45004F107                1231           303
ITEQ INC                                     COMMON               450430103              787719        387800
ITT INDS INC IND                             COMMON               450911102                3538           100
                         COLUMN TOTALS:                                               127599034

<CAPTION>

==============================================================================================
==============================================================================================
                                               ITEM 6                     ITEM 7                    ITEM 8
                                        INVESTMENT DISCRETION                                  VOTING AUTHORITY
                                                            SHARED
                                 SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
HARTFORD FINL SVCS GROUP         1050                                         1          1050
HARTFORD LIFE INC                2700                                         1          2700
HARTMARX CORP                   70700                                         1         70700
HARVEY ENTMT CO                  8275                                         1          8275
HASKEL INTL INC                 57400                                         1         56300                       1100
HAWKINS CHEM INC                14230                                         1         12630                       1600
HAWTHORNE FINL CORP             11400                                         1         11400
HEALTHCARE SVCS GRP INC        152295                                         1        148095            0          4800
HEALTHSOUTH CORP                  500                                         1           500
HECTOR COMMUNICATIONS CO        23400                                         1         22900                        500
HELLER FINANCIAL INC             3000                                         1          3000
HELMERICH & PAYNE INC           24000                                         1         24000
HERBALIFE INTL INC             542164                                         1        524031            0         21900
HERBALIFE INTL INC             103030                                         1        100764            0          3800
HERCULES INC                   421900                                         1        317200            0        104700
HERLEY INDS INC DEL             54899                                         1         53566                       1333
HERTZ CORP                        100                                         1           100
HEWLETT PACKARD CO              10835                                         1         10835
HEXCEL CORP NEW                571000                                         1        556500            0         16400
HI-TECH PHARMACAL INC           38700                                         1         38700
HILITE INDUSTRIES INC            8100                                         1          8100
HIRSCH INTL CORP                77300                                         1         74900            0          3000
HITACHI LTD                         X             X             X                      47,050        1,120         2,190
HOECHST A G ADR SPONS               X             X             X                      90,354        2,130         3,985
HOLIDAY RV SUPERSTORES I        22600                                         1         21100                       1500
HOLLY CORP                      37000                                         1         37000
HOLLYWOOD PK INC NEW             8971                                         1          8971
HOME PRODS INTL INC            127200                                         1        124500            0          3400
HOME THEATER PRODS INTL         10000                                         1         10000
HONEYWELL INC                     150                                         1           150
HORACE MANN EDUCATORS CP          400                                         1         68250          245         21845
HORIZON HEALTH CORP             61600                                         1         61600
HOST MARRIOTT SVCS CORP        260800                                         1        256600            0          5000
HOVNANIAN ENTERPRISES IN       437550                                         1        603045          655         57185
HUBBELL INC                      2426                                         1          2426
HUGHES SUPPLY INC              291950                                         1        285250            0         10200
HUMANA INC COM                1347200                                         1       1105615            0        251770
HUNTINGTON BANCSHARES IN          250                                         1           250
HURCO COMPANIES INC            145312                                         1        143112            0          2800
HVIDE MARINE INC               290300                                         1        285200            0          6800
IBP INC                          1000                                         1          1000
ILX RESORTS INC                 21700                                         1         20500                       1200
IMC GLOBAL INC                2302300                                         1       1889500            0        412800
IMCO RECYCLING INC              34300                                         1         34300
IMC MTG CO                     293500                                         1        296500            0             0
IRI INTL CORP                     303                                         1           303
ITEQ INC                       385300                                         1        375900            0         11900
ITT INDS INC IND                  100                                         1           100
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
IDACORP INC                                  COMMON               451107106              827194         28100
ILLINOVA CORPORATION                         COMMON               452317100            52967840       2499953
IMATION CORP                                 COMMON               45245A107              170478         10332
IMPERIAL CHEM INDS PLC                       COMMON               452704505             5013750        140000
IMPERIAL CR INDS INC                         COMMON               452729106               71209          9738
INACOM CORP COM                              COMMON               45323G109             3136076        404652
INDEPENDENCE HLDG CO NEW                     COMMON               453440307              440969         34250
INDEPENDENT BANKSHARES I                     COMMON               453841207               90730          8961
INDIANA ENERGY INC                           COMMON               454707100              109838          5800
INGERSOLL RAND CO                            COMMON               456866102                9925           200
INGRAM MICRO INC                             COMMON               457153104                3422           150
INLAND ENTMT CORP                            COMMON               457349108               97750         39100
INPUT/OUTPUT INC                             COMMON               457652105             1904652        301727
INSO CORPORATION                             COMMON               457674109             1947835        257560
INSTRON CORP                                 COMMON               457776102               39688          2500
INSURANCE AUTO AUCTIONS                      COMMON               457875102             2734079        225490
INTEGRATED DEVICES TECH INC                  COMMON               458118106              860586        159180
INTEGRATED ELECTRICAL SV                     COMMON               45811E103                9808           613
INTEGRATED CIRCUIT SYS                       COMMON               45811K109             3281956        181700
INTEGRATED HEALTH SVCS                       COMMON               45812C106             4763781        866142
INTEL CORP                                   COMMON               458140100              515918          4340
INTERCHANGE FINL SVCS S                      COMMON               458447109              220800         13800
INTERFACE INC                                COMMON               458665106             4192651        435600
INTERMET CORP                                COMMON               45881K104             7032576        525800
INTERNATIONAL AIRL SUPPO                     COMMON               458865201               55300         15800
INTERNATIONAL ALUM CORP                      COMMON               458884103             1226338         49300
INTERNATIONAL BANCSHARES                     COMMON               459044103                5375           125
INTL BUSINESS MACHINES CORP                  COMMON               459200101            40383674        227834
INTERNATL MULTIFOODS                         COMMON               460043102              155774          6682
INTERNATIONAL PAPER CO                       COMMON               460146103               14766           350
INTERNATIONAL RECTIFIER                      COMMON               460254105              129696         18528
INTL SPECIALTY PRODS INC                     COMMON               460337108             2224888        294200
INTERPOOL INC                                COMMON               46062R108             4710542        348929
INTERSTATE/JOHNSON LANE                      COMMON               460892102             1324519         42300
INTRAV INC                                   COMMON               460930100              113063          6700
INTEVAC INC                                  COMMON               461148108              547400         95200
INVESTORS TITLE CO                           COMMON               461804106              227900         10600
IONICS INC                                   COMMON               462218108              146317          4857
IRVINE APT CMNTYS INC                        COMMON               463606103             249,850         7,600
ISLE OF CAPRIS CASINOS I                     COMMON               464592104             1091350        239200
ISTITUTO BANCARIO SAN                        COMMON               465224103             3655866        114246
IVEX PACKAGING                               COMMON               465855104               81600          3840
JLK DIRECT DISTRIBUTION                      COMMON               46621C105             1001250        106800
JP REALTY INC                                COMMON               46624A106               94500          4800
JSB FINANCIAL INC                            COMMON               46624M100              177593          3543
JACKPOT ENTERPRISES INC                      COMMON               466392107               39063          5000
JACOBS ENGR GROUP INC DE                     COMMON               469814107              330052          8369
JAKKS PAC INC                                COMMON               47012E106               25900          1400
                         COLUMN TOTALS:                                               148456087

<CAPTION>


==============================================================================================
==============================================================================================
                                           ITEM 6                           ITEM 7                 ITEM 8
                                    INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                              SHARED
                                   SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
IDACORP INC                       28100                                         1         28100
ILLINOVA CORPORATION            2200430                                         1       2079913            0        426040
IMATION CORP                      10332                                         1         10332
IMPERIAL CHEM INDS PLC           140000                                         1        140000
IMPERIAL CR INDS INC               9738                                         1          9738
INACOM CORP COM                  325107                                         1        383662          180         20810
INDEPENDENCE HLDG CO NEW          34250                                         1         32500                       1750
INDEPENDENT BANKSHARES I           8961                                         1          8961
INDIANA ENERGY INC                 5800                                         1          5800
INGERSOLL RAND CO                   200                                         1           200
INGRAM MICRO INC                    150                                         1           150
INLAND ENTMT CORP                 39100                                         1         38000                       1100
INPUT/OUTPUT INC                 297427                                         1        301727            0             0
INSO CORPORATION                    900                                         1        200675          660         56225
INSTRON CORP                       2500                                         1          2500
INSURANCE AUTO AUCTIONS             900                                         1        170155          660         54675
INTEGRATED DEVICES TECH INC         700                                         1        124575          415         34190
INTEGRATED ELECTRICAL SV            613                                         1           613
INTEGRATED CIRCUIT SYS           180900                                         1        177200            0          4500
INTEGRATED HEALTH SVCS           861442                                         1        844242            0         21900
INTEL CORP                         4340                                         1          4340
INTERCHANGE FINL SVCS S           13800                                         1         13565                        235
INTERFACE INC                    430900                                         1        414800            0         20800
INTERMET CORP                    522900                                         1        514400            0         11400
INTERNATIONAL AIRL SUPPO          15800                                         1         14700                       1100
INTERNATIONAL ALUM CORP           49300                                         1         49300
INTERNATIONAL BANCSHARES            125                                         1           125
INTL BUSINESS MACHINES CORP      195000                                         1        215989            0         11845
INTERNATL MULTIFOODS               6682                                         1          6682
INTERNATIONAL PAPER CO              350                                         1           350
INTERNATIONAL RECTIFIER           18528                                         1         18528
INTL SPECIALTY PRODS INC         292300                                         1        294200            0             0
INTERPOOL INC                    347129                                         1        336179            0         12750
INTERSTATE/JOHNSON LANE           42300                                         1         39500                       2800
INTRAV INC                         6700                                         1          6700
INTEVAC INC                       94300                                         1         92300            0          2900
INVESTORS TITLE CO                10600                                         1         10600
IONICS INC                         4857                                         1          4857
IRVINE APT CMNTYS INC                 X                                                       0            0         7,600
ISLE OF CAPRIS CASINOS I         238000                                         1        232400            0          6800
ISTITUTO BANCARIO SAN             10032                                         1         99332         2265         12649
IVEX PACKAGING                     3840                                         1          3840
JLK DIRECT DISTRIBUTION          106800                                         1        106800
JP REALTY INC                      4800                                         1          4800
JSB FINANCIAL INC                  3543                                         1          3543
JACKPOT ENTERPRISES INC            5000                                         1          3200                       1800
JACOBS ENGR GROUP INC DE           8369                                         1          8369
JAKKS PAC INC                      1400                                         1          1400
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
JASON INC                                    COMMON               471171108             1152600        135600
JEAN PHILIPPE FRAGRANCES                     COMMON               472154301              461875         73900
JEFFERIES GROUP INC                          COMMON               472318104              398475          8400
JEFFERSON SMURFIT GRO                        COMMON               47508W107           2,801,800       140,090
JOHNSON CTLS INC                             COMMON               478366107                6238           100
JOHNSTOWN AMER INDS INC                      COMMON               479477101              629213         42300
JOURNAL REGISTER CO C                        COMMON               481138105              956880         79740
JUSCO LTD ADR                                COMMON               482131208           2,281,223        13,115
JUSTIN INDS INC                              COMMON               482171105             3330800        302800
JWGENESIS FINL CORP                          COMMON               482227105              216275         21100
K&G MENS CTR INC                             COMMON               482245107              121238         12200
KBK CAPITAL CORP                             COMMON               482412103                6300           900
KLM ROYAL DUTCH AIRLI                        COMMON               482516101           2,540,873        91,563
K MART CORP                                  COMMON               482584109            25810551       1535200
K TRON INTL INC                              COMMON               482730108              703800         39100
K2 INC                                       COMMON               482732104               50400          6400
KAISER ALUMINUM CORP                         COMMON               483007100             2719838        500200
KAMAN CORP                                   COMMON               483548103             2811062        219400
KANSAS CITY LIFE INS CO                      COMMON               484836101              125429          1539
KATY INDS INC                                COMMON               486026107              127400          9800
KAUFMAN & BROAD HOME                         COMMON               486168107              148913          6600
KAYE GROUP INC                               COMMON               486589104              538650         75600
KELLWOOD CO                                  COMMON               488044108              632775         28681
KEMET CORP                                   COMMON               488360108              407273         35415
KENNAMETAL INC                               COMMON               489170100             8690113        493056
KENT ELECTRONICS CORP                        COMMON               490553104               97845          9846
KENTEK INFORMATION SYS I                     COMMON               490807104              521775         77300
KENTUCKY ELEC STL INC                        COMMON               49127B100              112050         33200
KERR-MCGEE CORP                              COMMON               492386107              630263         19208
KEVCO INC                                    COMMON               492716105              241500         55200
KEY PRODTN INC                               COMMON               493138101              143213         20100
KEYCORP NEW                                  COMMON               493267108            47126844       1554700
KEYSPAN ENERGY                               COMMON               49337K106                5025           200
KEYSTONE CONS INDS INC                       COMMON               493422109              300850         54700
KIMBALL INTL INC                             COMMON               494274103              189925         12768
KILROY RLTY CORP COM                         COMMON               49427F108             8439993        411705
KINDER MORGAN ENERGY PAR                     COMMON               494550106              360100         10400
KIRBY CORP                                   COMMON               497266106              178297          9415
KITTY HAWK INC                               COMMON               498326107             1873250        236000
KNOLL INC                                    COMMON               498904101              169913          6900
KNIGHT RIDDER INC                            COMMON               499040103                5000           100
KONINKLIJKE PHILIPS ELEC                     COMMON               500472105           102381862       1241932
KOREA ELECTRIC PWR                           COMMON               500631106             4579870        360975
KOSS CORP                                    COMMON               500692108              551688         48500
KULICKE & SOFFA INDS INC                     COMMON               501242101              203768          8070
LAI WORLDWIDE INC                            COMMON               501718100              167913         26600
LTV CORP                                     COMMON               501921100              166625         31000
LNR PROPERTY CORP                            COMMON               501940100              256335         12979
                         COLUMN TOTALS:                                               226373898

<CAPTION>



==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
JASON INC                     134500                                         1        131400            0          4200
JEAN PHILIPPE FRAGRANCES       73900                                         1         70600                       3300
JEFFERIES GROUP INC             8400                                         1          8400
JEFFERSON SMURFIT GRO              X             X             X                     120,395        4,160        15,535
JOHNSON CTLS INC                 100                                         1           100
JOHNSTOWN AMER INDS INC        41300                                         1         42300            0             0
JOURNAL REGISTER CO C            260                                         1         61910          215         17615
JUSCO LTD ADR                      X             X             X                      10,920          415         1,780
JUSTIN INDS INC               300700                                         1        289700            0         13100
JWGENESIS FINL CORP            21100                                         1         21100
K&G MENS CTR INC               12200                                         1         12200
KBK CAPITAL CORP                 900                                         1           900
KLM ROYAL DUTCH AIRLI              X             X             X                      86,390        1,895         3,278
K MART CORP                  1535200                                         1       1197900            0        337300
K TRON INTL INC                39100                                         1         39100
K2 INC                          6400                                         1          6400
KAISER ALUMINUM CORP          492600                                         1        484300            0         15900
KAMAN CORP                    217300                                         1        209400            0         10000
KANSAS CITY LIFE INS CO         1539                                         1          1539
KATY INDS INC                   9800                                         1          9800
KAUFMAN & BROAD HOME            6600                                         1          6600
KAYE GROUP INC                 75600                                         1         74100                       1500
KELLWOOD CO                    28681                                         1         28681
KEMET CORP                     35415                                         1         35415
KENNAMETAL INC                490756                                         1        479856            0         13200
KENT ELECTRONICS CORP           9846                                         1          9846
KENTEK INFORMATION SYS I       76700                                         1         75500            0          1800
KENTUCKY ELEC STL INC          33200                                         1         33200
KERR-MCGEE CORP                19208                                         1         19208
KEVCO INC                      55200                                         1         55000                        200
KEY PRODTN INC                 20100                                         1         20100
KEYCORP NEW                  1554700                                         1       1271950            0        282750
KEYSPAN ENERGY                   200                                         1           200
KEYSTONE CONS INDS INC         54700                                         1         54700
KIMBALL INTL INC                9868                                         1         12768            0             0
KILROY RLTY CORP COM          350000                                         1        359760          160         51785
KINDER MORGAN ENERGY PAR       10400                                         1         10400
KIRBY CORP                      9415                                         1          9415
KITTY HAWK INC                233900                                         1        228800            0          7200
KNOLL INC                       6900                                         1          6900
KNIGHT RIDDER INC                100                                         1           100
KONINKLIJKE PHILIPS ELEC     1053630                                         1       1100730         1610        139592
KOREA ELECTRIC PWR            123900                                         1        344590         6155         10230
KOSS CORP                      48500                                         1         47000                       1500
KULICKE & SOFFA INDS INC        8070                                         1          8070
LAI WORLDWIDE INC              26600                                         1         24100                       2500
LTV CORP                       31000                                         1         31000
LNR PROPERTY CORP              12979                                         1         12979
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
LTC HEALTHCARE INC                           COMMON               50217R104                1829           887
LA BARGE INC                                 COMMON               502470107              462001        176000
LACROSSE FOOTWEAR INC                        COMMON               505688101              325000         52000
LAFARGE CORP                                 COMMON               505862102              604800         21600
LAKELAND INDS INC                            COMMON               511795106               67050         14900
LAKES GAMING INC                             COMMON               51206P109             1473644        179987
LAM RESEARCH CORPORATION                     COMMON               512807108             2212990         76310
LAMSON & SESSIONS CO                         COMMON               513696104              323900         65600
LANDAMERICA FINL GROUP I                     COMMON               514936103             1806700         62300
LANDS END INC                                COMMON               515086106              695963         20100
LANDRYS SEAFOOD RESTAURA                     COMMON               51508L103             3781744        590321
LANDSTAR SYSTEMS INC                         COMMON               515098101             1090078         32908
LASALLE HOTEL PROPERTIES                     COMMON               517942108             1429964        107920
LAWSON PRODS INC                             COMMON               520776105             1953650         95300
LAYNE CHRISTENSEN CO                         COMMON               521050104              137069         24100
LEARNING COMPANY INC                         COMMON               522008101            18835500        649500
LEASING SOLUTIONS INC                        COMMON               522113109              189394         81900
LEGGETT & PLATT INC                          COMMON               524660107                5000           250
LEHMAN BROS HLDGS INC                        COMMON               524908100                5975           100
LENNAR CORP                                  COMMON               526057104              220013          9833
LIBBEY INC                                   COMMON               529898108             4963100        160100
LIBERTY CORP S C                             COMMON               530370105              253378          4832
LIBERTY FINL COS INC                         COMMON               530512102              181431          7700
LIFE USA HOLDING INC                         COMMON               531918209              898819         84100
LIFETIME HOAN CORP                           COMMON               531926103             1879094        191500
LILLY INDS INC                               COMMON               532491107               26350          1700
LINCOLN ELEC HLDGS INC                       COMMON               533900106              102251          5490
LINCOLN NATL CORP IND                        COMMON               534187109                9888           100
LINDBERG CORP                                COMMON               535171102              721744         81900
LINDSAY MFG CO                               COMMON               535555106             1429013         71900
LIZ CLAIBORNE INC                            COMMON               539320101            35434992       1086130
LOCKHEED MARTIN CORP                         COMMON               539830109            33216225        879900
LODGIAN INC                                  COMMON               54021P106              486794        109700
LOEWS CORP                                   COMMON               540424108                7463           100
LONE STAR INDS INC                           COMMON               542290408             9598964        309644
LONE STAR STEAKHOUSE SAL                     COMMON               542307103             6369350        621400
LONGVIEW FIBRE CO                            COMMON               543213102              206009         17817
LOUIS DREYFUS NATURAL GAS                    COMMON               546011107             2039825        140675
LOUISIANA PAC CORP                           COMMON               546347105               14900           800
LUBYS INC                                    COMMON               549282101             5178736        306888
LUFKIN INDS INC                              COMMON               549764108             1934500        116800
LYDALL INC DEL                               COMMON               550819106             1268488        152600
LYONDELL CHEMICAL CO                         COMMON               552078107               10841           792
M & F WORLDWIDE CORP                         COMMON               552541104             2243500        320500
MAF BANCORP INC                              COMMON               55261R108              548819         24666
MBIA INC                                     COMMON               55262C100              674830         11635
M D C HLDGS INC                              COMMON               552676108             1663188        115700
MCN ENERGY GROUP INC                         COMMON               55267J100            36421538       2267488
                         COLUMN TOTALS:                                               183406294


<CAPTION>

==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
LTC HEALTHCARE INC               887                                         1           887
LA BARGE INC                  172900                                         1        176000            0             0
LACROSSE FOOTWEAR INC          52000                                         1         52000
LAFARGE CORP                   21600                                         1         21600
LAKELAND INDS INC              14900                                         1         13700                       1200
LAKES GAMING INC              178137                                         1        175087            0          4900
LAM RESEARCH CORPORATION       27200                                         1         62635          145         13530
LAMSON & SESSIONS CO           65100                                         1         65600            0             0
LANDAMERICA FINL GROUP I       62300                                         1         61300                       1000
LANDS END INC                  20100                                         1         20100
LANDRYS SEAFOOD RESTAURA      587421                                         1        576921            0         13400
LANDSTAR SYSTEMS INC           32863                                         1         32908            0             0
LASALLE HOTEL PROPERTIES         375                                         1         82940          300         24680
LAWSON PRODS INC               94700                                         1         91700            0          3600
LAYNE CHRISTENSEN CO           23700                                         1         24100            0             0
LEARNING COMPANY INC          649500                                         1        515500            0        134000
LEASING SOLUTIONS INC          81200                                         1         78500            0          3400
LEGGETT & PLATT INC              250                                         1           250
LEHMAN BROS HLDGS INC            100                                         1           100
LENNAR CORP                     9833                                         1          9833
LIBBEY INC                    158500                                         1        153100            0          7000
LIBERTY CORP S C                4832                                         1          4832
LIBERTY FINL COS INC            7700                                         1          7700
LIFE USA HOLDING INC           84100                                         1         84100
LIFETIME HOAN CORP            189000                                         1        186600            0          4900
LILLY INDS INC                  1700                                         1          1700
LINCOLN ELEC HLDGS INC          5490                                         1          5490
LINCOLN NATL CORP IND            100                                         1           100
LINDBERG CORP                  81900                                         1         79500                       2400
LINDSAY MFG CO                 70900                                         1         71900            0             0
LIZ CLAIBORNE INC            1079740                                         1        936970            0        149160
LOCKHEED MARTIN CORP          879900                                         1        694200            0        185700
LODGIAN INC                   108200                                         1        109700            0             0
LOEWS CORP                       100                                         1           100
LONE STAR INDS INC            305244                                         1        298844            0         10800
LONE STAR STEAKHOUSE SAL      614700                                         1        604100            0         17300
LONGVIEW FIBRE CO              17817                                         1         17817
LOUIS DREYFUS NATURAL GAS        500                                         1        112370          425         27880
LOUISIANA PAC CORP               800                                         1           800
LUBYS INC                     304588                                         1        294188            0         12700
LUFKIN INDS INC               116100                                         1        113800            0          3000
LYDALL INC DEL                152600                                         1        152600
LYONDELL CHEMICAL CO             792                                         1           792
M & F WORLDWIDE CORP          318900                                         1        311800            0          8700
MAF BANCORP INC                24666                                         1         24666
MBIA INC                       11635                                         1         11635
M D C HLDGS INC               113100                                         1        110800            0          4900
MCN ENERGY GROUP INC         2033900                                         1       1882551          215        384722

</TABLE>


<PAGE>

                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
MCI WORLDCOM INC                             COMMON               55268B106               66068           746
MFRI INC                                     COMMON               552721102              146250         46800
MGIC INVT CORP WIS                           COMMON               552848103                3506           100
MGM GRAND INC                                COMMON               552953101              756764         22506
M/I SCHOTTENSTEIN HOMES                      COMMON               55305B101             2664275        150100
MMI COS INC                                  COMMON               553087107             4761638        309700
MTS SYS CORP                                 COMMON               553777103              227813         22500
MTI TECHNOLOGY CORP                          COMMON               553903105              479006         86600
MYR GROUP INC                                COMMON               554053108              439614         37614
MACNEAL SCHWENDLER CORP                      COMMON               554806109             1596000        266000
MAGNETEK INC                                 COMMON               559424106             5504888        657300
MAIL-WELL INC                                COMMON               560321200             2828813        211500
MAIN STREET AND MAIN INC                     COMMON               560345308              311375         94000
MAINE PUB SVC CO                             COMMON               560483109               19688          1500
MAKITA ELEC WORKS LTD                        COMMON               560877300              834750         74200
MALLINCKRODT INC NEW                         COMMON               561232109            35298858       1325777
MANCHESTER EQUIP INC                         COMMON               562154104               49922         17750
MARCUS CORP                                  COMMON               566330106              180000         15000
MARINE TRANS CORP                            COMMON               567912100                4379          1523
MARINE DRILLING COS INC                      COMMON               568240204             8211500        746500
MARISA CHRISTINA INC                         COMMON               570268102                9625          5500
MARITRANS INC                                COMMON               570363101               72450         12600
MARK IV INDS INC                             COMMON               570387100             4894500        376500
MARSH SUPERMARKETS INC                       COMMON               571783307              650651         57200
MARRIOTT INTL INC NEW                        COMMON               571903202                8406           250
MARSHALL INDS                                COMMON               572393106             2388528        176928
MARTIN COLOR-FI INC                          COMMON               573183100                 592         19100
MARTIN MARIETTA MATLS IN                     COMMON               573284106              987181         17300
MASCO CORP                                   COMMON               574599106               11300           400
MASCOTECH INC                                COMMON               574670105            10524500        679000
MATSUSHITA ELEC CO                           COMMON               576879209             458,299         2,370
MATTEL INC                                   COMMON               577081102            16764704        672268
MAXCO INC                                    COMMON               577723109              131363         22600
MAXWELL SHOE INC                             COMMON               577766108             1344638        155900
MAY DEPT STORES CO                           COMMON               577778103               14672           375
MAXXIM MEDICAL, INC.                         COMMON               57777G105             1817760         96305
MAX & ERMAS RESTAURANTS                      COMMON               577903107              235813         34300
MAVERICK TUBE CORP                           COMMON               577914104              396206         56100
MCGRATH RENTCORP                             COMMON               580589109             2359725        129300
MCRAE INDS INC                               COMMON               582757209              163350         29700
MEAD CORP                                    COMMON               582834107            14036914        456485
MEADOW VY CORP                               COMMON               583185103              228544         57136
MEDIA ARTS GROUP INC                         COMMON               58439C102              229500         25500
MEDIA GEN INC                                COMMON               584404107              220038          4732
MEDICAL ASSURN INC                           COMMON               58449U100              255836          9137
MEDSTONE INTL INC NEW                        COMMON               58505C101              711254        103455
MENTOR GRAPHICS CORP                         COMMON               587200106             1991085        147485
MERCANTILE BANCORPORATIO                     COMMON               587342106                9500           200
                         COLUMN TOTALS:                                               125302041
<CAPTION>



==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                 SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
MCI WORLDCOM INC                  746                                         1           746
MFRI INC                        46800                                         1         44500                       2300
MGIC INVT CORP WIS                100                                         1           100
MGM GRAND INC                   22011                                         1         22506            0             0
M/I SCHOTTENSTEIN HOMES        149300                                         1        146000            0          4100
MMI COS INC                    308000                                         1        301300            0          8400
MTS SYS CORP                    22500                                         1         22500
MTI TECHNOLOGY CORP             86600                                         1         86600
MYR GROUP INC                   37614                                         1         35948                       1666
MACNEAL SCHWENDLER CORP        264800                                         1        260100            0          5900
MAGNETEK INC                   654300                                         1        643300            0         14000
MAIL-WELL INC                  209000                                         1        211500            0             0
MAIN STREET AND MAIN INC        93100                                         1         94000            0             0
MAINE PUB SVC CO                 1500                                         1          1500
MAKITA ELEC WORKS LTD           45100                                         1         71600            0          2600
MALLINCKRODT INC NEW          1141550                                         1       1050832            0        274945
MANCHESTER EQUIP INC            17750                                         1         17750
MARCUS CORP                     15000                                         1         15000
MARINE TRANS CORP                1523                                         1          1523
MARINE DRILLING COS INC        743800                                         1        723300            0         23200
MARISA CHRISTINA INC             5500                                         1          5500
MARITRANS INC                   12600                                         1         12600
MARK IV INDS INC               374700                                         1        376500            0             0
MARSH SUPERMARKETS INC          55500                                         1         53900            0          3300
MARRIOTT INTL INC NEW             250                                         1           250
MARSHALL INDS                  175728                                         1        174428            0          2500
MARTIN COLOR-FI INC             19100                                         1         19100
MARTIN MARIETTA MATLS IN        17300                                         1         17300
MASCO CORP                        400                                         1           400
MASCOTECH INC                  673600                                         1        658600            0         20400
MATSUSHITA ELEC CO                  X                                                       0            0         2,370
MATTEL INC                     498100                                         1        529313            0        142955
MAXCO INC                       22600                                         1         21500                       1100
MAXWELL SHOE INC               155400                                         1        152000            0          3900
MAY DEPT STORES CO                375                                         1           375
MAXXIM MEDICAL, INC.            25000                                         1         79610          215         16480
MAX & ERMAS RESTAURANTS         34300                                         1         32300                       2000
MAVERICK TUBE CORP              56100                                         1         56100
MCGRATH RENTCORP               128400                                         1        122300            0          7000
MCRAE INDS INC                  29700                                         1         28800                        900
MEAD CORP                      445185                                         1        444585            0         11900
MEADOW VY CORP                  57136                                         1         57136
MEDIA ARTS GROUP INC            24200                                         1         25500            0             0
MEDIA GEN INC                    4732                                         1          4732
MEDICAL ASSURN INC               9137                                         1          9137
MEDSTONE INTL INC NEW          102355                                         1        101655            0          1800
MENTOR GRAPHICS CORP              600                                         1        119105          390         27990
MERCANTILE BANCORPORATIO          200                                         1           200
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
MERCHANTS BANCSHARES                         COMMON               588448100              599588         27100
MERCHANTS GROUP INC                          COMMON               588539106              243600         11600
MERCURY AIR GROUP INC                        COMMON               589354109              481900         78677
MERITOR AUTOMOTIVE INC                       COMMON               59000G100              187550         12100
MERRILL CORP                                 COMMON               590175105             3472151        259600
MERRIMAC INDS INC                            COMMON               590262101               46000          9200
MESA LABS INC                                COMMON               59064R109              267000         53400
MESTEK INC                                   COMMON               590829107             1552300         81700
MET PRO CORP                                 COMMON               590876306               46200          4200
METALS USA INC                               COMMON               591324108             4718744        539285
METHODE ELECTRS INC                          COMMON               591520200              295925         26600
METRIKA SYSTEMS CORP                         COMMON               59159M106              610700         78800
METROWEST BK MASS                            COMMON               592668107              707250        123000
MICHAEL FOOD INC NEW                         COMMON               594079105             1409176         73924
MICROSEMI CORP                               COMMON               595137100              780938         98000
MID AMER BANCORP                             COMMON               595915109              345720         14111
MIDDLEBY CORP                                COMMON               596278101              279366         70950
MIDLAND CO                                   COMMON               597486109              781651         32400
MIDWEST EXPRESS HLDGS IN                     COMMON               597911106             1523799         51874
MIDWAY GAMES INC                             COMMON               598148104             5629292        647976
MIKASA INC                                   COMMON               59862T109             1576776        213800
MILACRON INC                                 COMMON               598709103            13074075        830100
MILTOPE GROUP INC                            COMMON               602191108               60519         42100
MINISCRIBE CORP                              COMMON               603669102                1446         41300
MISSISSIPPI CHEM CORP                        COMMON               605288208               38438          4100
MITCHAM INDS INC                             COMMON               606501104              487900        114800
MITCHELL ENERGY & DEV CO                     COMMON               606592202               81951          6589
MITCHELL ENERGY & DEV CO                     COMMON               606592301               83775          6702
MOBIL CORP                                   COMMON               607059102               44000           500
MOBILE AMER CORP FLA                         COMMON               607235504              360016        130915
MODINE MFG CO                                COMMON               607828100             2496665         88968
MONACO COACH CORP                            COMMON               60886R103             2255513         97800
MONARCH DENTAL CORP                          COMMON               609044102              111875         35800
MONRO MUFFLER BRAKE INC                      COMMON               610236101              806978        113260
MONTANA POWER COMPANY                        COMMON               612085100              978381         13300
MOORE PRODS CO                               COMMON               615836103              516675         24900
MORGAN J P & CO INC                          COMMON               616880100            11055387         89608
MORGAN KEEGAN INC                            COMMON               617410105             2739587        165409
MORGAN STAN DEAN WITTR                       COMMON               617446448            20954395        209675
MOTORCAR PARTS & ACCESSO                     COMMON               620071100              996807         89100
MUELLER INDS INC                             COMMON               624756102             3652853        163256
MURPHY OIL CORP                              COMMON               626717102             1211800         29200
NCH CORP                                     COMMON               628850109              427745          8958
NCI BUILDING SYS INC                         COMMON               628852105              864800         36800
NAC RE CORPORATION                           COMMON               628907107             7630250        142123
NL INDS INC                                  COMMON               629156407             3650175        405575
NN BALL & ROLLER INC                         COMMON               629305103              498225         87600
NVR INC                                      COMMON               62944T105             3382638         80300
                         COLUMN TOTALS:                                               104018495
<CAPTION>



==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
MERCHANTS BANCSHARES           27100                                         1         25400                       1700
MERCHANTS GROUP INC            11600                                         1         11000                        600
MERCURY AIR GROUP INC          78677                                         1         75652                       3025
MERITOR AUTOMOTIVE INC         12100                                         1         12100
MERRILL CORP                  258100                                         1        252800            0          6800
MERRIMAC INDS INC               9200                                         1          9200
MESA LABS INC                  53400                                         1         51900                       1500
MESTEK INC                     81700                                         1         78100                       3600
MET PRO CORP                    4200                                         1          3000                       1200
METALS USA INC                535885                                         1        523185            0         16100
METHODE ELECTRS INC            26600                                         1         26600
METRIKA SYSTEMS CORP           78800                                         1         76500                       2300
METROWEST BK MASS             120200                                         1        119200            0          3800
MICHAEL FOOD INC NEW           73924                                         1         73924
MICROSEMI CORP                 96900                                         1         98000            0             0
MID AMER BANCORP               14111                                         1         14111
MIDDLEBY CORP                  70950                                         1         69350                       1600
MIDLAND CO                     31900                                         1         31100            0          1300
MIDWEST EXPRESS HLDGS IN       49624                                         1         47899            0          3975
MIDWAY GAMES INC              644276                                         1        631276            0         16700
MIKASA INC                    209300                                         1        205200            0          8600
MILACRON INC                  826600                                         1        812800            0         17300
MILTOPE GROUP INC              42100                                         1         42100
MINISCRIBE CORP                41300                                         1         41300
MISSISSIPPI CHEM CORP           4100                                         1          4100
MITCHAM INDS INC              114300                                         1        111700            0          3100
MITCHELL ENERGY & DEV CO        6589                                         1          6589
MITCHELL ENERGY & DEV CO        6702                                         1          6702
MOBIL CORP                       500                                         1           500
MOBILE AMER CORP FLA          130115                                         1        127615            0          3300
MODINE MFG CO                  88968                                         1         88968
MONACO COACH CORP              97800                                         1         91350                       6450
MONARCH DENTAL CORP            35800                                         1         35800
MONRO MUFFLER BRAKE INC       113260                                         1        110530                       2730
MONTANA POWER COMPANY          13300                                         1         13300
MOORE PRODS CO                 24900                                         1         24900
MORGAN J P & CO INC            12495                                         1         72723            0         16885
MORGAN KEEGAN INC             165409                                         1        150259                      15150
MORGAN STAN DEAN WITTR        209675                                         1        209675
MOTORCAR PARTS & ACCESSO       88500                                         1         86400            0          2700
MUELLER INDS INC              160656                                         1        163256            0             0
MURPHY OIL CORP                23400                                         1         23400            0          5800
NCH CORP                        8958                                         1          8958
NCI BUILDING SYS INC           36800                                         1         30600                       6200
NAC RE CORPORATION             94293                                         1        120683          125         21315
NL INDS INC                   400900                                         1        389875            0         15700
NN BALL & ROLLER INC           87100                                         1         87600            0             0
NVR INC                        79500                                         1         76000            0          4300

</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
NYMAGIC INC                                  COMMON               629484106             1734200        133400
NACCO INDS INC                               COMMON               629579103             9102282        122900
NAPCO SEC SYS INC                            COMMON               630402105               22838          8700
NASH FINCH CO                                COMMON               631158102             1782200        212800
NATIONAL AUSTRALIA BANK                      PFD CV               632525309             1355831         43300
NATIONAL INFORMATION GRO                     COMMON               63648P100               13475          1400
NATIONAL-OILWELL INC                         COMMON               637071101            10366938        896600
NATL SEMICONDUCTOR                           COMMON               637640103              773636         83075
NATIONAL STL CORP                            COMMON               637844309             4946700        599600
NATIONAL WESTN LIFE INS                      COMMON               638522102             3130200         29600
NATIONAL WESTMINSTER BK                      COMMON               638539403              520838          3800
NATURAL ALTERNATIVES INT                     COMMON               638842302              368063         75500
NAVIGATORS GROUP INC                         COMMON               638904102             1654800        118200
NATURES SUNSHINE PROD                        COMMON               639027101             1592800        144800
NAUTICA ENTERPRISES                          COMMON               639089101             4509163        398600
NEOMAGIC CORP                                COMMON               640497103             2743744        276100
NEW CENTURY ENERGIES                         COMMON               64352U103                3406           100
NEWELL RUBBERMAID INC                        COMMON               651229106               16625           350
NEWPORT NEWS SHIPBLDG                        COMMON               652228107              887250         28000
NIAGARA CORP                                 COMMON               653349100              489375         78300
NIAGARA MOHAWK HLDGS INC                     COMMON               653520106            16966188       1262600
NIKE INC CL B                                COMMON               654106103             5420547         93963
NINE WEST GROUP INC                          COMMON               65440D102             5984251        242400
NIPPON TELEG & TEL CORP                      COMMON               654624105             2281744         46805
NORFOLK SOUTHERN CORP                        COMMON               655844108               77806          2950
NORRELL CORP                                 COMMON               656301108              216838         16600
NORTECH SYS INC                              COMMON               656553104               42069         12700
NORTEK INC                                   COMMON               656559101             1126125         45500
NORTH CAROLINA NAT GAS C                     COMMON               658221106              285525          9400
NORTHEAST BANCORP                            COMMON               663904100               62000          6200
NORTHN STS PWR CO MINN                       COMMON               665772109                3478           150
NORTHERN TECH INTL CORP                      COMMON               665809109               89438         13500
NORTHROP GRUMMAN CORP                        COMMON               666807102            31563107        527150
NORTHSTAR COMPUTER FORMS                     COMMON               667031108              126650         14900
NORTHWEST PIPE CO                            COMMON               667746101             1473450         89300
NORTHWESTERN CORP                            COMMON               668074107              188773          7278
NORTHWESTERN STL & WIRE                      COMMON               668367204                3094          3000
NOVARTIS AG SPONSORED                        COMMON               66987V109              547761          6774
NU HORIZONS ELECTRS CORP                     COMMON               669908105              678150        164400
NOVACARE INC/W RIGHTS                        COMMON               669930109              712122        406927
NOVO NORDISK                                 COMMON               670100205           2,748,980        50,440
NUCOR CORP                                   COMMON               670346105               35250           800
NUEVO ENERGY CO                              COMMON               670509108               67041          4966
NUTRITION FOR LIFE INTL                      COMMON               67061S202                6181          2300
OEA INC                                      COMMON               670826106               52091          6314
OGE ENERGY CORP COM                          COMMON               670837103             1412413         62600
O I CORP                                     COMMON               670841105              151813         34700
OAKWOOD HOMES CORP                           COMMON               674098108              277200         19800
                         COLUMN TOTALS:                                               118614449

<CAPTION>


==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
NYMAGIC INC                   132800                                         1        129200            0          4200
NACCO INDS INC                122200                                         1        119500            0          3400
NAPCO SEC SYS INC               8700                                         1          8700
NASH FINCH CO                 211000                                         1        206600            0          6200
NATIONAL AUSTRALIA BANK        43300                                         1         43300
NATIONAL INFORMATION GRO        1400                                         1          1400
NATIONAL-OILWELL INC          890800                                         1        872800            0         23800
NATL SEMICONDUCTOR             72610                                         1         72875            0         10200
NATIONAL STL CORP             596400                                         1        578900            0         20700
NATIONAL WESTN LIFE INS        29600                                         1         28500                       1100
NATIONAL WESTMINSTER BK         3800                                         1           700                       3100
NATURAL ALTERNATIVES INT       75000                                         1         73900            0          1600
NAVIGATORS GROUP INC          116900                                         1        114800            0          3400
NATURES SUNSHINE PROD         144100                                         1        144800            0             0
NAUTICA ENTERPRISES           391800                                         1        393500            0          5100
NEOMAGIC CORP                 274900                                         1        271100            0          5000
NEW CENTURY ENERGIES             100                                         1           100
NEWELL RUBBERMAID INC            200                                         1           350            0             0
NEWPORT NEWS SHIPBLDG          28000                                         1         28000
NIAGARA CORP                   77300                                         1         75200            0          3100
NIAGARA MOHAWK HLDGS INC     1262600                                         1       1061900            0        180700
NIKE INC CL B                   2300                                         1         73528            0         20435
NINE WEST GROUP INC           239400                                         1        230000            0         12400
NIPPON TELEG & TEL CORP        10800                                         1         36770          890          9145
NORFOLK SOUTHERN CORP           2950                                         1          2950
NORRELL CORP                   16600                                         1         16600
NORTECH SYS INC                12700                                         1         12700
NORTEK INC                     45500                                         1         39900                       5600
NORTH CAROLINA NAT GAS C        9400                                         1          9400
NORTHEAST BANCORP               6200                                         1          6200
NORTHN STS PWR CO MINN           150                                         1           150
NORTHERN TECH INTL CORP        13500                                         1         12100                       1400
NORTHROP GRUMMAN CORP         527150                                         1        450750            0         76400
NORTHSTAR COMPUTER FORMS       14900                                         1         14900
NORTHWEST PIPE CO              88700                                         1         87300            0          2000
NORTHWESTERN CORP               7278                                         1          7278
NORTHWESTERN STL & WIRE         3000                                         1          3000
NOVARTIS AG SPONSORED           2129                                         1          2129            0          4645
NU HORIZONS ELECTRS CORP      163000                                         1        160400            0          4000
NOVACARE INC/W RIGHTS         380727                                         1        383927            0         23000
NOVO NORDISK                       X             X             X                      47,065        1,250         2,125
NUCOR CORP                       800                                         1           800
NUEVO ENERGY CO                 4966                                         1          4966
NUTRITION FOR LIFE INTL         2300                                         1          2300
OEA INC                         6314                                         1          6314
OGE ENERGY CORP COM            50600                                         1         50600            0         12000
O I CORP                       34700                                         1         33000                       1700
OAKWOOD HOMES CORP             19800                                         1         19800

</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
OCCIDENTAL PETE CORP DEL                     COMMON               674599105            19985400       1110300
OCEANEERING INTL INC                         COMMON               675232102             2171043        143540
OCTEL CORP                                   COMMON               675727101               71197          5812
OFFICEMAX INC                                COMMON               67622M108             1239806        143745
OFFSHORE LOGISTICS INC                       COMMON               676255102             5443035        468218
OGDEN CORP                                   COMMON               676346109             2043245         84914
OGLEBAY NORTON CO                            COMMON               677007106             1353544         61700
OLD DOMINION FGHT LINES                      COMMON               679580100             1577713        138700
OLIN CORP                                    COMMON               680665205              201250         20000
OLSTEN CORP                                  COMMON               681385100             3186971        515066
OMNICOM GROUP                                COMMON               681919106             201,442         2,520
OMEGA WORLDWIDE INC                          COMMON               68210B108                7526          2007
ONEIDA LTD                                   COMMON               682505102             1992400        117200
ONEOK INC NEW COM                            COMMON               682680103             1634516         66040
ONTRACK DATA INTL INC                        COMMON               683372106              332475         85800
OPTEK TECHNOLOGY INC                         COMMON               683815104              452375         30800
ORBIT INTL CORP                              COMMON               685559106               29500         23600
ORION CAP CORP                               COMMON               686268103              794469         25423
OROAMERICA INC                               COMMON               687027102              128575         13900
OSHKOSH TRUCK CORP                           COMMON               688239201              338000         10400
O'SULLIVAN INDS HLDGS IN                     COMMON               688609106             5197532        376290
OTTER TAIL PWR CO                            COMMON               689648103              307038          7700
OVERSEAS SHIPHOLDING GRO                     COMMON               690368105              243683         20962
OWENS-ILLINOIS INC                           COMMON               690768403                5000           200
OXFORD INDS INC                              COMMON               691497309             3958501        162400
P & F INDS INC                               COMMON               692830508              104231         10900
P A M TRANSN SVCS INC                        COMMON               693149106              956494        110100
PECO ENERGY CO                               COMMON               693304107            13019375        281500
PG&E CORP                                    COMMON               69331C108               80203          2582
PLM INTL INC                                 COMMON               69341L205              391001         73600
PMI GROUP INC COM                            COMMON               69344M101            43866468        945907
PNC BANK CORP                                COMMON               693475105            29962078        539250
P P & L RES INC                              COMMON               693499105             7741800        312800
PPG INDUSTRIES INC                           COMMON               693506107            34231016        667921
PSC INC                                      COMMON               69361E107             1252063        149500
PXRE CORP                                    COMMON               693674103             3342744        185708
PACCAR INC                                   COMMON               693718108               53544          1300
PACIFIC CENTY FINL CORP                      COMMON               694058108              469688         22500
PACIFIC CREST CAP INC                        COMMON               694166109              334139         24301
PACIFICORP                                   COMMON               695114108             2786738        161550
PAINE WEBBER INC                             COMMON               695629105            68178635       1709807
PAMIDA HLDGS CORP                            COMMON               697642106              320938        102700
PARK OHIO HLDGS CORP                         COMMON               700666100               55631          3600
PARK PL ENTMT CORP                           COMMON               700690100             3362651        444648
PARKVALE FINL CORP                           COMMON               701492100              458772         21717
PATRICK INDS INC                             COMMON               703343103             1335150         98900
PATTERSON ENERGY INC                         COMMON               703414102               94006         16900
PAUL HARRIS STORES INC                       COMMON               703555201              863613        117100
                         COLUMN TOTALS:                                               266157214


<CAPTION>



==============================================================================================
==============================================================================================
                                         ITEM 6                         ITEM 7                   ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                               SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
OCCIDENTAL PETE CORP DEL    1110300                                         1        860200            0        250100
OCEANEERING INTL INC         143540                                         1        143540
OCTEL CORP                     5812                                         1          5812
OFFICEMAX INC                   400                                         1        111080          410         32255
OFFSHORE LOGISTICS INC       465718                                         1        457918            0         10300
OGDEN CORP                        0                                         1         69218          198         15498
OGLEBAY NORTON CO             61700                                         1         60100                       1600
OLD DOMINION FGHT LINES      138000                                         1        137200            0          1500
OLIN CORP                     20000                                         1         20000
OLSTEN CORP                  514066                                         1        515066            0             0
OMNICOM GROUP                     X                                                       0            0         2,520
OMEGA WORLDWIDE INC            2007                                         1          2007
ONEIDA LTD                   117200                                         1        113400                       3800
ONEOK INC NEW COM               300                                         1         51080          180         14780
ONTRACK DATA INTL INC         85800                                         1         85800
OPTEK TECHNOLOGY INC          30800                                         1         29600                       1200
ORBIT INTL CORP               23600                                         1         23600
ORION CAP CORP                25423                                         1         25423
OROAMERICA INC                13900                                         1         13900
OSHKOSH TRUCK CORP            10400                                         1         10400
O'SULLIVAN INDS HLDGS IN     174800                                         1        325335          590         50365
OTTER TAIL PWR CO              7700                                         1          7700
OVERSEAS SHIPHOLDING GRO      20962                                         1         20962
OWENS-ILLINOIS INC              200                                         1           200
OXFORD INDS INC              161900                                         1        158600            0          3800
P & F INDS INC                10900                                         1         10900
P A M TRANSN SVCS INC        110100                                         1        109100                       1000
PECO ENERGY CO               281500                                         1        281500
PG&E CORP                      2582                                         1          2582
PLM INTL INC                  71800                                         1         71100            0          2500
PMI GROUP INC COM            873250                                         1        778957            0        166950
PNC BANK CORP                539250                                         1        479350                      59900
P P & L RES INC              312800                                         1         22400            0        290400
PPG INDUSTRIES INC           554950                                         1        510626            0        157295
PSC INC                      148900                                         1        149500            0             0
PXRE CORP                    184508                                         1        180176            0          5532
PACCAR INC                     1300                                         1           500                        800
PACIFIC CENTY FINL CORP       22500                                         1         22500
PACIFIC CREST CAP INC         24301                                         1         24301
PACIFICORP                   161550                                         1        161550
PAINE WEBBER INC            1547350                                         1       1500630            0        208977
PAMIDA HLDGS CORP            102200                                         1        100200            0          2500
PARK OHIO HLDGS CORP           3600                                         1                                     3600
PARK PL ENTMT CORP           437248                                         1        425048            0         19600
PARKVALE FINL CORP            21717                                         1         21717
PATRICK INDS INC              97900                                         1         96200            0          2700
PATTERSON ENERGY INC          16900                                         1         16900
PAUL HARRIS STORES INC       116500                                         1        117100            0             0
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
PECHINEY SPONSORED AD                        COMMON               705151207           1,887,120       104,840
PEERLESS MFG CO                              COMMON               705514107              131250         14000
PENN-AMER GROUP INC                          COMMON               707247102             1376100        125100
PENN ENGR & MFG CORP                         COMMON               707389102              568125         30300
PENN ENGR & MFG CORP                         COMMON               707389300              473100         24900
PENN VIRGINIA CORP                           COMMON               707882106             2420383        137815
PENNCORP FINL GROUP INC                      COMMON               708094107               18894         33589
PENNEY J C INC                               COMMON               708160106            45303034       1118590
PENNZOIL-QUAKER STATE CO                     COMMON               709323109              138390         11183
PENTON MEDIA INC                             COMMON               709668107              113580          5048
PEPSICO INC                                  COMMON               713448108             1003200         25600
PERCON INC                                   COMMON               71361E103              301438         45500
PERINI CORP                                  COMMON               713839108              407750         93200
PERSONNEL GROUP AMER INC                     COMMON               715338109               73356         10206
PETROLEUM DEV CORP                           COMMON               716578109              483575        133400
PHARMACIA & UPJOHN INC                       COMMON               716941109            28410565        455480
PHARMERICA INC COM                           COMMON               717135107              734505        146901
PHILIP MORRIS COS INC                        COMMON               718154107            20328961        577730
PHILLIPS PETE CO                             COMMON               718507106               14175           300
PHILLIPS VAN HEUSEN                          COMMON               718592108                 945           140
PHOENIX DUFF & PHELPS CO                     PFD CV               718924202                4930           170
PHYMATRIX CORP                               COMMON               718925100              689219        401000
PHYSICIANS SPECIALTY COR                     COMMON               718934102              207225         30700
PICCADILLY CAFETERIAS IN                     COMMON               719567109              933938         87900
PIERCING PAGODA INC                          COMMON               720773100              835657         93500
PILGRIMS PRIDE CORP                          COMMON               721467108             3297363        200600
PINNACLE BANCSHARES INC                      COMMON               722903101               18750          2000
PIONEER ELECTR CORP                          COMMON               723657409             3957515        212484
PIONEER STD ELECTRS INC                      COMMON               723877106             3821948        582392
PIRELLI SPA - UNSPONS                        COMMON               724258207           2,033,147       713,385
PITT DESMOINES INC                           COMMON               724508106             1296750         57000
PITTSTON CO                                  COMMON               725701882             2313143        333426
PITTWAY CORP DEL                             COMMON               725790208              267544         10096
PLANET HOLLYWOOD INTL                        COMMON               727025108                7483          7043
PLASMA THERM CORP                            COMMON               727900102              106425         47300
PLAYCORE INC                                 COMMON               72811G102              264152         57114
PLAY BY PLAY TOYS & NOVE                     COMMON               72811K103              780625        124900
PLAZA INVTS LTD                              COMMON               728999996                   0             1
PLUMA INC                                    COMMON               729272104                  95           190
POLK AUDIO INC                               COMMON               730900107              108900          9900
POLARIS INDUSTRIES INC                       COMMON               731068102             6594475        207700
POLYMEDICA CORP                              COMMON               731738100              321750         42900
POOL ENERGY SVCS CO                          COMMON               732788104             4891241        319428
PORTUGAL TELECOM S A                         COMMON               737273102              306688          7000
POTOMAC ELEC PWR CO                          COMMON               737679100             9356156        403500
POWELL INDS INC                              COMMON               739128106             1402950        159200
PRAXAIR INC                                  COMMON               74005P104            31374916        870015
PRECISION CASTPARTS CORP                     COMMON               740189105              317975          7900
                         COLUMN TOTALS:                                               179699406
<CAPTION>


==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
PECHINEY SPONSORED AD              X             X             X                      97,970        2,265         4,605
PEERLESS MFG CO                14000                                         1         14000
PENN-AMER GROUP INC           124100                                         1        121700            0          3400
PENN ENGR & MFG CORP           30300                                         1         30300
PENN ENGR & MFG CORP           24900                                         1         24900
PENN VIRGINIA CORP             43100                                         1        117315          280         20220
PENNCORP FINL GROUP INC        33589                                         1         33589
PENNEY J C INC                910540                                         1        936615            0        181975
PENNZOIL-QUAKER STATE CO       11183                                         1         11183
PENTON MEDIA INC                5048                                         1          5048
PEPSICO INC                    25600                                         1         25600
PERCON INC                     45500                                         1         44100                       1400
PERINI CORP                    93200                                         1         91100                       2100
PERSONNEL GROUP AMER INC       10206                                         1         10206
PETROLEUM DEV CORP            133400                                         1        133400
PHARMACIA & UPJOHN INC        455480                                         1        455480
PHARMERICA INC COM            133614                                         1        133614            0         13287
PHILIP MORRIS COS INC         505750                                         1        419360            0        158370
PHILLIPS PETE CO                 300                                         1           300
PHILLIPS VAN HEUSEN          X                                                           140                          0
PHOENIX DUFF & PHELPS CO         170                                         1           170
PHYMATRIX CORP                399300                                         1        385700            0         15300
PHYSICIANS SPECIALTY COR       30700                                         1         30700
PICCADILLY CAFETERIAS IN       87400                                         1         83000            0          4900
PIERCING PAGODA INC            93000                                         1         93500            0             0
PILGRIMS PRIDE CORP           199200                                         1        191700            0          8900
PINNACLE BANCSHARES INC         2000                                         1          2000
PIONEER ELECTR CORP              980                                         1        181795         5140         25549
PIONEER STD ELECTRS INC       579392                                         1        567992            0         14400
PIRELLI SPA - UNSPONS              X             X             X                     570,600       11,200       131,685
PITT DESMOINES INC             57000                                         1         54400                       2600
PITTSTON CO                   331126                                         1        324626            0          8800
PITTWAY CORP DEL               10096                                         1         10096
PLANET HOLLYWOOD INTL           7043                                         1          7043
PLASMA THERM CORP              46700                                         1         47300            0             0
PLAYCORE INC                   57114                                         1         54725                       2389
PLAY BY PLAY TOYS & NOVE      124900                                         1        122400                       2500
PLAZA INVTS LTD              X                                                             1                          0
PLUMA INC                    X                                                           190                          0
POLK AUDIO INC                  9900                                         1          9900
POLARIS INDUSTRIES INC        205300                                         1        196400            0         11300
POLYMEDICA CORP                42900                                         1         42900
POOL ENERGY SVCS CO           317728                                         1        310528            0          8900
PORTUGAL TELECOM S A            7000                                         1          3300                       3700
POTOMAC ELEC PWR CO           403500                                         1        403500
POWELL INDS INC               158300                                         1        154300            0          4900
PRAXAIR INC                   864250                                         1        732810            0        137205
PRECISION CASTPARTS CORP        7900                                         1          7900
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
PRESIDENTIAL LIFE CORP                       COMMON               740884101             1511630         84272
PREMIUMWEAR INC                              COMMON               740909106               46550          9800
PRICE ENTERPRISES INC                        COMMON               741444202                6074          1092
PRICELINE COM INC                            COMMON               741503106               16575           200
PRIMESOURCE CORP                             COMMON               741593107              582750        103600
PRIMA ENERGY CORP                            COMMON               741901201              399713         28050
PRIMARK CORP                                 COMMON               741903108              157356          7405
PRIME HOSPITALITY CORP                       COMMON               741917108             8691606        874627
PRIDE INTL INC                               COMMON               741932107             7130962        864359
PRINTRONIX INC                               COMMON               742578107              485050         43600
PRINTWARE INC                                COMMON               742580103              141750         56700
PRIORITY HEALTHCARE CORP                     COMMON               74264T102               93939          2076
PROFESSIONALS GROUP INC                      COMMON               742954100             1046719         39875
PROGRAMMERS PARADISE INC                     COMMON               743205106               32738          2700
PROGRAMMING & SYS INC                        COMMON               743209108               36100          7600
PROMEDCO MGMT CO                             COMMON               74342L105             1480463        320100
PROVENA FOODS INC                            COMMON               743726101                1375           500
PROVIDENCE & WORCESTER R                     COMMON               743737108              130163         11700
PROVIDENCE ENERGY CORP                       COMMON               743743106              444675         24200
PROVIDENT COS INC                            COMMON               743862104            26763472        774350
PUBLIC SVC CO N MEX                          COMMON               744499104            12541903        737759
PUBLIC SVC CO N C INC                        COMMON               744516105              222347          7836
PUBLIC SVC ENTERPRISE GR                     COMMON               744573106            13844878        362550
PUBLIC STORAGE INC                           COMMON               74460D109              625000         25000
PULASKI FURNITURE CORP                       COMMON               745553107              303400         14800
PULTE CORP                                   COMMON               745867101              147769          7100
Q E P INC                                    COMMON               74727K102              368063         45300
QUAKER CHEM CORP                             COMMON               747316107             1877213        132900
QUAKER FABRIC CORP NEW                       COMMON               747399103              908913        163400
QUALITY DINING INC                           COMMON               74756P105               51894         18050
QUANEX CORP                                  COMMON               747620102             4473502        288613
QUESTAR CORP                                 COMMON               748356102               33875          2000
QUINTEL COMMUNICATIONS I                     COMMON               748762101              172900        197600
QUIPP INC                                    COMMON               748802105               67600          3200
QUORUM HEALTH GROUP INC                      COMMON               749084109             3144000        314400
R & B INC                                    COMMON               749124103             1002400        125300
R & B FALCON CORP                            COMMON               74912E101              195788         22700
RDO EQUIPMENT CO                             COMMON               749413100             1811700        201300
RF MONOLITHICS INC                           COMMON               74955F106              405900         65600
RLI CORP                                     COMMON               749607107             2487859         85055
RJR NABISCO HOLDINGS                         COMMON               74960K876            15228750        609150
RPC INC                                      COMMON               749660106             1445219        224500
RTI INTL METALS INC                          COMMON               74973W107             3494250        349425
RAILTEX INC                                  COMMON               750766107             1661888        146100
RAINFOREST CAFE INC                          COMMON               75086K104             1039960        206700
RAVEN INDS INC                               COMMON               754212108              219800         15700
RAYMOND JAMES FINANCIAL                      COMMON               754730109              269509         13646
RAYTEL MED CORP                              COMMON               755107109              675927        163861
                         COLUMN TOTALS:                                               117921867
<CAPTION>


==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
PRESIDENTIAL LIFE CORP         83272                                         1         84272            0             0
PREMIUMWEAR INC                 9800                                         1          9800
PRICE ENTERPRISES INC           1092                                         1          1092
PRICELINE COM INC                200                                         1           200
PRIMESOURCE CORP              103600                                         1        101500                       2100
PRIMA ENERGY CORP              28050                                         1         25500                       2550
PRIMARK CORP                    7405                                         1          7405
PRIME HOSPITALITY CORP        871927                                         1        874627            0             0
PRIDE INTL INC                858759                                         1        841359            0         23000
PRINTRONIX INC                 43600                                         1         43600
PRINTWARE INC                  56700                                         1         54700                       2000
PRIORITY HEALTHCARE CORP        2076                                         1          2076
PROFESSIONALS GROUP INC        39875                                         1         39875
PROGRAMMERS PARADISE INC        2700                                         1          2700
PROGRAMMING & SYS INC           7600                                         1          7600
PROMEDCO MGMT CO              318200                                         1        313400            0          6700
PROVENA FOODS INC                500                                         1           500
PROVIDENCE & WORCESTER R       11700                                         1         11700
PROVIDENCE ENERGY CORP         24200                                         1         21500                       2700
PROVIDENT COS INC             774350                                         1        616950            0        157400
PUBLIC SVC CO N MEX           729359                                         1        715059            0         22700
PUBLIC SVC CO N C INC           7836                                         1          7836
PUBLIC SVC ENTERPRISE GR      362550                                         1        362550
PUBLIC STORAGE INC             25000                                         1         25000
PULASKI FURNITURE CORP         14800                                         1         14800
PULTE CORP                      7100                                         1          7100
Q E P INC                      45300                                         1         44200                       1100
QUAKER CHEM CORP              132400                                         1        129900            0          3000
QUAKER FABRIC CORP NEW        162800                                         1        163400            0             0
QUALITY DINING INC             18050                                         1         18050
QUANEX CORP                   287313                                         1        281013            0          7600
QUESTAR CORP                    2000                                         1          2000
QUINTEL COMMUNICATIONS I      196800                                         1        191700            0          5900
QUIPP INC                       3200                                         1          3200
QUORUM HEALTH GROUP INC       311800                                         1        314400            0             0
R & B INC                     124000                                         1        122000            0          3300
R & B FALCON CORP              22700                                         1         22700
RDO EQUIPMENT CO              200000                                         1        199700            0          1600
RF MONOLITHICS INC             65600                                         1         65600
RLI CORP                       85055                                         1         79805                       5250
RJR NABISCO HOLDINGS          609150                                         1        609150
RPC INC                       223000                                         1        216400            0          8100
RTI INTL METALS INC           346325                                         1        340025            0          9400
RAILTEX INC                   145400                                         1        142100            0          4000
RAINFOREST CAFE INC           204500                                         1        198400            0          8300
RAVEN INDS INC                 15700                                         1         14100                       1600
RAYMOND JAMES FINANCIAL        13646                                         1         13646
RAYTEL MED CORP               163361                                         1        159761            0          4100
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>



                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
RAYTHEON CO                                  COMMON               755111408               23450           400
READERS DIGEST ASSOC A NON VTG               COMMON               755267101             6338115        201609
RECOTON CORP                                 COMMON               756268108             1226400         87600
RED ROOF INNS INC COM                        COMMON               757005103             2670901        169579
REDWOOD EMPIRE BANCORP                       COMMON               757897103               56925          2300
REEBOK INTL LTD                              COMMON               758110100              411163         25900
REEDS JEWELERS INC                           COMMON               758341101               57451         21886
REFAC TECHNOLOGY DEV COR                     COMMON               758655104              319500         56800
REGAL BELOIT CORP                            COMMON               758750103             5543381        306900
REGIONS FINL CORP                            COMMON               758940100              237181          6850
REHABCARE GROUP INC                          COMMON               759148109              863081         57300
RELIANCE GROUP HOLDINGS INC                  COMMON               759464100            14590409       1897937
RELIANCE STEEL & ALUMINU                     COMMON               759509102             1810578         62840
RELIANT ENERGY INC                           COMMON               75952J108                7819           300
RELIASTAR FINL CORP                          COMMON               75952U103                4263           100
REMEDYTEMP INC                               COMMON               759549108             1022588         81400
RELIABILITY INC                              COMMON               759903107              311163         80300
RENTRAK CORP                                 COMMON               760174102               89719         31900
REPSOL S A                                   COMMON               76026T205             7444114        145251
REPUBLIC GROUP INC                           COMMON               760473108             2126675        141190
REPUBLIC N Y CORP                            COMMON               760719104                4613           100
RESOURCE BANCSHARES MTG                      COMMON               761197102             5772854        448377
RESPONSE ONCOLOGY INC                        COMMON               761232305              481650        160550
REUTERS GROUP PLC                            COMMON               76132M102              893509         10285
REX STORES CORP                              COMMON               761624105             1210594        104700
REXAM PLC ADR SPON NE                        COMMON               761655307           1,804,981       515,709
REYNOLDS METALS CO                           COMMON               761763101            33454474        692460
RICHARDSON ELECTRS LTD                       COMMON               763165107             1077963        207800
RICHTON INTL CORP                            COMMON               765516109              103950          7700
RIO HOTEL & CASINO INC                       COMMON               767147101              109553          6901
RIO TINTO LTD ADR SPO                        COMMON               767204100           2,784,925        50,635
RIVIERA TOOL CO                              COMMON               769648106              161358         33970
ROADWAY EXPRESS INC DEL                      COMMON               769742107             6373953        373565
ROANOKE ELEC STL CORP                        COMMON               769841107              667500         60000
ROBBINS & MYERS INC                          COMMON               770196103              710638         40900
ROBERTS PHARMACEUTICAL C                     COMMON               770491108              155521          7495
ROBERTSON CECO CORP                          COMMON               770539203              511850         70600
ROCHESTER GAS & ELECTRIC                     COMMON               771367109             6185625        241390
ROCK-TENN CO                                 COMMON               772739207             5934150        385961
ROCKY MTN CHOCOLATE FACT                     COMMON               774678403              107325         31800
ROCKY SHOES & BOOTS INC                      COMMON               774830103              420875         74000
ROHM & HAAS CO                               COMMON               775371107                6713           200
ROHN INDS INC                                COMMON               775381106             1185256        534200
ROLLINS TRUCK LEASING CO                     COMMON               775741101              208937         22139
ROSLYN BANCORP INC                           COMMON               778162107              514148         30468
ROUGE INDS INC DEL                           COMMON               779088103             2038750        233000
ROWAN COS INC                                COMMON               779382100             5388381        424700
ROYALE ENERGY INC                            COMMON               78074G200               28613         10900
                         COLUMN TOTALS:                                               123453535

<CAPTION>

==============================================================================================
==============================================================================================
                                             ITEM 6                          ITEM 7                  ITEM 8
                                      INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                                SHARED
                                     SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
RAYTHEON CO                           400                                         1           400
READERS DIGEST ASSOC A NON VTG          0                                         1        158454            0         43155
RECOTON CORP                        87100                                         1         87600            0             0
RED ROOF INNS INC COM               20189                                         1        136339          400         32840
REDWOOD EMPIRE BANCORP               2300                                         1          2300
REEBOK INTL LTD                     25900                                         1         25900
REEDS JEWELERS INC                  21886                                         1         21886
REFAC TECHNOLOGY DEV COR            56800                                         1         55600                       1200
REGAL BELOIT CORP                  304900                                         1        306900            0             0
REGIONS FINL CORP                    6850                                         1          6850
REHABCARE GROUP INC                 57300                                         1         55600                       1700
RELIANCE GROUP HOLDINGS INC       1713400                                         1       1448527          485        448925
RELIANCE STEEL & ALUMINU            62840                                         1         62840
RELIANT ENERGY INC                    300                                         1           300
RELIASTAR FINL CORP                   100                                         1           100
REMEDYTEMP INC                      81400                                         1         78900                       2500
RELIABILITY INC                     80300                                         1         80300
RENTRAK CORP                        31100                                         1         29200            0          2700
REPSOL S A                          55800                                         1        129445         1450         14356
REPUBLIC GROUP INC                 140090                                         1        136570            0          4620
REPUBLIC N Y CORP                     100                                         1           100
RESOURCE BANCSHARES MTG            444072                                         1        437032            0         11345
RESPONSE ONCOLOGY INC              159950                                         1        160550            0             0
REUTERS GROUP PLC                   10285                                         1         10285
REX STORES CORP                    103400                                         1        100700            0          4000
REXAM PLC ADR SPON NE                   X             X             X                     451,235       13,805        50,669
REYNOLDS METALS CO                 688250                                         1        543140            0        149320
RICHARDSON ELECTRS LTD             206600                                         1        201200            0          6600
RICHTON INTL CORP                    7700                                         1          7700
RIO HOTEL & CASINO INC               6901                                         1          6901
RIO TINTO LTD ADR SPO                   X             X             X                      47,200        1,190         2,245
RIVIERA TOOL CO                     33970                                         1         32870                       1100
ROADWAY EXPRESS INC DEL            372065                                         1        364065            0          9500
ROANOKE ELEC STL CORP               60000                                         1         56250                       3750
ROBBINS & MYERS INC                 40900                                         1         40900
ROBERTS PHARMACEUTICAL C             7495                                         1          7495
ROBERTSON CECO CORP                 67400                                         1         70600            0             0
ROCHESTER GAS & ELECTRIC           156700                                         1        221210          240         19940
ROCK-TENN CO                       385961                                         1        370661                      15300
ROCKY MTN CHOCOLATE FACT            31800                                         1         30700                       1100
ROCKY SHOES & BOOTS INC             74000                                         1         72400                       1600
ROHM & HAAS CO                        200                                         1           200
ROHN INDS INC                      526300                                         1        509900            0         24300
ROLLINS TRUCK LEASING CO            22139                                         1         22139
ROSLYN BANCORP INC                  30468                                         1         30468
ROUGE INDS INC DEL                 231000                                         1        223300            0          9700
ROWAN COS INC                      424700                                         1        424700
ROYALE ENERGY INC                   10900                                         1         10900
</TABLE>


<PAGE>

                                                                        03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
RUBY TUESDAY INC                             COMMON               781182100              209595         12063
RUDDICK CORP                                 COMMON               781258108              213525         10950
RURAL / METRO CORP                           COMMON               781748108             1272405        160303
RUSH ENTERPISES INC                          COMMON               781846100              810000         72000
RUSS BERRIE & CO                             COMMON               782233100             3396593        130953
RYANS FAMILY STEAK HOUSE                     COMMON               783519101             6831802        566367
RYLAND GROUP INC                             COMMON               783764103             2467969         97500
S&K FAMOUS BRANDS INC                        COMMON               783774102              595094         68500
SBC COMMUNICATIONS, I                        COMMON               78387G103            20888394        442668
SCIPE HLDGS INC                              COMMON               78402P104              399656         14700
SED INTL HLDGS INC                           COMMON               784109100               17250          6000
SGLG INC                                     COMMON               784191108                 175           700
SJW CORP                                     COMMON               784305104              990675         15300
SL GREEN RLTY CORP                           COMMON               78440X101             2695129        139550
S L INDS INC                                 COMMON               784413106              164500         14000
SMC CORP                                     COMMON               784460107               22525          5300
SOS STAFFING SVCS INC                        COMMON               78462X104             1019047        133100
STB SYS INC                                  COMMON               784741100              957812        122600
SABRE GROUP HOLDINGS INC                     COMMON               785905100              226044          8372
SAFECO CORP                                  COMMON               786429100                6066           150
SAFEGUARD HEALTH ENTERPR                     COMMON               786444109               49200         19200
SAFETY COMPONENTS INTL I                     COMMON               786474106              181988         21100
ST FRANCIS CAP CORP                          COMMON               789374105              797475         18600
ST JOHN KNITS INC                            COMMON               790289102             7221987        273820
ST JOSEPH LT & PWR CO                        COMMON               790654107             1111800         54400
ST PAUL BANCORP INC                          COMMON               792848103              572526         26437
ST PAUL COS INC COM                          COMMON               792860108              973809         31350
SANDERSON FARMS INC                          COMMON               800013104              919200         76600
SANFILIPPO JOHN B & SON                      COMMON               800422107              176875         56600
SANTA FE ENERGY RESOURCES                    COMMON               802012104             2201157        298460
SAVILLE SYSTEMS PLC                          COMMON               805174109             1504300        122800
SAVOIR TECHNOLOGY GROUP                      COMMON               80533W107              325163         37700
SBARRO INC                                   COMMON               805844107              267209         10036
SCAN OPTICS INC                              COMMON               805894102              197400         56400
SCHERING PLOUGH CORP                         COMMON               806605101             230,945         4,180
SCHNITZER STL INDS                           COMMON               806882106              573563         48300
SCHULMAN A INC                               COMMON               808194104             7403675        543389
SCHULTZ SAV O STORES INC                     COMMON               808196109              554294         33850
SCHWEITZER-MAUDUIT INC                       COMMON               808541106             3593750        312500
SCIENTIFIC GAMES HLDGS                       COMMON               808747109             3015725        169900
SCORE BRD INC                                COMMON               809173206                   1            63
SCOR SPONSORED ADR                           COMMON               80917Q106             2571935         50554
SCOTSMAN INDS INC                            COMMON               809340102             1598438         93000
SCOTTS CO                                    COMMON               810186106              285844          7648
SEABOARD CORP                                COMMON               811543107              135292           454
SEAGATE TECHNOLOGY                           COMMON               811804103            65840397       2227158
SEACOR SMIT INC                              COMMON               811904101            13055504        242611
SEAGULL ENERGY CORP                          COMMON               812007102               99401         14591
                         COLUMN TOTALS:                                               158643109
<CAPTION>


==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
RUBY TUESDAY INC               12063                                         1         12063
RUDDICK CORP                   10950                                         1         10950
RURAL / METRO CORP            159003                                         1        154203            0          6100
RUSH ENTERPISES INC            72000                                         1         72000
RUSS BERRIE & CO              130953                                         1        130953
RYANS FAMILY STEAK HOUSE      558667                                         1        544367            0         22000
RYLAND GROUP INC               97000                                         1         95200            0          2300
S&K FAMOUS BRANDS INC          68500                                         1         66300                       2200
SBC COMMUNICATIONS, I         431781                                         1        428645            0         14023
SCIPE HLDGS INC                14700                                         1         14700
SED INTL HLDGS INC              6000                                         1          6000
SGLG INC                         700                                         1           700
SJW CORP                       15300                                         1         14500                        800
SL GREEN RLTY CORP            139550                                         1        122350                      17200
S L INDS INC                   14000                                         1         12700                       1300
SMC CORP                        5300                                         1          5300
SOS STAFFING SVCS INC         132100                                         1        127500            0          5600
STB SYS INC                   121300                                         1        118000            0          4600
SABRE GROUP HOLDINGS INC        8372                                         1          8372
SAFECO CORP                      150                                         1           150
SAFEGUARD HEALTH ENTERPR       19200                                         1         18200                       1000
SAFETY COMPONENTS INTL I       21100                                         1         21100
ST FRANCIS CAP CORP            18600                                         1         17300                       1300
ST JOHN KNITS INC             234675                                         1        257550          115         16155
ST JOSEPH LT & PWR CO          53100                                         1         50800            0          3600
ST PAUL BANCORP INC            26437                                         1         26437
ST PAUL COS INC COM            23750                                         1         23750            0          7600
SANDERSON FARMS INC            76100                                         1         76600            0             0
SANFILIPPO JOHN B & SON        56600                                         1         55500                       1100
SANTA FE ENERGY RESOURCES     103010                                         1        241925          475         56060
SAVILLE SYSTEMS PLC            23800                                         1        103025         2865         16910
SAVOIR TECHNOLOGY GROUP        37700                                         1         37700
SBARRO INC                     10036                                         1         10036
SCAN OPTICS INC                56400                                         1         54200                       2200
SCHERING PLOUGH CORP               X                                                       0            0         4,180
SCHNITZER STL INDS             48300                                         1         48300
SCHULMAN A INC                539989                                         1        536189            0          7200
SCHULTZ SAV O STORES INC       33850                                         1         33850
SCHWEITZER-MAUDUIT INC        311100                                         1        305000            0          7500
SCIENTIFIC GAMES HLDGS        168100                                         1        164300            0          5600
SCORE BRD INC                     63                                         1            63
SCOR SPONSORED ADR              8700                                         1         39004          865         10685
SCOTSMAN INDS INC              92500                                         1         89000            0          4000
SCOTTS CO                       7648                                         1          7648
SEABOARD CORP                    454                                         1           454
SEAGATE TECHNOLOGY           2077750                                         1       1902413            0        324745
SEACOR SMIT INC               241711                                         1        237211            0          5400
SEAGULL ENERGY CORP            14591                                         1         14591
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
                ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                              TITLE                                                     SHARES
                                               OF                                       FAIR              OF
                                              CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
SEAMED CORP                                  COMMON               81218Q100              483550         50900
SEARS ROEBUCK & CO                           COMMON               812387108            28129696        622511
SEATTLE FILMWORKS INC                        COMMON               812572105              443144        144700
SEAWAY FOOD TOWN INC                         COMMON               812744100              367575         25350
SECURITY CAP GROUP INC                       COMMON               81413P105              672779         1122(W)
SEGA ENTERPRISES LTD                         COMMON               815793104           2,582,300       516,480
SEITEL INC                                   COMMON               816074306             2009788        144200
SEKISUI HOUSE                                COMMON               816078208             4316988         40577
SELAS CORP AMER                              COMMON               816119101              388782         71500
SELECTIVE INSURANCE GROUP                    COMMON               816300107            12044058        683350
SEMPRA ENERGY                                COMMON               816851109              496266         25864
SEMX CORP                                    COMMON               816854103               64513         39700
SENSORY SCIENCE CORP                         COMMON               81726X100              289750        115900
SEQUA CORPORATION                            COMMON               817320104              114168          2272
SEQUENT COMPUTER SYSTEM                      COMMON               817338106              783105         86410
SERVICE CORP INTL COM                        COMMON               817565104            10447180        733130
SERVICE EXPERTS INC                          COMMON               817567100              658800         48800
SHARP CORP ADR                               COMMON               819882200           5,760,615        54,863
SHAW GROUP INC                               COMMON               820280105             2398644        172100
SHELBY WILLIAMS INDS INC                     COMMON               822135109             1328231        138900
SHERIDAN HEALTHCARE INC                      COMMON               823781109              827138         95900
SHERWIN WILLIAMS CO                          COMMON               824348106                5625           200
SHILOH INDS INC                              COMMON               824543102             1334750        112400
SHOPKO STORES INC                            COMMON               824911101              123175          4123
SHOLODGE INC                                 COMMON               825034101              339788         69700
SIERRA HEALTH SVGS INC                       COMMON               826322109             3928249        302173
SIFCO INDS INC                               COMMON               826546103              205875         27000
SIGCORP INC                                  COMMON               826912107              194363          7100
SILGAN HOLDINGS INC                          COMMON               827048109             4320394        258900
SILICON VALLEY GROUP                         COMMON               827066101              281956         22900
SILICONIX INC                                COMMON               827079203              392973         18713
SIMPSON INDS INC                             COMMON               829060102             2498650        259600
SIRENA APPAREL GROUP INC                     COMMON               82966Q102               31050          5400
SIZZLER INTL INC                             COMMON               830139101              342937        177000
SKYLINE CORP                                 COMMON               830830105             1648350         59400
SMEDVIG ASA ADR                              COMMON               83169H105           3,668,858       329,785
SMITH A O                                    COMMON               831865209              882189         46431
SMITHFIELD COS INC                           COMMON               832245104               31000          4000
SMITHWAY MTR XPRESS CORP                     COMMON               832653109              616900         79600
SMUCKER J M CO                               COMMON               832696108              108550          4865
SMURFIT-STONE CONTAINER                      COMMON               832727101             1324838         68600
SNYDER OIL CORP                              COMMON               833482102              158612         10708
SOCIETE GENERALE FRAN                        COMMON               83364L109           5,849,381       152,295
SOFTWARE SPECTRUM INC                        COMMON               833960107              271138         19900
SOLA INTL INC                                COMMON               834092108             5672523        470261
SOLUTIA INC                                  COMMON               834376105             1442125         83000
SONY CORP                                    COMMON               835699307             2614277         28630
SOUTHERN CO                                  COMMON               842587107               18650           800
                         COLUMN TOTALS:                                               112914246

<CAPTION>

==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
SEAMED CORP                    50400                                         1         48700            0          2200
SEARS ROEBUCK & CO            469710                                         1        582461            0         40050
SEATTLE FILMWORKS INC         143200                                         1        137600            0          7100
SEAWAY FOOD TOWN INC           25350                                         1         25350
SECURITY CAP GROUP INC          1122                                         1          1122
SEGA ENTERPRISES LTD               X             X             X                     461,765       13,405        41,290
SEITEL INC                    142500                                         1        144200            0             0
SEKISUI HOUSE                    500                                         1         36882          620          3075
SELAS CORP AMER                71000                                         1         70000            0          1500
SELECTIVE INSURANCE GROUP     576125                                         1        648630          275         34445
SEMPRA ENERGY                  25864                                         1         25864
SEMX CORP                      39700                                         1         37800                       1900
SENSORY SCIENCE CORP          115100                                         1        111400            0          4500
SEQUA CORPORATION               2272                                         1          2272
SEQUENT COMPUTER SYSTEM          250                                         1         67145          240         19025
SERVICE CORP INTL COM         491035                                         1        549335            0        183795
SERVICE EXPERTS INC            48200                                         1         48800            0             0
SHARP CORP ADR                     X             X             X                      46,688        1,245         6,930
SHAW GROUP INC                170900                                         1        166300            0          5800
SHELBY WILLIAMS INDS INC      138400                                         1        135100            0          3800
SHERIDAN HEALTHCARE INC        95900                                         1         93500                       2400
SHERWIN WILLIAMS CO              200                                         1           200
SHILOH INDS INC               110400                                         1        108100            0          4300
SHOPKO STORES INC               4123                                         1          4123
SHOLODGE INC                   69700                                         1         69700
SIERRA HEALTH SVGS INC        299473                                         1        299173            0          3000
SIFCO INDS INC                 27000                                         1         27000
SIGCORP INC                     7100                                         1          7100
SILGAN HOLDINGS INC           257200                                         1        250100            0          8800
SILICON VALLEY GROUP           22900                                         1         22900
SILICONIX INC                  18713                                         1         18713
SIMPSON INDS INC              258200                                         1        249700            0          9900
SIRENA APPAREL GROUP INC        5400                                         1          5400
SIZZLER INTL INC              175500                                         1        177000            0             0
SKYLINE CORP                   58700                                         1         56100            0          3300
SMEDVIG ASA ADR                    X             X             X                      283660        7,275        38,850
SMITH A O                      46431                                         1         43631                       2800
SMITHFIELD COS INC              4000                                         1          4000
SMITHWAY MTR XPRESS CORP       79600                                         1         77300                       2300
SMUCKER J M CO                  4865                                         1          4865
SMURFIT-STONE CONTAINER        68600                                         1         64900                       3700
SNYDER OIL CORP                10708                                         1         10708
SOCIETE GENERALE FRAN              X             X             X                      132425        3,415        17,085
SOFTWARE SPECTRUM INC          19900                                         1         19900
SOLA INTL INC                 467461                                         1        458861            0         11400
SOLUTIA INC                    83000                                         1         20000                      63000
SONY CORP                       4600                                         1         23390          605          4635
SOUTHERN CO                      800                                         1           800
</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
               ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                             TITLE                                                     SHARES
                                              OF                                       FAIR              OF
                                             CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
SOUTHERN ENERGY HOMES IN                     COMMON               842814105             1488338        276900
SOUTHERN PAC FDG CORP                        COMMON               843576109               31995        205100
SOUTHERN UN CO NEW                           COMMON               844030106              147678          7824
SOUTHTRUST CORP                              COMMON               844730101                7463           200
SOUTHWEST AIRLS CO                           COMMON               844741108               12100           400
SOUTHWEST GAS CORP                           COMMON               844895102              295570         10748
SOUTHWEST SECS GROUP INC                     COMMON               845224104             2672083         94587
SPACEHAB INC                                 COMMON               846243103              733200        112800
SPAN AMER MED SYS INC                        COMMON               846396109              120275         28300
SPARTON CORP                                 COMMON               847235108              322575         56100
SPECIAL METALS CORP C                        COMMON               84741Y103             1994784        409185
SPECIALTY CARE NETWORK I                     COMMON               84748M102               45609         69500
SPECIALTY CATALOG CORP                       COMMON               84748Q103              212000         64000
SPECIALTY EQUIP COS INC                      COMMON               847497203             3914463        141700
SPECTRUM CTL INC                             COMMON               847615101              416656         99500
SPEEDFAM INTL INC                            COMMON               847706108               59016          4918
SPEIZMAN INDS INC                            COMMON               847805108              111000         29600
SPORTSMANS GUIDE INC                         COMMON               848907200              244063         35500
SPORT SUPPLY GROUP INC                       COMMON               848915104              302250         37200
SPORT-HALEY INC                              COMMON               848925103              348563         42900
THE SPORTS AUTHORITY INC                     COMMON               849176102             1569962        214692
SPRINT CORP FON GROUP                        COMMON               852061100               49063           500
STAGE STORES INC                             COMMON               85254C107              136300         18800
STANDARD COML CORP                           COMMON               853258101             1216475        256100
STANDARD MANAGEMENT CORP                     COMMON               853612109              568750         91000
STANDARD PAC CORP NEW                        COMMON               85375C101             4755034        369323
STD PRODUCTS CO                              COMMON               853836104             8045555        495110
STANDARD REGISTER CO                         COMMON               853887107              133178          4486
STANDEX INTL CORP                            COMMON               854231107             3493438        159700
STANLEY FURNITURE INC                        COMMON               854305208             1150500         59000
STAR MULTI CARE SVCS INC                     COMMON               855156105               29425         21400
STARRETT L S CO                              COMMON               855668109             2875500        106500
STATE AUTO FINL CORP                         COMMON               855707105              456309         42202
STATEN IS BANCORP INC                        COMMON               857550107               33000          1920
STEEL TECHNOLOGIES INC                       COMMON               858147101             1647451        209200
STEELCASE INC CLASS A                        COMMON               858155203             3691520        243060
STEPAN CO                                    COMMON               858586100             3046025        136900
STEPHAN CO                                   COMMON               858603103              637875         72900
STERLING SOFTWARE INC                        COMMON               859547101               21375           900
STEWART & STEVENSON SVCS                     COMMON               860342104             1818186        236512
STEWART INFORMATION SVCS                     COMMON               860372101             2802469         83500
STIFEL FINL CORP                             COMMON               860630102              675702         75078
STMICROELECTRONICS N V                       COMMON               861012102             6336241         65238
STONE & WEBSTER INC                          COMMON               861572105               66498          2907
STONERIDGE INC COM                           COMMON               86183P102             1330616         95044
STORAGE TECHNOLOGY CORP NEW                  COMMON               862111200            25530584        915895
STRATTEC SEC CORP                            COMMON               863111100             1251563         44500
STUDENT LN CORP                              COMMON               863902102             3818305        102162
                         COLUMN TOTALS:                                                90666580
<CAPTION>


==============================================================================================
==============================================================================================
                                           ITEM 6                          ITEM 7                  ITEM 8
                                    INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                              SHARED
                                   SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
SOUTHERN ENERGY HOMES IN         274400                                         1        268800            0          8100
SOUTHERN PAC FDG CORP            204200                                         1        196100            0          9000
SOUTHERN UN CO NEW                 7824                                         1          7824
SOUTHTRUST CORP                     200                                         1           200
SOUTHWEST AIRLS CO                  400                                         1           400
SOUTHWEST GAS CORP                10748                                         1         10748
SOUTHWEST SECS GROUP INC          93587                                         1         90879            0          3708
SPACEHAB INC                     111800                                         1        108100            0          4700
SPAN AMER MED SYS INC             28300                                         1         28300
SPARTON CORP                      56100                                         1         53900                       2200
SPECIAL METALS CORP C            250900                                         1        366845          595         41745
SPECIALTY CARE NETWORK I          69500                                         1         69500
SPECIALTY CATALOG CORP            64000                                         1         61700                       2300
SPECIALTY EQUIP COS INC          138800                                         1        137000            0          4700
SPECTRUM CTL INC                  98400                                         1         99500            0             0
SPEEDFAM INTL INC                  4918                                         1          4918
SPEIZMAN INDS INC                 29600                                         1         28600                       1000
SPORTSMANS GUIDE INC              35500                                         1         34800                        700
SPORT SUPPLY GROUP INC            37200                                         1         37200
SPORT-HALEY INC                   42900                                         1         41800                       1100
THE SPORTS AUTHORITY INC            780                                         1        166052          610         48030
SPRINT CORP FON GROUP               500                                         1           500
STAGE STORES INC                  18800                                         1         18800
STANDARD COML CORP               255500                                         1        250700            0          5400
STANDARD MANAGEMENT CORP          90400                                         1         87900            0          3100
STANDARD PAC CORP NEW            366723                                         1        364923            0          4400
STD PRODUCTS CO                  387500                                         1        456455          275         38380
STANDARD REGISTER CO               4486                                         1          4486
STANDEX INTL CORP                159000                                         1        153700            0          6000
STANLEY FURNITURE INC             59000                                         1         56000                       3000
STAR MULTI CARE SVCS INC          21400                                         1         21400
STARRETT L S CO                  106500                                         1        104200                       2300
STATE AUTO FINL CORP              42202                                         1         42202
STATEN IS BANCORP INC              1920                                         1          1920
STEEL TECHNOLOGIES INC           208500                                         1        205100            0          4100
STEELCASE INC CLASS A                 0                                         1        190750            0         52310
STEPAN CO                        135900                                         1        133000            0          3900
STEPHAN CO                        72900                                         1         71300                       1600
STERLING SOFTWARE INC               900                                         1           900
STEWART & STEVENSON SVCS         234012                                         1        236512            0             0
STEWART INFORMATION SVCS          82400                                         1         80800            0          2700
STIFEL FINL CORP                  75078                                         1         71823                       3255
STMICROELECTRONICS N V            45800                                         1         59353          465          5420
STONE & WEBSTER INC                2907                                         1          2907
STONERIDGE INC COM                  959                                         1         73349          235         21460
STORAGE TECHNOLOGY CORP NEW      797020                                         1        723320            0        192575
STRATTEC SEC CORP                 44500                                         1         42200                       2300
STUDENT LN CORP                  102162                                         1         96562                       5600

</TABLE>


<PAGE>
                                                                        03/31/99
<TABLE>


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
               ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                             TITLE                                                     SHARES
                                              OF                                       FAIR              OF
                                             CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
STYLING TECHNOLOGY CORP                      COMMON               863905105              379356         29900
SUBURBAN LODGES AMER                         COMMON               864444104              861209        124700
SUMMA INDS                                   COMMON               86562T105              578438         61700
SUMMIT BANCORP                               COMMON               866005101                7800           200
SUN HEALTHCARE GROUP INC                     COMMON               866933104             1015235       1015235
SUN HYDRAULICS CORP                          COMMON               866942105               10688          1500
SUNOCO INC COM                               COMMON               86764P109             273,895         7,595
SUNRISE INTL LEASING COR                     COMMON               86769K105              460688        136500
SUNTRUST BANKS INC                           COMMON               867914103             413,963         6,650
SUPERIOR ENERGY SVCS INC                     COMMON               868157108             1764891        491100
SUPERIOR UNIFORM GROUP I                     COMMON               868358102              646250         51700
SUPERTEL HOSPITALITY INC                     COMMON               868524109              384150         39400
SUPERTEX INC                                 COMMON               868532102               57225          5450
SUPREMA SPECIALTIES INC                      COMMON               86859F107              273800         59200
SUPREME INDS INC                             COMMON               868607102              720796         97735
SUPREME INTL CORP                            COMMON               868610106             1339075        137341
SWIFT ENERGY CO                              COMMON               870738101             2120344        251300
SWISHER INTL GROUP INC                       COMMON               870809100             3296150        368800
SYBRON CHEMS INC                             COMMON               870903101             1068450         83800
SYLVAN INC                                   COMMON               871371100              587650         58400
SYMANTEC CORP                                COMMON               871503108            25130222       1483701
SYMS CORP                                    COMMON               871551107             2442475        328400
SYSTEMS COMPUTER TECH                        COMMON               871873105              849000         84900
SYNTHETIC INDS INC                           COMMON               871914107             1495200         89600
TBC CORP                                     COMMON               872180104             2672351        440800
TB WOODS CORP                                COMMON               872226105              626500         56000
TFC ENTERPRISES INC                          COMMON               872388103               87938         40200
TJ INTL INC                                  COMMON               872534102              151023          6260
TNP ENTERPRISES INC                          COMMON               872594106             6545393        227665
TAB PRODS CO DEL                             COMMON               873197107              188100         39600
TAG HEUER INTL S A SP                        COMMON               873773105             4352510        512060
TAITRON COMPONENTS INC                       COMMON               874028103               88150         68800
TALBOTS INC                                  COMMON               874161102               99596          4086
TANDY BRANDS ACCESSORIES                     COMMON               875378101              736500         49100
TANDYCRAFTS INC                              COMMON               875386104               22313         10200
TECH DATA CORP                               COMMON               878237106              192675          8400
TECH SYM CORP                                COMMON               878308105              839785         40350
TECHDYNE INC                                 COMMON               878329101                7500          2500
TECUMSEH PRODS CO                            COMMON               878895200              571977         11229
TELECOM CORP NEW ZEALAND                     COMMON               879278208             6763770        173430
TELECOM ITALIA SPA AD                        COMMON               87927W106             4730797         45325
TELEPHONE & DATA SYS INC                     COMMON               879433100              394625          7000
TEMPLE INLAND INC                            COMMON               879868107            32862676        523707
TENET HEALTHCARE CORP                        COMMON               88033G100            32842359       1734250
TENNANT CO                                   COMMON               880345103             1006950         29400
TENNECO INC NEW                              COMMON               88037E101                5588           200
TERADYNE INC                                 COMMON               880770102              109125          2000
TESCO PLC-ADR                                COMMON               881575302             562,542        70,760
                         COLUMN TOTALS:                                               142637693
<CAPTION>


==============================================================================================
==============================================================================================
                                          ITEM 6                           ITEM 7                 ITEM 8
                                   INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                             SHARED
                                  SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
STYLING TECHNOLOGY CORP          29900                                         1         28600                       1300
SUBURBAN LODGES AMER            123900                                         1        124700            0             0
SUMMA INDS                       61700                                         1         59900                       1800
SUMMIT BANCORP                     200                                         1           200
SUN HEALTHCARE GROUP INC       1008235                                         1        986635            0         28600
SUN HYDRAULICS CORP               1500                                         1          1500
SUNOCO INC COM                       X                                                       0            0         7,595
SUNRISE INTL LEASING COR        135300                                         1        133600            0          2900
SUNTRUST BANKS INC                   X                                                   6,650            0             0
SUPERIOR ENERGY SVCS INC        488300                                         1        477700            0         13400
SUPERIOR UNIFORM GROUP I         51700                                         1         47900                       3800
SUPERTEL HOSPITALITY INC         39400                                         1         37200                       2200
SUPERTEX INC                      5450                                         1          5450
SUPREMA SPECIALTIES INC          59200                                         1         57100                       2100
SUPREME INDS INC                 97735                                         1         96400                       1335
SUPREME INTL CORP               137341                                         1        134441                       2900
SWIFT ENERGY CO                 249900                                         1        243700            0          7600
SWISHER INTL GROUP INC          365500                                         1        366300            0          2500
SYBRON CHEMS INC                 83300                                         1         81200            0          2600
SYLVAN INC                       58400                                         1         55600                       2800
SYMANTEC CORP                  1173400                                         1       1205166          235        278300
SYMS CORP                       326400                                         1        320700            0          7700
SYSTEMS COMPUTER TECH            83700                                         1         84900            0             0
SYNTHETIC INDS INC               89600                                         1         89600
TBC CORP                        437000                                         1        429900            0         10900
TB WOODS CORP                    55500                                         1         54300            0          1700
TFC ENTERPRISES INC              40200                                         1         40200
TJ INTL INC                       6260                                         1          6260
TNP ENTERPRISES INC             151000                                         1        205260          190         22215
TAB PRODS CO DEL                 39600                                         1         38500                       1100
TAG HEUER INTL S A SP           130900                                         1        457825         7510         46725
TAITRON COMPONENTS INC           68800                                         1         65800                       3000
TALBOTS INC                       4086                                         1          4086
TANDY BRANDS ACCESSORIES         49100                                         1         49100
TANDYCRAFTS INC                  10200                                         1         10200
TECH DATA CORP                    8400                                         1          8400
TECH SYM CORP                    40300                                         1         38250            0          2100
TECHDYNE INC                      2500                                         1          2500
TECUMSEH PRODS CO                11229                                         1         11229
TELECOM CORP NEW ZEALAND         61000                                         1        149865         2265         21300
TELECOM ITALIA SPA AD             4000                                         1         40325          935          4065
TELEPHONE & DATA SYS INC          7000                                         1          7000
TEMPLE INLAND INC               445700                                         1        414747            0        108960
TENET HEALTHCARE CORP          1734250                                         1       1387350            0        346900
TENNANT CO                       29400                                         1         27500                       1900
TENNECO INC NEW                    200                                         1           200
TERADYNE INC                      2000                                         1          2000
TESCO PLC-ADR                        X                                                       0            0        70,760
</TABLE>


<PAGE>


<TABLE>
                                                                                                    03/31/99

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
               ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                             TITLE                                                     SHARES
                                              OF                                       FAIR              OF
                                             CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
TESORO PETROLEUM CP                          COMMON               881609101             4388296        398936
TETRA TECHNOLOGIES INC                       COMMON               88162F105             1183950        175400
TEXACO INC                                   COMMON               881694103            53666109        945657
TEXAS INDS INC                               COMMON               882491103             9639235        388483
TEXAS UTILS CO                               COMMON               882848104            16745484        398702
THERMO ECOTEK CORP                           COMMON               88355R106               13752          1719
THERMOQUEST CORP                             COMMON               883655102              334650         27600
THERMWOOD CORP                               COMMON               883672305               27563          4900
THOMAS INDS INC                              COMMON               884425109              423750         22600
THOR INDS INC                                COMMON               885160101              951381         42050
TIDEWATER INC                                COMMON               886423102              773663         29900
TIMBERLAND CO                                COMMON               887100105            10544050        167200
TIMKEN CO                                    COMMON               887389104              544375         33500
TITAN INTL INC ILL                           COMMON               88830M102               56703          7376
TITANIUM METALS CORP                         COMMON               888339108             2853938        496337
TODHUNTER INTL INC DEL                       COMMON               889050100              387925         52600
TOLL BROTHERS INC                            COMMON               889478103             9960684        549555
TOLLGRADE COMMUNICATIONS                     COMMON               889542106              251038         15100
TORCHMARK CORP                               COMMON               891027104                4744           150
TORO CO DEL                                  COMMON               891092108             3681245        117330
TOYS R US INC                                COMMON               892335100             5222935        277629
TRACTOR SUPPLY CO                            COMMON               892356106              411556         16100
TRAK AUTO CORP                               COMMON               892887100               12075          1400
TRANSACT TECHNOLOGIES IN                     COMMON               892918103              154100         53600
TRANS LUX CORP                               COMMON               893247106               62963          7300
TRANSAMERICA CORP                            COMMON               893485102               14200           200
TRANSPORT CORP OF AMER I                     COMMON               89385P102             1437500        125000
TRANSPRO INC                                 COMMON               893885103               29313          6700
TRANSTECHNOLOGY CORP DEL                     COMMON               893889105             1937100        117400
TRAVELERS PPTY CAS CORP                      COMMON               893939108            12423125        347500
TRAVEL PORTS AMER INC                        COMMON               894167105              314610         86789
TREMONT CORP                                 COMMON               894745207               32307          1833
TRENWICK GROUP INC                           COMMON               895290104             5146819        182998
TRIARC COS INC                               COMMON               895927101             1158475         66435
TRICON GLOBAL RESTAURANT                     COMMON               895953107             4830177         68756
TRICO MARINE SERVICES IN                     COMMON               896106101             2352919        413700
TRIGON HEALTHCARE INC                        COMMON               89618L100             2834034         82745
TRIUMPH GROUP INC NEW                        COMMON               896818101             2742450        116700
TRIPLE S PLASTICS                            COMMON               896926102                5250          1500
TUBOSCOPE INC                                COMMON               898600101             6948000        772000
TUFCO TECHNOLOGIES INC                       COMMON               899040109               66938         10500
TURNER CORP                                  COMMON               900273103              506800         36200
TWIN DISC INC                                COMMON               901476101              934934         48568
TYCO INTL LTD NEW                            COMMON               902124106               65436           912
UCAR INTL INC                                COMMON               90262K109             6607675        467800
UFP TECHNOLOGIES INC                         COMMON               902673102               30088          8300
USX MARATHON GROUP                           COMMON               902905827            56310488       2047649
U S T INC                                    COMMON               902911106                5225           200
                         COLUMN TOTALS:                                               229030027

<CAPTION>


==============================================================================================
==============================================================================================
                                         ITEM 6                          ITEM 7                  ITEM 8
                                  INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                 SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
TESORO PETROLEUM CP            289901                                         1        366091          300         32545
TETRA TECHNOLOGIES INC         174200                                         1        169700            0          5700
TEXACO INC                     808750                                         1        792267            0        153390
TEXAS INDS INC                 386583                                         1        378783            0          9700
TEXAS UTILS CO                 301050                                         1        378447            0         20255
THERMO ECOTEK CORP               1719                                         1          1719
THERMOQUEST CORP                27600                                         1         27600
THERMWOOD CORP                   4900                                         1          4900
THOMAS INDS INC                 22600                                         1         22600
THOR INDS INC                   42050                                         1         42050
TIDEWATER INC                   29900                                         1         29900
TIMBERLAND CO                  165900                                         1        162300            0          4900
TIMKEN CO                       33500                                         1         33500
TITAN INTL INC ILL               7376                                         1          7376
TITANIUM METALS CORP           494037                                         1        485637            0         10700
TODHUNTER INTL INC DEL          52600                                         1         50300                       2300
TOLL BROTHERS INC              543955                                         1        532455            0         17100
TOLLGRADE COMMUNICATIONS        15100                                         1         15100
TORCHMARK CORP                    150                                         1           150
TORO CO DEL                     46010                                         1        103200          180         13950
TOYS R US INC                   62400                                         1        215049            0         62580
TRACTOR SUPPLY CO               16100                                         1         16100
TRAK AUTO CORP                   1400                                         1          1400
TRANSACT TECHNOLOGIES IN        53600                                         1         52400                       1200
TRANS LUX CORP                   7300                                         1          7300
TRANSAMERICA CORP                 200                                         1           200
TRANSPORT CORP OF AMER I       124200                                         1        122800            0          2200
TRANSPRO INC                     6700                                         1          6700
TRANSTECHNOLOGY CORP DEL       116700                                         1        115100            0          2300
TRAVELERS PPTY CAS CORP        347500                                         1        347500
TRAVEL PORTS AMER INC           86789                                         1         84234                       2555
TREMONT CORP                     1833                                         1          1833
TRENWICK GROUP INC             181098                                         1        177498            0          5500
TRIARC COS INC                    200                                         1         54085          200         12150
TRICON GLOBAL RESTAURANT          300                                         1         54331            0         14425
TRICO MARINE SERVICES IN       411700                                         1        404300            0          9400
TRIGON HEALTHCARE INC           22700                                         1         68940          170         13635
TRIUMPH GROUP INC NEW          116700                                         1        116700
TRIPLE S PLASTICS                1500                                         1          1500
TUBOSCOPE INC                  767000                                         1        752000            0         20000
TUFCO TECHNOLOGIES INC          10500                                         1         10500
TURNER CORP                     36200                                         1         32500                       3700
TWIN DISC INC                   48568                                         1         47468                       1100
TYCO INTL LTD NEW                 912                                         1           912
UCAR INTL INC                  466200                                         1        467800            0             0
UFP TECHNOLOGIES INC             8300                                         1          7300                       1000
USX MARATHON GROUP            1828800                                         1       1601629            0        446020
U S T INC                         200                                         1           200
</TABLE>


<PAGE>
<TABLE>
                                                                                                      03/31/99


                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
               ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                             TITLE                                                     SHARES
                                              OF                                       FAIR              OF
                                             CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
USA TRUCK INC                                COMMON               902925106              805832         79100
US BANCORP DEL                               COMMON               902973106              485731         14260
UNUM CORP                                    COMMON               903192102                7134           150
U S CAN CORP                                 COMMON               90328W105             1864051        126375
USEC INC                                     COMMON               90333E108            23257194       1706950
USX-U S STL                                  COMMON               90337T101              185650          7900
U S XPRESS ENTERPRISES I                     COMMON               90338N103             1928588        165900
UNICO AMERN CORP                             COMMON               904607108              993263         98100
UNIDIGITAL INC                               COMMON               904669108               23869          5700
UNIFI INC                                    COMMON               904677101             1260975         98900
UNILAB CORP NEW                              COMMON               904763109              524344        164500
UNICOM CORP (HOLDING COMPANY)                COMMON               904911104            54538368       1491647
UNION CAMP CORP                              COMMON               905530101                3356            50
UNION CARBIDE CORP                           COMMON               905581104                6778           150
UNION PACIFIC CORP                           COMMON               907818108             9546652        178650
UNION PACIFIC                                PFD CV               907824205             2039888         40900
UNION PAC RES GROUP INC                      COMMON               907834105               23750          2000
UNION PLANTERS CORP                          COMMON               908068109                6591           150
UNISOURCE ENERGY CORP                        COMMON               909205106              126068         11396
UNISOURCE WORLDWIDE                          COMMON               909208100              324786         45584
UNITED COS FINL CORP                         COMMON               909870107               93456        259600
UNITED CAPITAL CORP                          COMMON               909912107               17600          1100
UNITED DOMINION RLTY                         COMMON               910197102             126,639        12,355
UNITED HEALTHCARE CORP                       COMMON               910581107               36838           700
UNITED ILLUM CO                              COMMON               910637107              100650          2400
UNITED INDL CORP                             COMMON               910671106               34488          3100
UNITED RENTALS INC                           COMMON               911363109               16958           595
U S HOME CORP NEW                            COMMON               911920106             8226623        252157
UNITED STATES LIME & MIN                     COMMON               911922102               21350          2800
U S OFFICE PRODS CO                          COMMON               912325305             1076400        269100
US WEST INC                                  COMMON               91273H101            50402187        915363
UNITED WTR RES INC                           COMMON               913190104              227067         10943
UNITED WIS SVCS INC NEW                      COMMON               913238101               75699         10352
UNITIL CORP                                  COMMON               913259107              347300         15100
UNITRODE CORP                                COMMON               913283107              393400         28100
UNIVERSAL CORP VA                            COMMON               913456109              851231         33300
UNIVERSAL STAINLESS & AL                     COMMON               913837100              722594        121700
UNOCAL CORP                                  COMMON               915289102               31344           850
U.S FREIGHTWAYS CORP.                        COMMON               916906100            16681939        507435
USBANCORP INC PA                             COMMON               917292104              364163         24900
UTAH MED PRODS INC                           COMMON               917488108              753175        128200
VDI MEDIA                                    COMMON               917916108              405506         72900
V F CORP                                     COMMON               918204108                7125           150
VLSI TECHNOLOGY INC                          COMMON               918270109            22976170       1185864
VAIL RESORTS INC                             COMMON               91879Q109              107807          6791
VALERO ENERGY CORP NEW                       COMMON               91913Y100            22880025        919800
VALMET CORP                                  COMMON               920232303              101750          4400
VALMONT INDUSTRIES INC                       COMMON               920253101              596625         43000
                         COLUMN TOTALS:                                               225628977

<CAPTION>

==============================================================================================
==============================================================================================
                                            ITEM 6                          ITEM 7                  ITEM 8
                                     INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                               SHARED
                                    SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
USA TRUCK INC                      78600                                         1         79100            0             0
US BANCORP DEL                       800                                         1           865            0         13395
UNUM CORP                            150                                         1           150
U S CAN CORP                       31350                                         1        105345          250         20780
USEC INC                         1706950                                         1       1198850            0        508100
USX-U S STL                         7900                                         1          7900
U S XPRESS ENTERPRISES I          165100                                         1        164900            0          1000
UNICO AMERN CORP                   97500                                         1         95600            0          2500
UNIDIGITAL INC                      5700                                         1          5700
UNIFI INC                          98900                                         1         98900
UNILAB CORP NEW                   160900                                         1        154900            0          9600
UNICOM CORP (HOLDING COMPANY)    1283900                                         1       1271672            0        219975
UNION CAMP CORP                       50                                         1            50
UNION CARBIDE CORP                   150                                         1           150
UNION PACIFIC CORP                  1518                                         1        138420            0         40230
UNION PACIFIC                      40900                                         1         40900
UNION PAC RES GROUP INC             2000                                         1          2000
UNION PLANTERS CORP                  150                                         1           150
UNISOURCE ENERGY CORP              11396                                         1         11396
UNISOURCE WORLDWIDE                45584                                         1         45584
UNITED COS FINL CORP              257100                                         1        259600            0             0
UNITED CAPITAL CORP                 1100                                         1          1100
UNITED DOMINION RLTY                   X                                                       0            0        12,355
UNITED HEALTHCARE CORP               700                                         1           700
UNITED ILLUM CO                     2400                                         1          2100                        300
UNITED INDL CORP                    3100                                         1          1200                       1900
UNITED RENTALS INC                   595                                         1           595
U S HOME CORP NEW                 251057                                         1        246757            0          5400
UNITED STATES LIME & MIN            2800                                         1          2800
U S OFFICE PRODS CO               267200                                         1        269100            0             0
US WEST INC                       738950                                         1        785763            0        129600
UNITED WTR RES INC                 10943                                         1         10943
UNITED WIS SVCS INC NEW            10352                                         1         10352
UNITIL CORP                        15100                                         1         15100
UNITRODE CORP                      28100                                         1         28100
UNIVERSAL CORP VA                  33300                                         1         33300
UNIVERSAL STAINLESS & AL          121100                                         1        118900            0          2800
UNOCAL CORP                          850                                         1           850
U.S FREIGHTWAYS CORP.             406690                                         1        473415          240         33780
USBANCORP INC PA                   24900                                         1         24900
UTAH MED PRODS INC                126800                                         1        124600            0          3600
VDI MEDIA                          72900                                         1         72900
V F CORP                             150                                         1           150
VLSI TECHNOLOGY INC               736716                                         1       1004279          255        181330
VAIL RESORTS INC                    6791                                         1          6791
VALERO ENERGY CORP NEW            919800                                         1        719500            0        200300
VALMET CORP                         4400                                         1          4400
VALMONT INDUSTRIES INC             43000                                         1         43000
</TABLE>


<PAGE>
<TABLE>
                                                                                                      03/31/99

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
               ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                             TITLE                                                     SHARES
                                              OF                                       FAIR              OF
                                             CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
VALUE LINE INC                               COMMON               920437100               79494          2300
VANS INC                                     COMMON               921930103             1488200        212600
VARCO INTL INC                               COMMON               922126107             9803351        881200
VARLEN CORP                                  COMMON               922248109             6087048        276684
VENCOR INC NEW                               COMMON               92260R102               19724         15028
VERITAS DGC INC                              COMMON               92343P107             4739550        332600
VERTEX COMMUNICATIONS CO                     COMMON               925320103             1404094         88100
VESTA INS GROUP INC                          COMMON               925391104               25020          4882
VIACOM INC B                                 COMMON               925524308            12810175        257235
VIDEO DISPLAY CORP                           COMMON               926555103              165300         34800
VILLAGE SUPER MKT INC                        COMMON               927107409               14125          1000
VIRCO MFG CO                                 COMMON               927651109              666333         48024
VISHAY INTERTECHNOLOGY I                     COMMON               928298108              162487         11206
VISTANA INC                                  COMMON               92839P108               28000          2000
VIVID TECHNOLOGIES INC                       COMMON               928538107              405200        101300
VLASIC FOODS INTL INC                        COMMON               928559103              231465         17891
VOLKSWAGEN AG                                COMMON               928662303              440257         33640
VOLT INFORMATION SCIENCE                     COMMON               928703107              131500          8000
VOLVO AKTIEBOLAGET                           COMMON               928856400              423325         16400
VULCAN MATLS CO                              COMMON               929160109                6197           150
WFS FINL INC                                 COMMON               92923B106              263625         38000
WPI GROUP INC                                COMMON               92930K107              136813         39800
WPS RESOURCES CORP                           COMMON               92931B106               71095          2410
WSI INDS INC                                 COMMON               92932Q102               81067         16845
WABASH NATL CORP                             COMMON               929566107             1580233        135934
WADDELL & REED FINL INC                      COMMON               930059100               94300          4600
WALLACE COMPUTER SERVICE                     COMMON               932270101             1117425         56400
WALTER INDS INC                              COMMON               93317Q105              153653         13658
WASHINGTON FEDERAL INC                       COMMON               938824109             2045882         97423
WASHINGTON HOMES INC NEW                     COMMON               938864105              633963        123700
WASHINGTON MUT INC                           COMMON               939322103              759458         18580
WASHINGTON SVGBK FSB WAL                     COMMON               939696100               36300          8800
WATERLINK INC                                COMMON               94155N105               41650          9800
WATSCO INC                                   COMMON               942622200               37981          2597
WATTS INDS INC                               COMMON               942749102             7643337        563564
WAUSAU-MOSINEE PAPER COR                     COMMON               943315101               70560          5040
WAVE SYSTEMS CORP                            COMMON               943526103               13750           500
WEBB DEL E CORP                              COMMON               947423109             8327328        383969
WEBCO INDS INC                               COMMON               947621108              510300        113400
WEIDER NUTRITION INTL IN                     COMMON               948603105              953800        200800
WEIRTON STL CORP                             COMMON               948774104               49881         34700
WELLMAN INC                                  COMMON               949702104             4550843        512771
WELLS FARGO & CO NEW                         COMMON               949746101               31556           900
WEST MARINE INC                              COMMON               954235107               29634          3339
WESTAFF INC                                  COMMON               957070105              802507        154700
WESTERN BEEF INC DEL                         COMMON               957781107              277988         42360
WESTERN GAS RESOURCES INC                    COMMON               958259103             1767188        235620
WESTERN PWR & EQUIP CORP                     COMMON               959221102               39950         18800
                         COLUMN TOTALS:                                                71252912

<CAPTION>

==============================================================================================
==============================================================================================
                                           ITEM 6                          ITEM 7                  ITEM 8
                                    INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                              SHARED
                                   SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
VALUE LINE INC                     2300                                         1          2300
VANS INC                         211100                                         1        207300            0          5300
VARCO INTL INC                   875500                                         1        853900            0         27300
VARLEN CORP                      275009                                         1        273178            0          3506
VENCOR INC NEW                    15028                                         1         15028
VERITAS DGC INC                  330500                                         1        323700            0          8900
VERTEX COMMUNICATIONS CO          87600                                         1         85900            0          2200
VESTA INS GROUP INC                4882                                         1          4882
VIACOM INC B                        900                                         1        203201            0         54034
VIDEO DISPLAY CORP                34800                                         1         33300                       1500
VILLAGE SUPER MKT INC              1000                                         1          1000
VIRCO MFG CO                      48024                                         1         44232                       3792
VISHAY INTERTECHNOLOGY I          11206                                         1         11206
VISTANA INC                        2000                                         1          2000
VIVID TECHNOLOGIES INC           100800                                         1         96800            0          4500
VLASIC FOODS INTL INC             17891                                         1         17891
VOLKSWAGEN AG                     17000                                         1         17265            0         16375
VOLT INFORMATION SCIENCE           8000                                         1          8000
VOLVO AKTIEBOLAGET                16400                                         1         16400
VULCAN MATLS CO                     150                                         1           150
WFS FINL INC                      38000                                         1         38000
WPI GROUP INC                     39300                                         1         37300            0          2500
WPS RESOURCES CORP                 2410                                         1          2410
WSI INDS INC                      16845                                         1         16845
WABASH NATL CORP                 135234                                         1        135934            0             0
WADDELL & REED FINL INC            4600                                         1          4600
WALLACE COMPUTER SERVICE          56400                                         1         56400
WALTER INDS INC                   13158                                         1         13658            0             0
WASHINGTON FEDERAL INC              363                                         1         76274          272         20878
WASHINGTON HOMES INC NEW         122400                                         1        120000            0          3700
WASHINGTON MUT INC                18580                                         1         18580
WASHINGTON SVGBK FSB WAL           8800                                         1          8800
WATERLINK INC                      9800                                         1          9800
WATSCO INC                         2597                                         1          2597
WATTS INDS INC                   560964                                         1        552264            0         11300
WAUSAU-MOSINEE PAPER COR           5040                                         1          5040
WAVE SYSTEMS CORP                   500                                         1           500
WEBB DEL E CORP                  382169                                         1        375969            0          8000
WEBCO INDS INC                   112600                                         1        110000            0          3400
WEIDER NUTRITION INTL IN         199500                                         1        189900            0         10900
WEIRTON STL CORP                  34700                                         1         34700
WELLMAN INC                      509771                                         1        498971            0         13800
WELLS FARGO & CO NEW                900                                         1           900
WEST MARINE INC                    3339                                         1          3339
WESTAFF INC                      153300                                         1        152000            0          2700
WESTERN BEEF INC DEL              42360                                         1         39660                       2700
WESTERN GAS RESOURCES INC         20550                                         1        185930          635         49055
WESTERN PWR & EQUIP CORP          18800                                         1         17800                       1000
</TABLE>


<PAGE>

<TABLE>

                                                                                                     03/31/99

                    REPORTING MANAGER; BRANDYWINE ASSET MGMT
=================================================================================================================
=================================================================================================================
               ITEM 1                       ITEM 2               ITEM 3               ITEM 4           ITEM 5
                                             TITLE                                                     SHARES
                                              OF                                       FAIR              OF
                                             CLASS                CUSIP               MARKET          PRINCIPAL
<S>                                          <C>               <C>                  <C>                <C>
WESTERN RES INC                              COMMON               959425109              397644         14900
WESTINGHOUSE AIR BRAKE C                     COMMON               960386100             1594850         76400
WESTVACO CORP                                COMMON               961548104            10214400        486400
WEYCO GROUP INC                              COMMON               962149100               86400          3600
WEYERHAEUSER CO                              COMMON               962166104               11100           200
WHIRLPOOL CORP COM                           COMMON               963320106            38965405        716605
WHITNEY HLDG CORP                            COMMON               966612103              313851          8504
WINDMERE-DURABLE HLDGS                       COMMON               973411101             2240924        320132
WINNEBAGO INDUSTRIES                         COMMON               974637100             1258600         89900
WINSLOEW FURNITURE INC                       COMMON               975377102             3577500        120000
WINSTON RES INC                              COMMON               975661109               47588         14100
WISCONSIN CENT TRANSN CO                     COMMON               976592105              162975         12300
WOLOHAN LMBR CO                              COMMON               977865104              757350         59400
WOLVERINE TUBE INC                           COMMON               978093102             8000021        378699
WOLVERINE WORLDWIDE                          COMMON               978097103             4427950        466100
WOODHEAD INDS INC                            COMMON               979438108             1421157        146700
WOODWARD GOVERNOR CO                         COMMON               980745103              442500         17700
WORLD ACCEP CORP DEL                         COMMON               981419104              922351        171600
WORLD COLOR PRESS INC DE                     COMMON               981443104              121699          5727
WORLD FUEL SVCS CORP                         COMMON               981475106             1845179        158725
WORLDTEX INC                                 COMMON               981907108               90563         48300
WYMAN GORDON CO                              COMMON               983085101             4192100        453200
YPF SOCIEDAD ANONIMA                         COMMON               984245100             7189938        227800
YELLOW CORP                                  COMMON               985509108             6621995        381122
YORK GROUP INC                               COMMON               986632107             1247113        169100
YORK RESH CORP                               COMMON               987048105              528313        107000
ZALE CORP NEW                                COMMON               988858106              512813         15000
ZEMEX CDA CORP                               COMMON               988910105              402179         73964
ZENITH NATL INS CORP                         COMMON               989390109             2017751         82992
ZIMMERMAN SIGN CO                            COMMON               989580105                4688          1250
DAIMLERCHRYSLER AG OR                        COMMON               D1668R123            13092899        152575
ACE LIMITED                                  COMMON               G0070K103              115394          3700
FRUIT OF THE LOOM LTD                        COMMON               G3682L105              135450         12600
LORAL SPACE & COMMUNICAT                     COMMON               G56462107                4331           300
SMITH & NEPHEW ASSOC                         COMMON               G82343107           1,715,296        708800
STIRLING COOKE BROWN HLD                     COMMON               G84951105               20300          2900
XL CAPITAL LTD.                              COMMON               G98255105            34326716        565048
ARCADIS NV ORD SHS                           COMMON               N0605M105             220,953        31,011
NEW HOLLAND N V                              COMMON               N62648105             7282625        710500
ROYAL CARIBBEAN CRUISE                       COMMON               V7780T103                7800           200
TEEKAY SHIPPING CORP                         COMMON               V89564104              196350         11900
OMI CORP NEW                                 COMMON               Y6476W104               32944         16472






                         COLUMN TOTALS:                                               156767955

                         REPORT TOTALS:                                               5359438410


<CAPTION>

==============================================================================================
==============================================================================================
                                       ITEM 6                           ITEM 7                 ITEM 8
                                INVESTMENT DISCRETION                                     VOTING AUTHORITY
                                                            SHARED
                                SOLE         SHARED         OTHER       MANAGERS        SOLE         SHARED        NONE
WESTERN RES INC                14900                                         1         14900
WESTINGHOUSE AIR BRAKE C       76400                                         1         70400                       6000
WESTVACO CORP                 486400                                         1        486400
WEYCO GROUP INC                 3600                                         1          3600
WEYERHAEUSER CO                  200                                         1           200
WHIRLPOOL CORP COM            630770                                         1        562045            0        154560
WHITNEY HLDG CORP               8504                                         1          8504
WINDMERE-DURABLE HLDGS        318132                                         1        310832            0          9300
WINNEBAGO INDUSTRIES           89900                                         1         89900
WINSLOEW FURNITURE INC        117900                                         1        117600            0          2400
WINSTON RES INC                14100                                         1         12700                       1400
WISCONSIN CENT TRANSN CO       12300                                         1         12300
WOLOHAN LMBR CO                58300                                         1         56200            0          3200
WOLVERINE TUBE INC            316259                                         1        357884          165         20650
WOLVERINE WORLDWIDE           464500                                         1        466100            0             0
WOODHEAD INDS INC             145700                                         1        144600            0          2100
WOODWARD GOVERNOR CO           17700                                         1         17700
WORLD ACCEP CORP DEL          170700                                         1        162800            0          8800
WORLD COLOR PRESS INC DE        5727                                         1          5727
WORLD FUEL SVCS CORP          157625                                         1        153525            0          5200
WORLDTEX INC                   48300                                         1         43200                       5100
WYMAN GORDON CO               450000                                         1        437800            0         15400
YPF SOCIEDAD ANONIMA          227800                                         1        227800
YELLOW CORP                   378622                                         1        369122            0         12000
YORK GROUP INC                168700                                         1        165000            0          4100
YORK RESH CORP                106400                                         1        107000            0             0
ZALE CORP NEW                  15000                                         1         15000
ZEMEX CDA CORP                 73964                                         1         70069                       3895
ZENITH NATL INS CORP            4452                                         1         68597          210         14185
ZIMMERMAN SIGN CO               1250                                         1          1120                        130
DAIMLERCHRYSLER AG OR          27900                                         1        130335          865         21375
ACE LIMITED                     3700                                         1          3700
FRUIT OF THE LOOM LTD          12600                                         1         12600
LORAL SPACE & COMMUNICAT         300                                         1           300
SMITH & NEPHEW ASSOC               X                                                  702715            0         6,085
STIRLING COOKE BROWN HLD        2900                                         1          2900
XL CAPITAL LTD.               452242                                         1        480697            0         84351
ARCADIS NV ORD SHS                 X                                                       0            0        31,011
NEW HOLLAND N V               710500                                         1        660400                      50100
ROYAL CARIBBEAN CRUISE           200                                         1           200
TEEKAY SHIPPING CORP           11900                                         1         11900
OMI CORP NEW                   16472                                         1         16472
</TABLE>

<PAGE>


<TABLE>
<CAPTION>
  
               FORM 13F                  Name of Reporting Manager:    Grey Seifert                          Run Date: 05/11/99
                                                                         For Positions Held as of 3/31/1999    S.E.C. Use Only
                                                                                                                
                   Item 1:                          Item 2:                Item 4:         Item 5:                Item 8:
                Name of Issuer                   Title of Class     Fair Market Value   Shares or      Voting Authority (Shares)
                                                                        (X $1000)     Principal Amt. (a) Sole  (b) Shared (c) None
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                                        <C>                   <C>             <C>          <C>        <C>        <C>    <C>

A D C Telecommunications Inc.              Common Stock           6958728.34      6,959       145,922          0            145,922
Abbott Laboratories                        Common Stock          14009820.16     14,010       299,272    299,272       0          0
ABC Dispensing Techologies Inc             Common Stock            535564.59        536     2,818,761  2,818,761       0          0
Aes Trust I                                Preferred Stock           1004550      1,005        18,100          0       0     18,100
Aflac Corp. New                            Common Stock            967036.63        967        17,764     17,764       0          0
Airtouch Communications Inc.               Common Stock           2478431.25      2,478        25,650     25,650       0          0
Albertson's Inc.                           Common Stock          10399582.18     10,400       191,475    191,475       0          0
Allied Irish Banks Plc                     ADR                      755032.5        755         7,295      7,295       0          0
America Online Inc.                        Common Stock               751900        752         5,150      5,150       0          0
American Bankers Insurance Group, Inc.     Common Stock              7831200      7,831       150,600    150,600       0          0
American Express Co.                       Common Stock               822500        823         7,000      7,000       0          0
American General Corp.                     Common Stock              5981925      5,982        84,850     84,850       0          0
American Home Products Corp.               Common Stock              2420775      2,421        37,100     37,100       0          0
American International Group Inc.          Common Stock          35261622.55     35,262       292,325    292,325       0          0
American Stores Co                         Common Stock              2226675      2,227        67,475     67,475       0          0
Ameritech Corp.                            Common Stock           1984765.25      1,985        34,294     34,294       0          0
AmSouth Bancorp                            Common Stock           11970458.5     11,970       263,088    263,088       0          0
Anheuser-Busch Companies Inc.              Common Stock               380940        381         5,000      5,000       0          0
Applied Signal Technology Inc              Common Stock           2031551.26      2,032       171,078    171,078       0          0
Associated Banc Corp.                      Common Stock           2027467.33      2,027        64,622     64,622       0          0
AT & T Corp.                               Common Stock            2717951.9      2,718        34,054     34,054       0          0
Automatic Data Processing                  Common Stock              2052200      2,052        49,600     49,600       0          0
Bancwest Corporation                       Common Stock              1540625      1,541        36,250     36,250       0          0
Bank Of Commerce-San Diego CA              Common Stock           2756621.91      2,757       136,975    136,975       0          0

Page Total:                                                                     119,868

Bank of New York                           Common Stock            1153609.8      1,154        32,100     32,100       0          0
BankAmerica Corp                           Common Stock           7154701.03      7,155       101,306    101,306       0          0
BB&T Corp.                                 Common Stock           6331597.23      6,332       174,964    174,964       0          0
Bell Atlantic Corp.                        Common Stock            836053.39        836        16,175     16,175       0          0
Bergen Brunswig Corp. Cl A                 Common Stock              5574500      5,575       278,725    278,725       0          0
Berkshire Hathaway Inc. Class A            Common Stock               357000        357             5          5       0          0
Bisys Group IInc.                          Common Stock          13206093.75     13,206       234,775    234,775       0          0
BP Amoco Plc -Spons ADR                    ADR                    1582295.02      1,582        15,676     15,676       0          0
Bridgford Foods Corp                       Common Stock               109221        109        10,340     10,340       0          0
Bristol-Myers Squibb Co.                   Common Stock           5877050.57      5,877        91,382     91,382       0          0
Campbell Soup Co.                          Common Stock            1321342.8      1,321        32,475     32,475       0          0
Carnival Corp.                             Common Stock           2916208.15      2,916        60,050     60,050       0          0
Cascade Bancorp                            Common Stock            1673212.6      1,673        80,200     80,200       0          0
Catalina Marketing Corp.                   Common Stock           3734188.51      3,734        43,484          0  43,484          0
CCB Financial Corp.                        Common Stock           7596770.02      7,597       140,517    140,517       0          0
Celestial Seasonings Inc.                  Common Stock            636856.25        637        29,450     29,450       0          0
Centennial Bancorp                         Common Stock           2811166.53      2,811       203,517    203,517       0          0
Centura Banks Inc.                         Common Stock              1745640      1,746        30,000     30,000       0          0
Charter One Financial Inc.                 Common Stock            270437.71        270         9,371      9,371       0          0
Chevron Corp.                              Common Stock           1996222.53      1,996        22,572     22,572       0          0
Cisco Systems Co.                          Common Stock          14443580.76     14,444       131,829    131,829       0          0
Citigroup, Inc.                            Common Stock           2775432.63      2,775        43,452     43,452       0          0
Coca Cola Co.                              Common Stock           4637065.39      4,637        75,553     75,553       0          0
Coca Cola Enterprises Inc.                 Common Stock               302500        303        10,000     10,000       0          0
Colgate-Palmolive Co.                      Common Stock              8981408      8,981        97,624     97,624       0          0
Colorado Business Bankshares               Common Stock              1835100      1,835       152,925    152,925       0          0
Columbia Bkg Sys Inc                       Common Stock            122210.37        122        12,717     12,717       0          0
Commerce Bancshares Inc.                   Common Stock           6789838.89      6,790       176,360    176,360       0          0
Commerce Bank Harrisburg PA                Common Stock               676872        677        24,174     24,174       0          0
Community First Bankshares Inc             Common Stock            2268796.5      2,269       197,250    197,250       0          0
Compaq Computer Corp.                      Common Stock              1600244      1,600        50,500     50,500       0          0

Page Total:                                                                     111,317

Comverse Technology Inc.                   Common Stock              2460750      2,461        28,950     28,950       0          0
CSG Systems International Inc.             Common Stock           2012915.52      2,013        51,040     51,040       0          0
Cullen Frost Bankers                       Common Stock            3184948.5      3,185        66,450     66,450       0          0
CVS Corp.                                  Common Stock          13129187.16     13,129       276,404    276,404       0          0
Dayton Hudson Corp.                        Common Stock              2398500      2,399        36,000     36,000       0          0
Dean Foods Co                              Common Stock           1107046.91      1,107        31,075     31,075       0          0
Dow Chemical Co                            Common Stock           8998140.09      8,998        96,559     96,559       0          0
DST Systems Inc.                           Common Stock           6941781.38      6,942       115,575    115,575       0          0
Du Pont (E I) de Nemours and Co.           Common Stock            2113493.2      2,113        36,400     36,400       0          0
Eco Soil Sys Inc                           Common Stock                48125         48        10,000     10,000       0          0
Edwards A G Inc.                           Common Stock           5253713.44      5,254       160,723    160,723       0          0
Emerson Electric Co.                       Common Stock             201164.4        201         3,800      3,800       0          0
Enron Corp.                                Common Stock              2647100      2,647        41,200     41,200       0          0
Equifax Inc.                               Common Stock               240625        241         7,000      7,000       0          0
Everen Capital Corp                        Common Stock           4629551.55      4,630       188,025    188,025       0          0
Exxon Corp.                                Common Stock           6441696.27      6,442        91,290          0  91,290          0
Fannie Mae                                 Common Stock              2382200      2,382        34,400     34,400       0          0
Fifth Third Bancorp                        Common Stock             998960.7        999        15,150     15,150       0          0
Financial Fed Corp                         Common Stock              4642191      4,642       200,700    200,700       0          0
First American Corp. Tenn                  Common Stock           2966815.07      2,967        80,456     80,456       0          0
First Security Corp.                       Common Stock           1257566.02      1,258        65,115     65,115       0          0
First Wash Bancorp Inc Wash                Common Stock            875239.14        875        43,094     43,094       0          0
Firstar Corporation                        Common Stock            3228712.5      3,229        36,075     36,075       0          0

Page Total:                                                                      78,160

Firstbank Corp Del                         Common Stock           1102193.75      1,102        74,725     74,725       0          0
Fiserv Inc.                                Common Stock          16034410.67     16,034       299,010    299,010       0          0
Fleet Financial Group, Inc.                Common Stock          12624052.51     12,624       335,523    335,523       0          0
Flowers Inds Inc.                          Common Stock           1289069.53      1,289        52,348     52,348       0          0
Freddie Mac                                Common Stock             976837.5        977        17,100     17,100       0          0
Frontier Finl Corp Wash                    Common Stock             772314.4        772        33,755     33,755       0          0
Furniture Brands Intl Inc.                 Common Stock           5817768.96      5,818       262,950    262,950       0          0
FX Energy Inc                              Common Stock              1384719      1,385       197,817    197,817       0          0
General Electric                           Common Stock           31504672.5     31,505       284,788    284,788       0          0
General Mills                              Common Stock           1216564.31      1,217        16,100          0       0     16,100
Gillette Co.                               Common Stock           6072304.96      6,072       102,162    102,162       0          0
Greater Bay Bancorp                        Common Stock            7004812.5      7,005       222,375    222,375       0          0
Guidant Corp.                              Common Stock            8302717.5      8,303       137,235    137,235       0          0
Gulf CDA Res Ltd Ord                       Common Stock                28224         28        10,500          0  10,500          0
Hannaford Brothers Inc.                    Common Stock            8349232.5      8,349       183,750    183,750       0          0
Hanover Compressor Co.                     Common Stock              2120000      2,120        80,000     80,000       0          0
Harbor Fla Bancshares Inc                  Common Stock           4518699.37      4,519       330,073    330,073       0          0
Hartford Financial Services Group Inc.     Common Stock            468025.49        468         8,238      8,238       0          0
Hartford Life Inc.                         Common Stock               330000        330         6,000      6,000       0          0
Henry Jack & Associates Inc                Common Stock           1701398.75      1,701        36,787     36,787       0          0
Hershey Foods Corp.                        Common Stock             14080192     14,080       251,432    251,432       0          0
Hewlett-Packard Co.                        Common Stock               406878        407         6,000      6,000       0          0
Hibernia Corp. Class A                     Common Stock               183750        184        14,000     14,000       0          0
Hillenbrand Industry Inc.                  Common Stock            7654506.3      7,655       165,725    165,725       0          0
HNC Software Inc.                          Common Stock            1075837.5      1,076        32,850     32,850       0          0
Home Depot Inc.                            Common Stock           2517078.75      2,517        40,435     40,435       0          0

Page Total:                                                                     137,536

Hooper Holmes Incorporated                 Common Stock            7508984.4      7,509       480,575    480,575       0          0
Household International Inc.               Common Stock               273750        274         6,000      6,000       0          0
Hubbell Inc.  CL A                         Common Stock               346986        347         9,378      9,378       0          0
Hubco Inc.                                 Common Stock            2947670.6      2,948        87,825     87,825       0          0
Ing Groep NV Spons ADR                     ADR                      224531.6        225         4,087      4,087       0          0
Intel Corp.                                Common Stock          11871401.88     11,871        99,655     99,655       0          0
International Business Machines            Common Stock           9709565.34      9,710        54,779     15,176       0     39,603
J P Morgan & Co.                           Common Stock           1110375.01      1,110         9,000          0   9,000          0
Jefferson-Pilot Corp.                      Common Stock           8880602.25      8,881       131,079    131,079       0          0
Johnson & Johnson                          Common Stock          13869102.14     13,869       148,035    148,035       0          0
Jp Realty Inc                              Common Stock               293088        293        14,887     14,887       0          0
Keyspan Energy Corp.                       Common Stock            356423.26        356        14,186     14,186       0          0
Kimberly-Clark Corp.                       Common Stock            1792881.2      1,793        37,400     37,400       0          0
KIMCO Realty Corp.                         Common Stock           1773171.25      1,773        48,086     48,086       0          0
Kohls Corp. - Wisconsin                    Common Stock           4566122.24      4,566        64,425     64,425       0          0
L Oreal Co                                 ADR                        699655        700         5,500      5,500       0          0
Ladd Furniture Inc.                        Common Stock               246600        247        14,400     14,400       0          0
Legg Mason, Inc.                           Common Stock           5561551.93      5,562       165,090    165,090       0          0
Leggett & Platt Inc.                       Common Stock               411000        411        20,550     20,550       0          0
Lehman Brothers Holdings                   Common Stock           1071018.75      1,071        17,925     17,925       0          0
Lilly (Eli) & Co.                          Common Stock          18840977.01     18,841       221,985    221,985       0          0
Lincoln National Corp.                     Common Stock           5974522.23      5,975        60,425     60,425       0          0
Loews Corp.                                Common Stock               298500        299         4,000      4,000       0          0
LSI Logic Corp.                            Common Stock            2335981.2      2,336        74,900          0  74,900          0
Lucent Technologies Inc.                   Common Stock            9188273.5      9,188        85,274     85,274       0          0
Manufactured Home Communities              Common Stock              1720800      1,721        71,700     71,700       0          0
Marsh & McLennan                           Common Stock              1335384      1,335        18,000     18,000       0          0
Marshall & Ilsley Corp.                    Common Stock           8950187.37      8,950       161,445    161,445       0          0


Page Total:                                                                     122,159

Maytag Corp.                               Common Stock          10964100.41     10,964       181,600    181,600       0          0
McDonalds Corp.                            Common Stock               181252        181         4,000      4,000       0          0
McGraw-Hill Companies Inc.                 Common Stock               266069        266         4,882      4,882       0          0
MCI Worldcom Inc.                          Common Stock           9044850.63      9,045       102,129    102,129       0          0
Mckesson HBOC Inc Com                      Common Stock               595848        596         9,028      9,028       0          0
MediaOne Group Inc.                        Common Stock               305435        305         4,810      4,810       0          0
Medical Assurn Inc                         Common Stock              1045750      1,046        36,450     36,450       0          0
Medtronic Inc.                             Common Stock           13095379.5     13,095       182,514    182,514       0          0
Mercantile Bancorporation                  Common Stock            7440922.5      7,441       156,651    156,651       0          0
Merck & Co Inc.                            Common Stock          13312731.56     13,313       166,019    166,019       0          0
Merrill Lynch & Co                         Common Stock           3101962.85      3,102        35,075     35,075       0          0
Merrill Lynch Pfd Cap Tr V                 Preferred Stock        8885843.75      8,886        34,375     34,375       0          0
Microsoft Corp.                            Common Stock           7213916.25      7,214        80,490     80,490       0          0
Mid-state Bancshares                       Common Stock            1314762.5      1,315        49,150     49,150       0          0
Minnesota Mining & Manufacturing Co.       Common Stock            227036.75        227         3,209      3,209       0          0
Mississippi Vy Bancshares Inc              Common Stock           3138856.32      3,139        95,464     95,464       0          0
Mobil Corp.                                Common Stock              3000448      3,000        34,096     34,096       0          0
Morgan Keegan Inc.                         Common Stock             682395.6        682        41,200     41,200       0          0
Motorola Inc.                              Common Stock               703200        703         9,600      9,600       0          0
National City Corp.                        Common Stock           8686629.05      8,687       130,872    130,872       0          0
Nationwide Financial Services, Inc.        Common Stock              8780100      8,780       209,050    209,050       0          0
New PLan Excel Realty Trust                Common Stock             242728.2        243        12,650     12,650       0          0
Nextel Communications Inc.                 Common Stock               586000        586        16,000     16,000       0          0
Nextlink Communications Inc Cl A           Common Stock               873600        874        15,600     15,600       0          0
Nokia Corp. Sponsored ADR                  ADR                       1713250      1,713        11,000     11,000       0          0
North Fork Bancorp, Inc.-NY                Common Stock          11723234.51     11,723       554,946    554,946       0          0
Northern Trust Corp.                       Common Stock          13190950.95     13,191       148,525    148,525       0          0
Pacific Cap Bancorp New                    Common Stock              3617190      3,617       133,970    133,970       0          0
Pacific Century Financial Corp.            Common Stock           1357187.92      1,357        65,015     65,015       0          0


Page Total:                                                                     135,292

Paine Webber Group                         Common Stock           2284837.51      2,285        57,300     57,300       0          0
Peoples Heritage Financial Group Inc.      Common Stock              2180700      2,181       121,150    121,150       0          0
Pfizer Inc.                                Common Stock          39093504.86     39,094       281,755    281,755       0          0
Philadelphia Cons Hldg Corp                Common Stock              4054200      4,054       168,925    168,925       0          0
Pitney-Bowes, Inc.                         Common Stock              1530000      1,530        24,000     24,000       0          0
Procter & Gamble Co.                       Common Stock          23576810.62     23,577       240,732    240,732       0          0
Progressive Corp.                          Common Stock             11659375     11,659        81,250     81,250       0          0
Protective Life Corp.                      Common Stock          13840471.95     13,840       365,425    365,425       0          0
Providian Financial Corp.                  Common Stock               385000        385         3,500      3,500       0          0
Quaker Oats                                Common Stock            435125.67        435         6,955      6,955       0          0
Qwest Communications Intl                  Common Stock            1578858.6      1,579        21,900     21,900       0          0
Ragen Mackenzie Group Inc                  Common Stock              1633884      1,634       146,800    146,800       0          0
Raymond James Financial Inc.               Common Stock              3192548      3,193       161,648    161,648       0          0
Reliastar Financial Corp.                  Common Stock          14889762.94     14,890       349,320    349,320       0          0
Riviana Foods Inc                          Common Stock              5957560      5,958       311,425    311,425       0          0
Roslyn Bancorp Inc.                        Common Stock               742500        743        44,000     44,000       0          0
Royal Carribean Cruises 7.25% Conv PFD     Preferred Stock          844720.8        845         8,400      8,400       0          0
Royal Dutch Petroleum Co ADR               ADR                       3065140      3,065        58,945     58,945       0          0
Safeway Inc.                               Common Stock          10853982.79     10,854       211,525    211,525       0          0
SBC Communications Inc.                    Common Stock             344766.5        345         7,316      7,316       0          0
Schering-Plough Corp.                      Common Stock           2280665.62      2,281        41,232     41,232       0          0
Schlumberger Limited                       Common Stock             349090.4        349         5,800      5,800       0          0
Seacoast Banking Corp. FLA                 Common Stock            607893.75        608        22,725     22,725       0          0
Seitel Inc. New                            Common Stock             457974.8        458        32,858     32,858       0          0
Sierrawest Bancorp                         Common Stock              2368416      2,368        74,013     74,013       0          0
Silicon Valley Bancshares                  Common Stock            1552117.2      1,552        75,025     75,025       0          0
Source Capital Corp A                      Common Stock                56438         56        10,500     10,500       0          0
South Trust Corp.                          Common Stock           4374016.57      4,374       117,225    117,225       0          0
Southwest Bancorporation of Texas Inc.     Common Stock               135443        135        11,000     11,000       0          0
Sprint Corp. (PCS Group)                   Common Stock            715654.95        716        16,150     16,150       0          0
State Street Corp.                         Common Stock           13912373.7     13,912       169,275    169,275       0          0

Page Total:                                                                     168,954

Stochastic Models Inc                      Common Stock                   35          0        35,000          0  35,000          0
Summitt Bancorp                            Common Stock           8991488.61      8,991       230,552    230,552       0          0
Sun Communities Inc.                       Common Stock               882650        883        27,800     27,800       0          0
Sun Microsystems Inc.                      Common Stock           4832601.84      4,833        38,680     38,680       0          0
Sungard Data Systems                       Common Stock              9106000      9,106       227,650    227,650       0          0
Suntrust Banks Inc.                        Common Stock          17144209.63     17,144       275,409    275,409       0          0
T. Rowe Price Assoc. Inc.                  Common Stock           4136172.08      4,136       120,325    120,325       0          0
TCF Financial Corp.                        Common Stock           8809111.74      8,809       338,812    338,812       0          0
Tengasco Inc                               Common Stock           2203694.64      2,204       291,494          0       0    291,494
Texaco Inc.                                Common Stock               340500        341         6,000      6,000       0          0
Texas Regional Bancshares Inc.             Common Stock           5379982.25      5,380       212,019    212,019       0          0
The Equitable Companies                    Common Stock              1514870      1,515        21,641     21,641       0          0
The Walt Disney Co.                        Common Stock            286069.88        286         9,191          0   9,191          0
Transaction System Architects              Common Stock              9708300      9,708       269,675    269,675       0          0
U S Bancorp New                            Common Stock          17850407.67     17,850       524,041    524,041       0          0
Umpqua Hldgs Corp                          Common Stock             624862.5        625        65,775     65,775       0          0
Unapix Entertainment Inc.                  Common Stock            214593.75        215       114,450    114,450       0          0
Unilever N V (NY Shares)                   ADR                       1328760      1,329        20,000     20,000       0          0
Unum Corp.                                 Common Stock           10386141.7     10,386       218,366    218,366       0          0
US Air Group                               Common Stock            1850012.7      1,850        37,900     37,900       0          0
Vodafone Group Plc Spon ADR                ADR                      478762.5        479         2,550          0   2,550          0
Vrb Bancorp                                Common Stock            863649.68        864       108,772    108,772       0          0

Page Total:                                                                     106,933

Wachovia Corp.                             Common Stock            5362467.4      5,362        66,050     66,050       0          0
Wal-Mart Stores Inc.                       Common Stock             585393.8        585         6,350          0   6,350          0
Walgreen Co                                Common Stock           17140800.5     17,141       606,754    606,754       0          0
Warner Lambert Co.                         Common Stock           6726686.44      6,727       101,630    101,630       0          0
Washington Mutual Inc.                     Common Stock          11135822.06     11,136       272,436    272,436       0          0
Wells Fargo & Co.                          Common Stock           7757021.88      7,757       221,231    221,231       0          0
West Coast Bancorp Ore New                 Common Stock           3211541.61      3,212       185,531    185,531       0          0
Westamerica Bancorp                        Common Stock           5225209.16      5,225       165,224    165,224       0          0
Western Bancorp                            Common Stock           2723317.45      2,723        88,025     88,025       0          0
Whole Foods Market Inc                     Common Stock            1814106.3      1,814        52,774     52,774       0          0
Wimberly Res Ltd                           Foreign Stock                  -0          0            12          0      12          0
Wind Baron Corp                            Foreign Stock                  -0          0         6,000          0   6,000          0
Winstar Communications Inc                 Common Stock               399784        400        11,000          0  11,000          0
Wrigley (WM) Jr Co                         Common Stock          16538215.28     16,538       182,868    182,868                  0
Xerox Corp.                                Common Stock               640500        641        12,000     12,000                  0
Zions Bancorporation                       Common Stock           22317913.4     22,318       335,608    335,608                  0


Page Total:                                                                                        101,579


Grand Total:                                                                                     1,081,798
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
Page 1 of 4                                                                                                         1st Quarter 1999



FORM 13F        NAME OF REPORTING MANAGER:             LEGG MASON CAPITAL MANAGEMENT - INST. ID# 71102          Run Date: 05/10/99
                                                       FOR POSITIONS HELD AS OF 3/31/999                        --------------------
                                                                                                                S.E.C. Use Only

                                                                                                                --------------------

          Item 1:                            Item 2:          Item 3:          Item 4:           Item 5:
       Name of Issuer                    Title of Class    CUSIP Number   Fair Market Value     Shares or
                                                                              (X $1000)       Principal Amt.

- ----------------------------------------------------------------------------------------------------------------------
<S>                                       <C>               <C>                     <C>              <C>         <C>
AMR Corp.                                  Common Stock     001765106               64               1,100       SH
Abbott Laboratories                        Common Stock     002824100               56               1,200       SH
Allegheny Teledyne Inc.                    Common Stock     017415100              511              27,000       SH
Ambac Financial Group, Inc.                Common Stock     023139108            5,994             111,008       SH
America Online Inc.                        Common Stock     02364J104          409,157           2,802,444       SH
American International Group Inc.          Common Stock     026874107               41                 337       SH
Amerin Corp.                               Common Stock     03070X106            1,834              90,300       SH
Amgen Inc.                                 Common Stock     031162100           74,157             990,414       SH
Autodesk Inc.                              Common Stock     052769106              752              18,600       SH
Avon Products Inc.                         Common Stock     054303102            3,438              73,050       SH
BJ's Wholesale Club Inc.                   Common Stock     05548J106            2,411              91,200       SH
BP Amoco Plc -Spons ADR                    ADR              055622104               55                 548       SH
Baltimore Gas & Electric Co.               Common Stock     059165100                8                 300       SH
Bank One Corp                              Common Stock     06423A103           12,520             227,373       SH
BankAmerica Corp.                          Common Stock     06605F102           49,018             694,055       SH
BankBoston Corp.                           Common Stock     06605R106           48,562           1,121,183       SH
Bear Stearns Companies, Inc.               Common Stock     073902108           44,140             987,737       SH
Bell & Howell Co.                          Common Stock     077852101            1,284              43,800       SH
BellSouth Corp.                            Common Stock     079860102               24                 600       SH
Berkshire Hathaway Inc. Class A            Common Stock     084670108           34,058                 477       SH
Berkshire Hathaway Inc. Class B            Common Stock     084670207           51,388              21,858       SH
Bestfoods                                  Common Stock     08658U101              847              18,020       SH
Bristol-Myers Squibb Co.                   Common Stock     110122108            2,312              35,950       SH
Burlington Northern Santa Fe Corp.         Common Stock     12189T104              832              25,300       SH
CKE Restaurants Inc.                       Common Stock     12561E105               49               2,500       SH
C M A C Investment Corp.                   Common Stock     125662106            1,316              33,750       SH
Cabletron Systems Inc.                     Common Stock     126920107            2,219             271,050       SH
Campbell Soup Co.                          Common Stock     134429109               67               1,656       SH
Cell Genesys Inc.                          Common Stock     150921104              481              97,413       SH
Chase Manhattan Corp.                      Common Stock     16161A108          107,561           1,322,796       SH
Chevron Corp.                              Common Stock     166751107               37                 414       SH
Chubb Corp.                                Common Stock     171232101              527               9,000       SH
Circus Circus Enterprises Inc.             Common Stock     172909103           30,963           1,762,961       SH
Citigroup, Inc.                            Common Stock     172967101           93,285           1,460,426       SH
Clorox Co.                                 Common Stock     189054109            1,404              11,980       SH
Colgate-Palmolive Co.                      Common Stock     194162103              239               2,600       SH
Comerica Inc.                              Common Stock     200340107              687              11,000       SH
Compaq Computer Corp.                      Common Stock     204493100           57,823           1,824,764       SH
Comsat Corp.                               Common Stock     20564D107                6                 200       SH
Conseco Inc.                               Common Stock     208464107           13,378             433,285       SH
Consolidated Stores Corp.                  Common Stock     210149100            2,789              92,000       SH
Cott Corp.                                 Common Stock     22163N106              856             351,100       SH
Dana Corp.                                 Common Stock     235811106                6                 161       SH
Danaher Corp.                              Common Stock     235851102           15,353             293,828       SH

                                           Page Total:                       1,072,508

De Beers Cons Mines Ltd ADR N.E.           ADR              240253302              669              35,300       SH
Dell Computer Corp.                        Common Stock     247025109          144,104           3,525,478       SH
Delta Air Lines Inc.                       Common Stock     247361108              848              12,200       SH

<CAPTION>

          Item 1:                                Item 6:                  Item 7:               Item 8:
       Name of Issuer                        Investment Discretion         Other        Voting Authority (Shares)
                                          (a) Sole (b)Shared (c)Shared    Managers    (a) Sole (b) Shared (c) None
                                                      as Def    Other
- -------------------------------------------------------------------------------------------------------------------
<S>                                       <C>      <C>       <C>          <C>        <C>      <C>         <C>
AMR Corp.                                               X                                0        1,100       0
Abbott Laboratories                                     X                                0        1,200       0
Allegheny Teledyne Inc.                                 X                                0       27,000       0
Ambac Financial Group, Inc.                             X                                0      111,008       0
America Online Inc.                                     X                                0    2,802,444       0
American International Group Inc.                       X                                0          337       0
Amerin Corp.                                            X                                0       90,300       0
Amgen Inc.                                              X                                0      990,414       0
Autodesk Inc.                                           X                                0       18,600       0
Avon Products Inc.                                      X                                0       73,050       0
BJ's Wholesale Club Inc.                                X                                0       91,200       0
BP Amoco Plc -Spons ADR                                 X                                0          548       0
Baltimore Gas & Electric Co.                            X                                0          300       0
Bank One Corp                                           X                                0      227,373       0
BankAmerica Corp.                                       X                                0      694,055       0
BankBoston Corp.                                        X                                0    1,121,183       0
Bear Stearns Companies, Inc.                            X                                0      987,737       0
Bell & Howell Co.                                       X                                0       43,800       0
BellSouth Corp.                                         X                                0          600       0
Berkshire Hathaway Inc. Class A                         X                                0          477       0
Berkshire Hathaway Inc. Class B                         X                                0       21,858       0
Bestfoods                                               X                                0       18,020       0
Bristol-Myers Squibb Co.                                X                                0       35,950       0
Burlington Northern Santa Fe Corp.                      X                                0       25,300       0
CKE Restaurants Inc.                                    X                                0        2,500       0
C M A C Investment Corp.                                X                                0       33,750       0
Cabletron Systems Inc.                                  X                                0      271,050       0
Campbell Soup Co.                                       X                                0        1,656       0
Cell Genesys Inc.                                       X                                0       97,413       0
Chase Manhattan Corp.                                   X                                0    1,322,796       0
Chevron Corp.                                           X                                0          414       0
Chubb Corp.                                             X                                0        9,000       0
Circus Circus Enterprises Inc.                          X                                0    1,762,961       0
Citigroup, Inc.                                         X                                0    1,460,426       0
Clorox Co.                                              X                                0       11,980       0
Colgate-Palmolive Co.                                   X                                0        2,600       0
Comerica Inc.                                           X                                0       11,000       0
Compaq Computer Corp.                                   X                                0    1,824,764       0
Comsat Corp.                                            X                                0          200       0
Conseco Inc.                                            X                                0      433,285       0
Consolidated Stores Corp.                               X                                0       92,000       0
Cott Corp.                                              X                                0      351,100       0
Dana Corp.                                              X                                0          161       0
Danaher Corp.                                           X                                0      293,828       0



De Beers Cons Mines Ltd ADR N.E.                        X                                0       35,300       0
Dell Computer Corp.                                     X                                0    3,525,478       0
Delta Air Lines Inc.                                    X                                0       12,200       0


<PAGE>

Page 2 of 4                                                                                                         1st Quarter 1999




<S>                                        <C>              <C>                    <C>              <C>          <C>
Dillards Inc.                              Common Stock     254067101              533              21,000       SH
Dole Food Company                          Common Stock     256605106              861              28,945       SH
Dynex Capital Inc.                         Common Stock     26817Q100              495             149,400       SH
E M C Corp.                                Common Stock     268648102            1,532              11,995       SH
Emerson Electric Co.                       Common Stock     291011104            1,096              20,700       SH
Enhance Financial Services Group Inc.      Common Stock     293310108            2,017              88,650       SH
Equity Office Properties Tr                Common Stock     294741103              142               5,600       SH
FMC Corp.                                  Common Stock     302491303              454               9,200       SH
Freddie Mac                                Common Stock     313400301           47,102             824,550       SH
Fannie Mae                                 Common Stock     313586109           74,317           1,073,168       SH
Finova Group Inc.                          Common Stock     317928109            2,028              39,100       SH
First Data Corp.                           Common Stock     319963104           21,917             512,675       SH
First Union Corp.                          Common Stock     337358105              821              15,370       SH
Fleet Financial Group, Inc.                Common Stock     338915101           30,416             808,408       SH
Ford Motor Co.                             Common Stock     345370100            2,253              39,700       SH
Fortune Brands Inc.                        Common Stock     349631101               23                 600       SH
Foundation Health Systems                  Common Stock     350404109           29,298           2,403,853       SH
G T E Corp.                                Common Stock     362320103               54                 900       SH
Gateway 2000 Inc.                          Common Stock     367833100           92,290           1,346,068       SH
General Cable Corp.                        Common Stock     369300108              227              21,450       SH
General Electric                           Common Stock     369604103              194               1,750       SH
General Motors Corp.                       Common Stock     370442105           57,584             662,837       SH
General Nutrition Companies                Common Stock     37047F103              895              63,900       SH
Gillette Co.                               Common Stock     375766102               71               1,200       SH
Glaxo Wellcome PLC - Spons ADR             ADR              37733W105              100               1,500       SH
Grainger WW Inc.                           Common Stock     384802104               60               1,400       SH
Hadco Corp.                                Common Stock     404681108            1,874              59,500       SH
Halliburton Co.                            Common Stock     406216101               85               2,200       SH
Hewlett-Packard Co.                        Common Stock     428236103              414               6,100       SH
Hilton Hotels Corp.                        Common Stock     432848109           17,164           1,220,538       SH
Hollywood Entertainment Corp.              Common Stock     436141105            1,957             105,100       SH
Hollywood Park Incorporated                Common Stock     436255103            1,415             137,200       SH
Household International Inc.               Common Stock     441815107               43                 942       SH
ICG Communications Inc.                    Common Stock     449246107            2,028             100,793       SH
Inacom Corp.                               Common Stock     45323G109              700              90,344       SH
Intel Corp.                                Common Stock     458140100            2,710              22,750       SH
International Business Machines            Common Stock     459200101           87,757             495,102       SH
Johnson & Johnson                          Common Stock     478160104              384               4,100       SH
Kimberly-Clark Corp.                       Common Stock     494368103              959              20,000       SH
Koninklijke Philips Electronrics NV AD     ADR              500472105           52,827             640,805       SH
Kroger Co.                                 Common Stock     501044101            5,179              86,500       SH
Lancaster Colony Corp.                     Common Stock     513847103              908              34,100       SH
Laser Mortgage Management Inc.             Common Stock     51806D100              534              98,250       SH
Learning Co Inc.                           Common Stock     522008101           30,274           1,043,930       SH
Lilly (Eli) & Co.                          Common Stock     532457108            1,893              22,308       SH
Liz Claiborne Inc.                         Common Stock     539320101            1,024              31,400       SH
Lockheed Martin Corp.                      Common Stock     539830109              377              10,000       SH
MBIA, Inc.                                 Common Stock     55262C100            8,454             145,767       SH

Page Total:                                                                    731,365

MBNA Corp.                                 Common Stock     55262L100           60,770           2,545,358       SH
MCI Worldcom Inc.                          Common Stock     55268B106           99,411           1,122,486       SH
M D U Resources Group, Inc.                Common Stock     552690109                6                 259       SH
MGIC Investment Corp.                      Common Stock     552848103           51,465           1,467,789       SH
MGM Grand Inc.                             Common Stock     552953101           25,219             749,997       SH
Magellan Health Services Inc.              Common Stock     559079108              340              81,100       SH


<CAPTION>
<S>                                             <C>                                 <C>     <C>          <C>
Dillards Inc.                                      X                                0       21,000       0
Dole Food Company                                  X                                0       28,945       0
Dynex Capital Inc.                                 X                                0      149,400       0
E M C Corp.                                        X                                0       11,995       0
Emerson Electric Co.                               X                                0       20,700       0
Enhance Financial Services Group Inc.              X                                0       88,650       0
Equity Office Properties Tr                        X                                0        5,600       0
FMC Corp.                                          X                                0        9,200       0
Freddie Mac                                        X                                0      824,550       0
Fannie Mae                                         X                                0    1,073,168       0
Finova Group Inc.                                  X                                0       39,100       0
First Data Corp.                                   X                                0      512,675       0
First Union Corp.                                  X                                0       15,370       0
Fleet Financial Group, Inc.                        X                                0      808,408       0
Ford Motor Co.                                     X                                0       39,700       0
Fortune Brands Inc.                                X                                0          600       0
Foundation Health Systems                          X                                0    2,403,853       0
G T E Corp.                                        X                                0          900       0
Gateway 2000 Inc.                                  X                                0    1,346,068       0
General Cable Corp.                                X                                0       21,450       0
General Electric                                   X                                0        1,750       0
General Motors Corp.                               X                                0      662,837       0
General Nutrition Companies                        X                                0       63,900       0
Gillette Co.                                       X                                0        1,200       0
Glaxo Wellcome PLC - Spons ADR                     X                                0        1,500       0
Grainger WW Inc.                                   X                                0        1,400       0
Hadco Corp.                                        X                                0       59,500       0
Halliburton Co.                                    X                                0        2,200       0
Hewlett-Packard Co.                                X                                0        6,100       0
Hilton Hotels Corp.                                X                                0    1,220,538       0
Hollywood Entertainment Corp.                      X                                0      105,100       0
Hollywood Park Incorporated                        X                                0      137,200       0
Household International Inc.                       X                                0          942       0
ICG Communications Inc.                            X                                0      100,793       0
Inacom Corp.                                       X                                0       90,344       0
Intel Corp.                                        X                                0       22,750       0
International Business Machines                    X                                0      495,102       0
Johnson & Johnson                                  X                                0        4,100       0
Kimberly-Clark Corp.                               X                                0       20,000       0
Koninklijke Philips Electronrics NV AD             X                                0      640,805       0
Kroger Co.                                         X                                0       86,500       0
Lancaster Colony Corp.                             X                                0       34,100       0
Laser Mortgage Management Inc.                     X                                0       98,250       0
Learning Co Inc.                                   X                                0    1,043,930       0
Lilly (Eli) & Co.                                  X                                0       22,308       0
Liz Claiborne Inc.                                 X                                0       31,400       0
Lockheed Martin Corp.                              X                                0       10,000       0
MBIA, Inc.                                         X                                0      145,767       0

Page Total:

MBNA Corp.                                         X                                0    2,545,358       0
MCI Worldcom Inc.                                  X                                0    1,122,486       0
M D U Resources Group, Inc.                        X                                0          259       0
MGIC Investment Corp.                              X                                0    1,467,789       0
MGM Grand Inc.                                     X                                0      749,997       0
Magellan Health Services Inc.                      X                                0       81,100       0


<PAGE>

Page 3 of 4                                                                                                         1st Quarter 1999


<S>                                        <C>              <C>                  <C>                <C>          <C>
Mattel Inc.                                Common Stock     577081102            2,060              82,815       SH
MedPartners, Inc.                          Common Stock     58503X107            1,410             296,800       SH
Medtronic Inc.                             Common Stock     585055106               86               1,200       SH
Mellon Bank Corp.                          Common Stock     585509102            1,385              19,675       SH
Merck & Co Inc.                            Common Stock     589331107            2,762              34,448       SH
Metro Goldwyn Mayer                        Common Stock     591610100            1,069              81,489       SH
Fred Meyer Inc.                            Common Stock     592907109           38,838             659,662       SH
Micron Electronics Inc.                    Common Stock     595100108            1,382             117,600       SH
Midamerican Energy Holdings                Common Stock     59562V107            1,781              63,600       SH
Minnesota Mining & Manufacturing Co.       Common Stock     604059105              601               8,500       SH
Mirage Resorts Inc.                        Common Stock     60462E104           23,483           1,105,081       SH
Modis Professional Services                Common Stock     607830106            1,568             173,000       SH
Morgan St Dean Witter Discover & Co        Common Stock     617446448              889               8,900       SH
Nextel Communications Inc.                 Common Stock     65332V103           48,246           1,317,300       SH
Nokia Corp. Sponsored ADR                  ADR              654902204           49,104             315,273       SH
Northeast Utilities                        Common Stock     664397106            1,487             107,150       SH
Orion Capital Corp.                        Common Stock     686268103            2,150              68,800       SH
Parker Hannifin Corp.                      Common Stock     701094104              617              18,000       SH
Peoples Heritage Financial Group Inc.      Common Stock     711147108            1,141              63,400       SH
PepsiCo, Inc.                              Common Stock     713448108           23,949             611,133       SH
Philip Morris Companies Inc.               Common Stock     718154107           16,453             467,577       SH
Phycor Inc.                                Common Stock     71940F100            1,404             295,525       SH
Players International Incorporated         Common Stock     727903106               31               4,900       SH
Procter & Gamble Co.                       Common Stock     742718109               49                 500       SH
Remedy Corp.                               Common Stock     759548100               60               4,300       SH
Royal Dutch Petroleum Co ADR               ADR              780257804              369               7,100       SH
Sara Lee Corp.                             Common Stock     803111103               79               3,200       SH
Schering-Plough Corp.                      Common Stock     806605101            3,613              65,326       SH
Schlumberger Limited                       Common Stock     806857108              710              11,800       SH
Silicon Graphics Inc.                      Common Stock     827056102            1,961             117,500       SH
Starwood Hotels & Resorts Worldwide In     Common Stock     85590A203           62,183           2,177,049       SH
Storage Technology Corp.                   Common Stock     862111200           59,383           2,130,319       SH
Sybase Inc.                                Common Stock     871130100            1,443             181,800       SH
Symantec Corp.                             Common Stock     871503108            2,159             127,450       SH
Telefonos De Mexico SA Spons ADR           ADR              879403780           23,622             360,647       SH
Tenet Healthcare Corp.                     Common Stock     88033G100               57               3,000       SH
Texaco Inc.                                Common Stock     881694103            1,385              24,400       SH
Torchmark Corp.                            Common Stock     891027104              601              19,000       SH
Toys 'R' Us Inc.                           Common Stock     892335100           64,609           3,434,276       SH
United Asset Management Corp.              Common Stock     909420101            2,040              90,150       SH
United Dominion Realty Trust               Common Stock     910197102              767              74,800       SH
United Healthcare Corp.                    Common Stock     910581107           62,368           1,185,136       SH
Unocal Corp.                               Common Stock     915289102              902              24,493       SH
WPP Group PLC - Sponsored ADR              ADR              929309300           60,501             699,435       SH
Washington Mutual Inc.                     Common Stock     939322103           65,167           1,594,298       SH

Page Total:                                                                    873,132

Wellpoint Health Networks Inc.             Common Stock     94973H108              682               9,000       SH
Wells Fargo & Co.                          Common Stock     949746101              136               3,875       SH
Western Digital Corp.                      Common Stock     958102105            9,922           1,249,880       SH
YPF Sociedad Anonima Sponsored ADR         ADR              984245100              729              23,100       SH
Zions Bancorporation                       Common Stock     989701107              446               6,700       SH
Lloyds TSB Group PLC                       Foreign Stock    G5542W106           23,442           1,544,600       SH
New Holland N.V.                           Foreign Stock    N62648105                5                 500       SH


<CAPTION>

<S>                                              <C>                              <C>     <C>          <C>
Mattel Inc.                                      X                                0       82,815       0
MedPartners, Inc.                                X                                0      296,800       0
Medtronic Inc.                                   X                                0        1,200       0
Mellon Bank Corp.                                X                                0       19,675       0
Merck & Co Inc.                                  X                                0       34,448       0
Metro Goldwyn Mayer                              X                                0       81,489       0
Fred Meyer Inc.                                  X                                0      659,662       0
Micron Electronics Inc.                          X                                0      117,600       0
Midamerican Energy Holdings                      X                                0       63,600       0
Minnesota Mining & Manufacturing Co.             X                                0        8,500       0
Mirage Resorts Inc.                              X                                0    1,105,081       0
Modis Professional Services                      X                                0      173,000       0
Morgan St Dean Witter Discover & Co              X                                0        8,900       0
Nextel Communications Inc.                       X                                0    1,317,300       0
Nokia Corp. Sponsored ADR                        X                                0      315,273       0
Northeast Utilities                              X                                0      107,150       0
Orion Capital Corp.                              X                                0       68,800       0
Parker Hannifin Corp.                            X                                0       18,000       0
Peoples Heritage Financial Group Inc.            X                                0       63,400       0
PepsiCo, Inc.                                    X                                0      611,133       0
Philip Morris Companies Inc.                     X                                0      467,577       0
Phycor Inc.                                      X                                0      295,525       0
Players International Incorporated               X                                0        4,900       0
Procter & Gamble Co.                             X                                0          500       0
Remedy Corp.                                     X                                0        4,300       0
Royal Dutch Petroleum Co ADR                     X                                0        7,100       0
Sara Lee Corp.                                   X                                0        3,200       0
Schering-Plough Corp.                            X                                0       65,326       0
Schlumberger Limited                             X                                0       11,800       0
Silicon Graphics Inc.                            X                                0      117,500       0
Starwood Hotels & Resorts Worldwide In           X                                0    2,177,049       0
Storage Technology Corp.                         X                                0    2,130,319       0
Sybase Inc.                                      X                                0      181,800       0
Symantec Corp.                                   X                                0      127,450       0
Telefonos De Mexico SA Spons ADR                 X                                0      360,647       0
Tenet Healthcare Corp.                           X                                0        3,000       0
Texaco Inc.                                      X                                0       24,400       0
Torchmark Corp.                                  X                                0       19,000       0
Toys 'R' Us Inc.                                 X                                0    3,434,276       0
United Asset Management Corp.                    X                                0       90,150       0
United Dominion Realty Trust                     X                                0       74,800       0
United Healthcare Corp.                          X                                0    1,185,136       0
Unocal Corp.                                     X                                0       24,493       0
WPP Group PLC - Sponsored ADR                    X                                0      699,435       0
Washington Mutual Inc.                           X                                0    1,594,298       0

Page Total:

Wellpoint Health Networks Inc.                   X                                0        9,000       0
Wells Fargo & Co.                                X                                0        3,875       0
Western Digital Corp.                            X                                0    1,249,880       0
YPF Sociedad Anonima Sponsored ADR               X                                0       23,100       0
Zions Bancorporation                             X                                0        6,700       0
Lloyds TSB Group PLC                             X                                0    1,544,600       0
New Holland N.V.                                 X                                0          500       0


<PAGE>


Page 4 of 4                                                                                                         1st Quarter 1999


















Page Total:                                                                     35,362


Grand Total:                                                                 2,712,367
</TABLE>

<PAGE>


Legg Mason Focus Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                  Item 1:                Item 2:    Item 3:        Item 4:      Item 5:     Item 6:   Item 7:    Item 8:
- ----------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C      Sole  Shared  None
<S>                                     <C>          <C>          <C>             <C>         <C>        <C>   <C>  <C>     <C>
ACTION PERFORMANCE COS INC              common       004933107    4,847,112.50    160,900      X         1      X
AMERICA ONLINE INC DEL                  common       02364J104    9,811,200.00     67,200      X         1      X
AMERICAN EXPRESS CO                     common       025816109   10,481,000.00     89,200      X         1      X
AVON PRODS INC                          common       054303102    5,374,537.50    114,200      X         1      X
BERKSHIRE HATHAWAY INC DEL              cl A         084670108   25,561,200.00        358      X         1      X
LLOYDS TSB GROUP                        ord shs      087061008    4,754,217.52    314,269      X         1      X
CITIGROUP INC                           common       172967101   10,940,190.62    171,275      X         1      X
FEDERAL HOME LN MTG CORP                common       313400301    9,334,225.00    163,400      X         1      X
GATEWAY 2000 INC                        common       367833100    4,888,506.25     71,300      X         1      X
HARLEY DAVIDSON INC                     common       412822108    3,542,000.00     61,600      X         1      X
INTERNATIONAL SPEEDWAY CORP             cl A         460335201    5,116,750.00     97,000      X         1      X
MCDONALDS CORP                          common       580135101    4,064,531.25     89,700      X         1      X
UNITED ASSET MGMT CORP                  common       909420101    4,696,950.00    207,600      X         1      X
WPP GROUP PLC                           spns ADR     929309300    3,667,600.00     42,400      X         1      X
                                                               ----------------
TOTAL INVESTMENTS                                               107,080,020.64
                                                               ================
</TABLE>

<PAGE>

Legg Mason Special Investment Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                Item 1:                Item 2:  Item 3:        Item 4:        Item 5:      Item 6:   Item 7:     Item 8:
- ----------------------------------------------------------------------------------------------------------------------------------
                                                                                         A      B     C       Sole   Shared  None
<S>                                  <C>         <C>         <C>              <C>         <C>         <C>     <C>    <C>     <C>
AMAZON COM INC                       common      023135AD8    25,175,000.00   20,000,000      X         1       X
AMERICA ONLINE INC DEL               common      02364J104   422,345,880.00    2,892,780      X         1       X
AMERIN CORP                          common      03070X106    37,781,250.00    1,860,000      X         1       X
BELL + HOWELL CO NEW                 common      077852101    29,312,500.00    1,000,000      X         1       X
WPP GROUP                            ord         097404008   114,875,675.47   13,250,000      X         1       X
CKE RESTAURANTS INC                  common      12561E105    11,715,700.00      593,200      X         1       X
CMAC INVT CORP                       common      125662106    27,300,000.00      700,000      X         1       X
CABLETRON SYSTEMS INC                common      126920107    29,475,000.00    3,600,000      X         1       X
CELL GENESYS INC                     common      150921104     6,048,437.50    1,225,000      X         1       X
CIRCUS CIRCUS ENTERPRISES INC        common      172909103    40,393,750.00    2,300,000      X         1       X
CONSOLIDATED STORES CORP             common      210149100    66,687,500.00    2,200,000      X         1       X
COTT CORP QUE                        common      22163N106    14,625,000.00    6,000,000      X         1       X
DYNEX CAP INC                        common      26817Q100     6,151,312.50    1,857,000      X         1       X
ENHANCE FINL SVCS GROUP INC          common      293310108    47,775,000.00    2,100,000      X         1       X
GATEWAY 2000 INC                     common      367833100   123,412,500.00    1,800,000      X         1       X
GENERAL NUTRITION COS INC            common      37047F103    25,900,000.00    1,850,000      X         1       X
HADCO CORP                           common      404681108    39,847,500.00    1,265,000      X         1       X
HOLLYWOOD ENTMT CORP                 common      436141105    44,700,000.00    2,400,000      X         1       X
HOLLYWOOD PK INC NEW                 common      436255103    25,935,937.50    2,515,000      X         1       X
ICG COMMUNICATIONS INC               common      449246107    52,000,000.00    2,600,000      X         1       X
ICO GLOBAL COMM                      1998 US     44929PAB6     7,500,000.00   15,000,000      X         1       X
INACOM CORP                          common      45323G109    20,574,049.00    2,654,716      X         1       X
LASER MTG MGMT INC                   common      51806D100     9,760,312.50    1,795,000      X         1       X
                                                           -----------------
                                                           1,229,292,304.47
LIZ CLAIBORNE INC                    common      539320101    23,966,325.00      734,600      X         1       X
MAGELLAN HEALTH SVCS INC             common      559079108     9,840,625.00    2,350,000      X         1       X
</TABLE>

<PAGE>

Legg Mason Special Investment Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                Item 1:                Item 2:  Item 3:        Item 4:        Item 5:      Item 6:   Item 7:     Item 8:
- ----------------------------------------------------------------------------------------------------------------------------------
                                                                                         A      B     C       Sole   Shared  None
<S>                                  <C>         <C>         <C>              <C>         <C>         <C>     <C>    <C>     <C>
MEDPARTNERS INC                      common      58503X107    38,000,000.00    8,000,000      X         1       X
MEGO FINL CORP                       common      585162100       234,375.00      300,000      X         1       X
MICRON ELECTRONICS INC               common      595100108    35,250,000.00    3,000,000      X         1       X
MIDAMERICA ENERGY HLDGS CO NEW       common      59562V107    43,400,000.00    1,550,000      X         1       X
MODIS PROFESSIONAL SVCS INC          common      607830106    38,589,937.50    4,258,200      X         1       X
NORTHEAST UTILS                      common      664397106    33,367,987.50    2,404,900      X         1       X
ORION CAP CORP                       common      686268103    47,656,250.00    1,525,000      X         1       X
PEOPLES HERITAGE FINL GROUP          common      711147108    28,800,000.00    1,600,000      X         1       X
PHYCOR INC                           common      71940F100    34,128,750.00    7,185,000      X         1       X
PLAYERS INTL INC                     common      727903106    15,531,250.00    2,485,000      X         1       X
REMEDY CORP                          common      759548100     5,297,600.00      378,400      X         1       X
SILICON GRAPHICS INC                 common      827056102       45,056,250    2,700,000      X         1       X
STORAGE TECHNOLOGY CORP              common      862111200       55,750,000    2,000,000      X         1       X
SYBASE INC                           common      871130100       29,368,750    3,700,000      X         1       X
SYMANTEC CORP                        common      871503108       47,425,000    2,800,000      X         1       X
UNITED ASSET MGMT CORP               common      909420101       43,598,375    1,927,000      X         1       X
WESTERN DIGITAL CORP                 common      958102105        7,404,894      932,900      X         1       X
OLSEN ASSOCIATES                     part cert   99EXMC906        2,031,901      300,000      X         1       X
                                                           -----------------
                                                             584,698,269.59
TOTAL INVESTMENTS                                          1,813,990,574.06
                                                           =================
</TABLE>

<PAGE>

Legg Mason Total Return Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
IPC HOLDINGS LTD                   common        G4933P101     9,265,725.00       466,200      X         1       X
LASALLE RE HOLDINGS LTD            common        G5383Q101     6,135,513.25       415,967      X         1       X
AMERICAN FINL GROUP INC OHIO       common        025932104    14,778,750.00       420,000      X         1       X
BANK ONE CORP                      common        06423A103    11,012,500.00       200,000      X         1       X
BANKAMERICA CORP NEW               common        06605F102    16,048,966.25       227,242      X         1       X
BEAR STEARNS COS INC               common        073902108    17,677,300.26       395,576      X         1       X
LLOYDS TSB GROUP                   ord shs       087061008    38,488,150.87     2,544,190      X         1       X
BRUNSWICK CORP                     ord shs       117043109    12,933,906.25       678,500      X         1       X
CHASE MANHATTAN CORP NEW           common        16161A108    29,272,500.00       360,000      X         1       X
CITIGROUP INC                      common        172967101    19,162,500.00       300,000      X         1       X
EDISON INTL                        common        281020107    17,466,250.00       785,000      X         1       X
ENHANCE FINL SVCS GROUP INC        common        281020107    17,872,400.00       785,600      X         1       X
FLEET FINL GROUP INC               common        338915101     8,841,875.00       235,000      X         1       X
FORD MTR CO DEL                    common        345370100    11,350,000.00       200,000      X         1       X
GENERAL MTRS CORP                  common        370442105    26,931,250.00       310,000      X         1       X
ILLINOVA CORP                      common        452317100    14,619,375.00       690,000      X         1       X
INTERNATIONAL BUSINESS MACHS       common        459200101    59,378,750.00       335,000      X         1       X
MID AMER APT CMNTYS INC            common        59522J103    14,000,625.00       655,000      X         1       X
MILLENNIUM CHEMICALS INC           common        599903101     5,638,537.50       283,700      X         1       X
NABISCO HLDGS CORP                 cl A          629526104     8,686,562.50       209,000      X         1       X
NATIONAL GOLF PPTYS INC            common        63623G109    12,337,600.00       560,800      X         1       X
NATIONWIDE HEALTH PPTYS INC        common        638620104    12,350,000.00       650,000      X         1       X
NORTHROP GRUMMAN CORP              common        666807102    22,824,350.00       381,200      X         1       X
                                                           -----------------
                                                             407,073,386.88
OLIN CORP                          common        680665205     6,202,525.00       616,400      X         1       X
PATRIOT AMERN HOSPITALITY INC      paired CTF    703352203     6,818,592.12     1,330,457      X         1       X
</TABLE>

<PAGE>

Legg Mason Total Return Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
PENNEY J C INC                     common        708160106    17,864,550.00       441,100      X         1       X
REGENCY RLTY CORP                  common        758939102    10,833,750.00       577,800      X         1       X
TANGER FACTORY OUTLET CTRS INC     common        875465106    10,029,150.00       524,400      X         1       X
TOYS R US INC                      common        892335100    21,352,187.50     1,135,000      X         1       X
TUPPERWARE CORP                    common        899896104    14,328,000.00       796,000      X         1       X
UNITED ASSET MGMT CORP             common        909420101    13,194,900.00       583,200      X         1       X
UNOCAL CORP                        common        915289102    11,595,937.50       315,000      X         1       X
WALDEN RESIDENTIAL PPTYS INC       common        931210108     7,931,250.00       450,000      X         1       X
WASHINGTON FED INC                 common        938824109    11,233,876.50       534,947      X         1       X
WASHINGTON MUT INC                 common        939322103     1,635,000.00        40,000      X         1       X
                                                           -----------------
                                                                133,019,719
TOTAL INVESTMENTS                                            540,093,105.50
                                                           =================
</TABLE>

<PAGE>

Legg Mason Value Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
AMBAC FINL GROUP INC                common        023139108    46,985,400.00      870,100       X         1     X
AMERICA ONLINE INC DEL              common        02364J104 2,058,194,120.00   14,097,220       X         1     X
AMGEN INC                           common        031162100   224,625,000.00    3,000,000       X         1     X
BANK ONE CORP                       common        06423A103    75,942,200.00    1,379,200       X         1     X
BANKAMERICA CORP NEW                common        06605F102   155,191,375.00    2,197,400       X         1     X
BANKBOSTON CORP                     common        06605R106   220,893,750.00    5,100,000       X         1     X
BEAR STEARNS COS INC                common        073902108   140,765,625.00    3,150,000       X         1     X
BERKSHIRE HATHAWAY INC DEL          cl A          084670108   292,668,600.00        4,099       X         1     X
LLOYDS TSB GROUP                    ord shs       087061008   173,450,932.80   11,465,662       X         1     X
WPP GROUP                           ord shs       097404008   267,813,477.00   30,890,165       X         1     X
CHASE MANHATTAN CORP NEW            common        16161A108   374,037,500.00    4,600,000       X         1     X
CIRCUS CIRCUS ENTERPRISES INC       common        172909103    91,325,000.00    5,200,000       X         1     X
CITIGROUP INC                       common        172967101   301,809,375.00    4,725,000       X         1     X
COMPAQ COMPUTER CORP                common        204493100   183,470,625.00    5,790,000       X         1     X
CONSECO INC                         common        208464107    30,195,750.00      978,000       X         1     X
DANAHER CORP                        common        235851102   125,400,000.00    2,400,000       X         1     X
DELL COMPUTER CORP                  common        247025109   613,125,000.00   15,000,000       X         1     X
FEDERAL HOME LN MTG CORP            common        313400301   114,250,000.00    2,000,000       X         1     X
FEDERAL NATL MTG ASSN               common        313586109   221,600,000.00    3,200,000       X         1     X
FIRST DATA CORP                     common        319963104    74,209,725.00    1,735,900       X         1     X
                                                            -----------------
                                                            5,785,953,454.80
FLEET FINL GROUP INC                common        338915101    50,353,537.50    1,338,300       X         1     X
FOUNDATION HEALTH SYS INC           common        350404109   107,310,937.50    8,805,000       X         1     X
</TABLE>

<PAGE>

Legg Mason Value Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
GATEWAY 2000 INC                    common        367833100   294,818,750.00    4,300,000       X         1     X
GENERAL MTRS CORP                   spnsr ADR     370442105   182,437,500.00    2,100,000       X         1     X
HILTON HOTELS CORP                  common        432848109    70,664,062.50    5,025,000       X         1     X
INTERNATIONAL BUSINESS MACHS        common        459200101   225,993,750.00    1,275,000       X         1     X
KONINKLIJKE PHILIPS ELECTRS NV      spnsr ADR     500472105   208,154,687.50    2,525,000       X         1     X
KROGER CO                           common        501044101   149,687,500.00    2,500,000       X         1     X
LEARNING CO INC                     common        522008101   124,700,000.00    4,300,000       X         1     X
MBIA INC                            common        55262C100    35,090,000.00      605,000       X         1     X
MBNA CORP                           common        55262L100   152,038,817.30    6,368,118       X         1     X
MCI WORLDCOM INC                    common        55268B106   281,466,149.30    3,178,164       X         1     X
MGIC INVT CORP WIS                  common        552848103   199,856,250.00    5,700,000       X         1     X
MGM GRAND INC                       common        552953101    86,416,250.00    2,570,000       X         1     X
METRO GOLDWYN MAYER INC NEW         common        591610100    36,051,750.00    2,746,800       X         1     X
MIRAGE RESORTS INC                  common        6.05E+108   108,589,625.00    5,110,100       X         1     X
NEXTEL COMMUNICATIONS INC           common        65332V103   175,800,000.00    4,800,000       X         1     X
NOKIA CORP                          spnsr ADR     654902204   233,625,000.00    1,500,000       X         1     X
PEPSICO INC                         common        713448108    66,618,750.00    1,700,000       X         1     X
PHILIP MORRIS COS INC               common        718154107    92,754,250.00    2,636,000       X         1     X
                                                            -----------------
                                                            2,882,427,566.60
STARWOOD HOTELS + RESORTS           CL B          85590A203   234,212,500.00    8,200,000       X         1     X
STORAGE TECHNOLOGY CORP             common        862111200   183,975,000.00    6,600,000       X         1     X
TELEFONOS DE MEXICO S A             spnsr ADR     879403780   104,800,000.00    1,600,000       X         1     X
TOYS R US INC                       common        892335100   188,125,000.00   10,000,000       X         1     X
</TABLE>

<PAGE>

Legg Mason Value Trust
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
UNITED HEALTHCARE CORP              common        910581107   231,550,000.00    4,400,000       X         1     X
WASHINGTON MUT INC                  common        939322103   220,728,270.00    5,400,080       X         1     X
WESTERN DIGITAL CORP                common        958102105    31,750,000.00    4,000,000       X         1     X
ZIONS BANCORP                       common        989701107    93,286,200.00    1,402,800
                                                            -----------------
                                                            1,288,426,970.00
TOTAL INVESTMENTS                                           9,956,807,991.40
                                                            =================
</TABLE>

<PAGE>

Legg Mason American Leading Companies
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
AMR CORP DEL                            common   001765106    4,567,875.00      78,000        X           1     X
AT + T CORP                             common   001957109    4,788,750.00      60,000        X           1     X
AMERICA ONLINE INC DEL                  common   02364J104   23,652,000.00     162,000        X           1     X
AMERICAN INTL GROUP INC                 common   026874107    1,338,937.50      11,100        X           1     X
AMGEN INC                               common   031162100    9,134,750.00     122,000        X           1     X
AVON PRODS INC                          common   054303102    5,882,812.50     125,000        X           1     X
BANK ONE CORP                           common   06423A103    6,827,750.00     124,000        X           1     X
BANKAMERICA CORP NEW                    common   06605F102    5,194,751.25      73,554        X           1     X
BERKSHIRE HATHAWAY INC DEL             cl B      084670207    6,112,600.00       2,450        X           1     X
BRISTOL MYERS SQUIBB CO                 common   110122108    5,235,037.50      81,400        X           1     X
BURLINGTON NORTHN SANTA FE              common   12189T104    4,438,125.00     135,000        X           1     X
CHASE MANHATTAN CORP NEW                common   16161A108   10,814,562.50     133,000        X           1     X
CISCO SYS INC                           common   17275R102    3,286,875.00      30,000        X           1     X
CITIGROUP INC                           common   172967101   11,305,875.00     177,000        X           1     X
COMPAQ COMPUTER CORP                    common   204493100    5,070,000.00     160,000        X           1     X
CONSECO INC                             common   208464107    6,175,000.00     200,000        X           1     X
DOLE FOOD INC                           common   256605106    5,652,500.00     175,000        X           1     X
EQUITY OFFICE PPTYS TR                  common   294741103    3,561,250.00     140,000        X           1     X
EXXON CORP                              common   302290101    1,023,156.25      14,500        X           1     X
FEDERAL NATL MTG ASSN                   common   313586109    3,462,500.00      50,000        X           1     X
                                                           ----------------
                                                            127,525,107.50
FORD MTR CO DEL                         common   345370100    1,418,750.00      25,000        X           1     X
FOUNDATION HEALTH SYS INC               common   350404109    6,093,750.00     500,000        X           1     X
</TABLE>

<PAGE>

Legg Mason American Leading Companies
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
GENERAL ELEC CO                         common   369604103    2,765,625.00      25,000        X           1     X
GENERAL MTRS CORP                       common   370442105    4,343,750.00      50,000        X           1     X
HEWLETT PACKARD CO                      common   428236103    1,173,156.25      17,300        X           1     X
HILTON HOTELS CORP                      common   432848109    1,406,250.00     100,000        X           1     X
INTEL CORP                              common   458140100    7,147,500.00      60,000        X           1     X
INTERNATIONAL BUSINESS MACHS            common   459200101   10,635,000.00      60,000        X           1     X
JOHNSON + JOHNSON                       common   478160104    1,330,362.50      14,200        X           1     X
KIMBERLY CLARK CORP                     common   494368103    2,396,875.00      50,000        X           1     X
KONINKLIJKE PHILIPS ELECTRS NV        spns ADR   500472105   11,129,062.50     135,000        X           1     X
LEARNING CO INC                         common   522008101    2,465,000.00      85,000        X           1     X
MCI WORLDCOM INC                        common   55268B106   13,461,500.00     152,000        X           1     X
MGIC INVT CORP WIS                      common   552848103    3,856,875.00      95,000        X           1     X
MATTEL INC                              common   577081102    7,462,500.00     300,000        X           1     X
MELLON BK CORP                          common   585509102    2,815,000.00      40,000        X           1     X
MERCK + CO INC                          common   589331107    6,254,625.00      78,000        X           1     X
MICROSOFT CORP                          common   594918104    1,792,500.00      20,000        X           1     X
MINNESOTA MNG + MFG CO                  common   604059105    1,981,000.00      28,000        X           1     X
PEPSICO INC                             common   713448108    3,722,812.50      95,000        X           1     X
                                                           ----------------
                                                             93,651,893.75
PFIZER INC                              common   717081103    1,359,750.00       9,800        X           1     X
PHILIP MORRIS COS INC                   common   718154107    5,383,687.50     153,000        X           1     X
PROCTER + GAMBLE CO                     common   742718109    1,136,075.00      11,600        X           1     X
SARA LEE CORP                           common   803111103      990,000.00      20,000        X           1     X
</TABLE>

<PAGE>

Legg Mason American Leading Companies
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
SCHERING PLOUGH CORP                    common   806605101    5,144,062.50      93,000        X           1     X
SCHLUMBERGER LTD                        common   806857108    2,407,500.00      40,000        X           1     X
STARWOOD HOTELS + RESORTS                 cl B   85590A203    6,055,250.00     212,000        X           1     X
STORAGE TECHNOLOGY CORP                 common   862111200    5,296,250.00     175,062        X           1     X
TEXACO INC                              common   881694103    2,270,000.00      40,000        X           1     X
TOYS R US INC                           common   892335100    4,063,500.00     216,000        X           1     X
UNITED HEALTHCARE CORP                  common   910581107    6,841,250.00     130,000        X           1     X
WAL MART STORES INC                     common   931142103    1,567,187.50      17,000        X           1     X
WASHINGTON MUT INC                      common   939322103    5,406,618.00     132,272        X           1     X
                                                           ----------------
                                                             47,921,130.50
TOTAL INVESTMENTS                                           269,098,131.75
                                                           ================
</TABLE>

<PAGE>

LM Value Institutional Portfolio
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:            Item 2:     Item 3:        Item 4:         Item 5:      Item 6:   Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                <C>          <C>          <C>               <C>          <C>      <C>       <C>    <C>     <C>
AMBAC FINL GROUP INC                       common      023139108        567,648.00     10,512        X           1     X
AMERICA ONLINE INC DEL                     common      02364J104     24,866,136.00    170,316        X           1     X
AMGEN INC                                  common      031162100      2,737,430.00     36,560        X           1     X
BANK ONE CORP                              common      06423A103      1,319,407.62     23,962        X           1     X
BANKAMERICA CORP NEW                       common      06605F102      1,874,952.50     26,548        X           1     X
BANKBOSTON CORP                            common      06605R106      2,616,421.50     60,408        X           1     X
BEAR STEARNS COS INC                       common      073902108      1,700,672.18     38,057        X           1     X
BERKSHIRE HATHAWAY INC DEL                 cl A        084670108      3,641,400.00         51        X           1     X
LLOYDS TSB GROUP                           ord shs     087061008      1,991,219.74    131,626        X           1     X
WPP GROUP                                  ord shs     097404008      3,074,489.23    354,618        X           1     X
CHASE MANHATTAN CORP NEW                   common      16161A108      4,518,942.18     55,575        X           1     X
CIRCUS CIRCUS ENTERPRISES INC              common      172909103      1,155,735.44     65,807        X           1     X
CITIGROUP INC                              common      172967101      3,646,304.37     57,085        X           1     X
COMPAQ COMPUTER CORP                       common      204493100      2,216,604.00     69,952        X           1     X
CONSECO INC                                common      208464107        526,449.62     17,051        X           1     X
DANAHER CORP                               common      235851102      1,515,041.00     28,996        X           1     X
DELL COMPUTER CORP                         common      247025109      7,407,490.12    181,223        X           1     X
FEDERAL HOME LN MTG CORP                   common      313400301      1,392,307.62     24,373        X           1     X
FEDERAL NATL MTG ASSN                      common      313586109      2,700,542.25     38,997        X           1     X
FIRST DATA CORP                            common      319963104        896,553.00     20,972        X           1     X
                                                                 ------------------
                                                                     70,365,746.37
FLEET FINL GROUP INC                       common      338915101        608,358.62     16,169        X           1     X
FOUNDATION HEALTH SYS INC                  common      350404109      1,296,481.87    106,378        X           1     X
</TABLE>

<PAGE>

LM Value Institutional Portfolio
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:                  Item 2:     Item 3:         Item 4:         Item 5:     Item 6:     Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                         <C>        <C>            <C>              <C>      <C>   <C>      <C>    <C>     <C>
GATEWAY 2000 INC                           common      367833100      3,561,890.43     51,951        X           1     X
GENERAL MTRS CORP                          common      370442105      2,204,105.62     25,371        X           1     X
HILTON HOTELS CORP                         common      432848109        853,734.37     60,710        X           1     X
INTERNATIONAL BUSINESS MACHS               common      459200101      2,730,359.00     15,404        X           1     X
KONINKLIJKE PHILIPS ELECTRS NV             spnsr ADR   500472105      2,514,838.37     30,506        X           1     X
KROGER CO                                  common      501044101      1,824,151.75     30,466        X           1     X
LEARNING CO INC                            common      522008101      1,378,689.00     47,541        X           1     X
MBIA INC                                   common      55262C100        423,922.00      7,309        X           1     X
MBNA CORP                                  common      55262L100      1,836,870.87     76,937        X           1     X
MCI WORLDCOM INC                           common      55268B106      3,430,114.19     38,731        X           1     X
MGIC INVT CORP WIS                         common      552848103      2,372,223.56     67,657        X           1     X
MGM GRAND INC                              common      552953101      1,053,101.38     31,319        X           1     X
METRO GOLDWYN MAYER INC NEW                common      591610100        435,566.25     33,186        X           1     X
MIRAGE RESORTS INC                         common      60462E104      1,323,322.50     62,274        X           1     X
NEXTEL COMMUNICATIONS INC                  cl A        65332V103      2,057,555.87     56,179        X           1     X
NOKIA CORP                                 spnsr ADR   654902204      2,822,501.50     18,122        X           1     X
PEPSICO INC                                common      713448108        811,847.44     20,717        X           1     X
PHILIP MORRIS COS INC                      common      718154107      1,120,616.31     31,847        X           1     X
                                                                 ------------------
                                                                     34,660,250.90
STARWOOD HOTELS + RESORTS                  cl B        85590A203      2,854,250.62     99,930        X           1     X
STORAGE TECHNOLOGY CORP                    common      862111200      2,222,696.75     79,738        X           1     X
TELEFONOS DE MEXICO S A                    spnsr ADR   879403780      1,266,115.00     19,330        X           1     X
TOYS R US INC                              common      892335100      2,272,851.00    120,816        X           1     X
</TABLE>

<PAGE>

LM Value Institutional Portfolio
3/31/99

Item 1: Name of Issuer
Item 2: Title of Class
Item 3: CUSIP Number
Item 4: Fair Market Value
Item 5: Shares or Principal Amount
Item 6: Investment Discretion
Item 7: Other Managers
Item 8: Voting Authority (Shares)

<TABLE>
<CAPTION>
                 Item 1:                  Item 2:     Item 3:        Item 4:          Item 5:      Item 6:    Item 7:     Item 8:
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          A      B     C       Sole   Shared  None
<S>                                       <C>         <C>             <C>               <C>     <C>   <C>      <C>    <C>     <C>
UNITED HEALTHCARE CORP                     common      910581107      2,797,492.37     53,159        X           1     X
WASHINGTON MUT INC                         common      939322103      2,666,725.87     65,241        X           1     X
WESTERN DIGITAL CORP                       common      958102105        383,587.62     48,326        X           1     X
ZIONS BANCORP                              common      989701107      1,127,042.00     16,948        X           1     X
                                                                 ------------------
                                                                     15,590,761.23
TOTAL INVESTMENTS                                                   120,616,758.50
                                                                 ==================
</TABLE>

<PAGE>

<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
AAR Corp.                                      Common Stock               000361105                       4           225    SH
ABR Information Services Inc.                  Common Stock               00077R108                       3           200    SH
A D C Telecommunications Inc.                  Common Stock               000886101                     173         3,624    SH
Acm Government Income Fund Inc.                Common Stock               000912105                      29         3,400    SH
ABN Amro Hldg NV Sponsored ADR                 ADR                        000937102                      96         4,645    SH
AFC Cable Systems Inc.                         Common Stock               000950105                       9           300    SH
ABM Industries Inc.                            Common Stock               000957100                      74         2,420    SH
Aflac Corp. New                                Common Stock               001055102                     596        10,944    SH
Agco Corp.                                     Common Stock               001084102                     199        30,280    SH
AGL Resources Inc.                             Common Stock               001204106                     138         7,875    SH
The AES Corp.                                  Common Stock               00130H105                   1,337        35,882    SH
AK Steel Holding Corp.                         Common Stock               001547108                      27         1,200    SH
AMB Ppty Corp 8.50% Cum Red                    Preferred Stock            00163T208                      48         2,100    SH
AMR Corp.                                      Common Stock               001765106                   1,716        29,300    SH
ANZ Exch Pfd Trust 8%                          Preferred Stock            001823202                      20           800    SH
ARC International Corp.                        Common Stock               001905108                       0           200    SH
APS Holding Corp.                              Common Stock               001937101                       0         1,150    SH
ATS Automation Tooling Systems                 Common Stock               001940105                       4           600    SH
ARM Financial Group                            Common Stock               001944107                      30         2,000    SH
AT & T Corp.                                   Common Stock               001957109                  11,894       149,026    SH
AT&T Corp - Liberty Media - A                  Common Stock               001957208                      47           896    SH
APT Satellite Holdings Ltd ADR                 ADR                        00203R105                     110        44,000    SH
ASA Ltd                                        Common Stock               002050102                      12           700    SH
AT&T Capital Corp. 8.25% Pfd Sr                Preferred Stock            00206J209                     169         6,500    SH
AT&T Cap Corp 8.125%                           Preferred Stock            00206J308                      78         3,000    SH
ATG Inc.                                       Common Stock               00206P106                      10         1,500    SH
ATL Ultrasound Inc.                            Common Stock               00207N100                       5           100    SH
AVX Corporation                                Common Stock               002444107                      16         1,000    SH
Abbott Laboratories                            Common Stock               002824100                   7,985       170,572    SH
Abercrombie & Fitch Co Cl A                    Common Stock               002896207                      43           465    SH
Abacan Resource Corp. New                      Foreign Stock              002919108                       3        19,680    SH
ABN AMRO Capital FDG Trust I 7.5% Pfd          Preferred Stock            00371Q202                      45         1,800    SH
ACNielsen Corp.                                Common Stock               004833109                       1            50    SH
Action Performance Cos Inc.                    Common Stock               004933107                     108         3,600    SH
ACX Technologies Inc.                          Common Stock               005123104                       1           100    SH
ADAC Laboratories New                          Common Stock               005313200                      66         4,850    SH
Adams Express                                  Common Stock               006212104                       8           282    SH
Adams Golf Inc                                 Common Stock               006228100                       1           200    SH
Adaptec Inc.                                   Common Stock               00651F108                      20           875    SH
Adobe Systems Inc.                             Common Stock               00724F101                     369         6,509    SH
Adtran Inc.                                    Common Stock               00738A106                       9           550    SH
Advanced Communication System Inc              Common Stock               00750X109                       5           400    SH
Advanced Fibre Communication                   Common Stock               00754A105                       6           600    SH
Advanced Radio Telecom Corp                    Common Stock               00754U101                      12         1,000    SH

Page Total:                                                                                          25,527

Advo Inc                                       Common Stock               007585102                      19         1,000    SH
Aerial Communications Inc.                     Common Stock               007655103                      47         6,000    SH
Aeroflex Inc.                                  Common Stock               007768104                      14         1,000    SH


<CAPTION>


                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
AAR Corp.                                                    X                                    0        225          0
ABR Information Services Inc.                                X                                    0        200          0
A D C Telecommunications Inc.                                X                                    0      3,624          0
Acm Government Income Fund Inc.                              X                                    0      3,400          0
ABN Amro Hldg NV Sponsored ADR                               X                                    0      4,645          0
AFC Cable Systems Inc.                                       X                                    0        300          0
ABM Industries Inc.                                          X                                    0      2,420          0
Aflac Corp. New                                              X                                    0     10,944          0
Agco Corp.                                                   X                                    0     30,280          0
AGL Resources Inc.                                           X                                    0      7,875          0
The AES Corp.                                                X                                    0     35,882          0
AK Steel Holding Corp.                                       X                                    0      1,200          0
AMB Ppty Corp 8.50% Cum Red                                  X                                    0      2,100          0
AMR Corp.                                                    X                                    0     29,300          0
ANZ Exch Pfd Trust 8%                                        X                                    0        800          0
ARC International Corp.                                      X                                    0        200          0
APS Holding Corp.                                            X                                    0      1,150          0
ATS Automation Tooling Systems                               X                                    0        600          0
ARM Financial Group                                          X                                    0      2,000          0
AT & T Corp.                                                 X                                    0    149,026          0
AT&T Corp - Liberty Media - A                                X                                    0        896          0
APT Satellite Holdings Ltd ADR                               X                                    0     44,000          0
ASA Ltd                                                      X                                    0        700          0
AT&T Capital Corp. 8.25% Pfd Sr                              X                                    0      6,500          0
AT&T Cap Corp 8.125%                                         X                                    0      3,000          0
ATG Inc.                                                     X                                    0      1,500          0
ATL Ultrasound Inc.                                          X                                    0        100          0
AVX Corporation                                              X                                    0      1,000          0
Abbott Laboratories                                          X                                    0    170,572          0
Abercrombie & Fitch Co Cl A                                  X                                    0        465          0
Abacan Resource Corp. New                                    X                                    0     19,680          0
ABN AMRO Capital FDG Trust I 7.5% Pfd                        X                                    0      1,800          0
ACNielsen Corp.                                              X                                    0         50          0
Action Performance Cos Inc.                                  X                                    0      3,600          0
ACX Technologies Inc.                                        X                                    0        100          0
ADAC Laboratories New                                        X                                    0      4,850          0
Adams Express                                                X                                    0        282          0
Adams Golf Inc                                               X                                    0        200          0
Adaptec Inc.                                                 X                                    0        875          0
Adobe Systems Inc.                                           X                                    0      6,509          0
Adtran Inc.                                                  X                                    0        550          0
Advanced Communication System Inc                            X                                    0        400          0
Advanced Fibre Communication                                 X                                    0        600          0
Advanced Radio Telecom Corp                                  X                                    0      1,000          0


Advo Inc                                                     X                                    0      1,000          0
Aerial Communications Inc.                                   X                                    0      6,000          0
Aeroflex Inc.                                                X                                    0      1,000          0
</TABLE>

<PAGE>
Page 2 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Aeroquip Vickers Inc.                          Common Stock               007869100                       6           100    SH
Advanced Micro Devices Inc.                    Common Stock               007903107                     541        34,915    SH
Aegon N V                                      ADR                        007924103                     301         3,349    SH
Advanta Corp. CL A                             Common Stock               007942105                      15         1,322    SH
Aetna Capital LLC 9.50% Cum Monthly            Preferred Stock            008095200                      26         1,000    SH
Aetna Inc.                                     Common Stock               008117103                     904        10,890    SH
Aetna Inc. PFD Class C 6.25%                   Preferred Stock            008117202                     162         2,143    SH
Affiliated Computer Services                   Common Stock               008190100                   1,199        26,206    SH
Affiliated Managers Group                      Common Stock               008252108                      16           600    SH
Agnico-Eagle Mines Ltd N E                     Common Stock               008474108                       3           500    SH
Agouron Pharmaceuticals Inc.                   Common Stock               008488108                      35           620    SH
Agribiotech Inc                                Common Stock               008494106                       3           425    SH
Agrium Inc Canadian Orig PFD                   Preferred Stock            008916207                      25         1,000    SH
Air Products and Chemicals, Inc.               Common Stock               009158106                     119         3,460    SH
Airborne Freight Corp.                         Common Stock               009266107                     226         7,250    SH
Airtran Holdings Inc.                          Common Stock               00949P108                      10         2,500    SH
Airtouch Communications Inc.                   Common Stock               00949T100                   1,319        13,652    SH
Airtouch Communications 4.25%                  Preferred Stock            00949T308                      74           550    SH
AKZO Nobel NV Spons ADR                        ADR                        010199305                       7           192    SH
Alabama Power Capt Trust II                    Preferred Stock            010388205                      51         2,000    SH
Alabama Power Co. 7.00% Ser B Pfd              Preferred Stock            010392637                      40         1,600    SH
Alabama Power Co 7.125% Senior                 Preferred Stock            010392645                       9           350    SH
Alaska Air Group Inc.                          Common Stock               011659109                     176         3,700    SH
Albemarle Corp.                                Common Stock               012653101                       6           302    SH
Alberto Culver Co Cl B Conv                    Common Stock               013068101                       5           200    SH
Alberto Culver Co. Cl A                        Common Stock               013068200                      61         2,860    SH
Albertson's Inc.                               Common Stock               013104104                   1,405        25,867    SH
Alcan Aluminium Ltd                            Common Stock               013716105                      39         1,500    SH
Alcide Corp.                                   Common Stock               013742507                       4           278    SH
Alcoa Inc.                                     Common Stock               013817101                     138         3,348    SH
Alcatel Alsthom Sponsored ADR                  ADR                        013904305                     163         7,133    SH
Alexandria Real Estate Equities Inc.           Common Stock               015271109                      11           400    SH
Aliant Communications Inc.                     Common Stock               016090102                      12           300    SH
Allegheny Energy Inc.                          Common Stock               017361106                     614        20,816    SH
Allegheny Teledyne Inc.                        Common Stock               017415100                      78         4,105    SH
Allen Organ Co Class B                         Common Stock               017753104                      32           850    SH
Allen Telecom Inc.                             Common Stock               018091108                      12         1,900    SH
Allergan Inc.                                  Common Stock               018490102                       4            50    SH
Alliance Communications Corp.                  Common Stock               01853E204                     331        21,000    SH
Alliance Capital Management - LP               Limited Partner            018548107                     105         4,150    SH
Allico Corp.                                   Common Stock               018836106                       0        10,000    SH
Allied Capital Corp.                           Common Stock               01903Q108                     331        18,037    SH
Allied Signal Corp.                            Common Stock               019512102                   7,686       156,261    SH
Allied Waste Inds Inc. Com New                 Common Stock               019589308                     150        10,405    SH
Allied Zurich PLC Sponsored ADR                ADR                        01959Q101                      76         2,829    SH
The Allstate Corp.                             Common Stock               020002101                   3,938       106,247    SH
Allstate Corp. - 7.125% Sr Qtrly In            Preferred Stock            020002200                      19           749    SH
Allstate Financing I 7.95% Cum                 Preferred Stock            020013207                     256         9,950    SH

Page Total:                                                                                          20,820

Alltel Corp.                                   Common Stock               020039103                     499         7,999    SH
Alpha Beta Technology Inc.                     Common Stock               02071K105                       0           400    SH
Alphanet Solutions Inc.                        Common Stock               020787107                       4         1,000    SH
Alpine Mining co.                              Common Stock               020845103                       0        12,500    SH
Altera Corp.                                   Common Stock               021441100                      45           754    SH
ALZA Corp. Com                                 Common Stock               022615108                     103         2,705    SH

<CAPTION>


                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Aeroquip Vickers Inc.                                        X                                    0        100          0
Advanced Micro Devices Inc.                                  X                                    0     34,915          0
Aegon N V                                                    X                                    0      3,349          0
Advanta Corp. CL A                                           X                                    0      1,322          0
Aetna Capital LLC 9.50% Cum Monthly                          X                                    0      1,000          0
Aetna Inc.                                                   X                                    0     10,890          0
Aetna Inc. PFD Class C 6.25%                                 X                                    0      2,143          0
Affiliated Computer Services                                 X                                    0     26,206          0
Affiliated Managers Group                                    X                                    0        600          0
Agnico-Eagle Mines Ltd N E                                   X                                    0        500          0
Agouron Pharmaceuticals Inc.                                 X                                    0        620          0
Agribiotech Inc                                              X                                    0        425          0
Agrium Inc Canadian Orig PFD                                 X                                    0      1,000          0
Air Products and Chemicals, Inc.                             X                                    0      3,460          0
Airborne Freight Corp.                                       X                                    0      7,250          0
Airtran Holdings Inc.                                        X                                    0      2,500          0
Airtouch Communications Inc.                                 X                                    0     13,652          0
Airtouch Communications 4.25%                                X                                    0        550          0
AKZO Nobel NV Spons ADR                                      X                                    0        192          0
Alabama Power Capt Trust II                                  X                                    0      2,000          0
Alabama Power Co. 7.00% Ser B Pfd                            X                                    0      1,600          0
Alabama Power Co 7.125% Senior                               X                                    0        350          0
Alaska Air Group Inc.                                        X                                    0      3,700          0
Albemarle Corp.                                              X                                    0        302          0
Alberto Culver Co Cl B Conv                                  X                                    0        200          0
Alberto Culver Co. Cl A                                      X                                    0      2,860          0
Albertson's Inc.                                             X                                    0     25,867          0
Alcan Aluminium Ltd                                          X                                    0      1,500          0
Alcide Corp.                                                 X                                    0        278          0
Alcoa Inc.                                                   X                                    0      3,348          0
Alcatel Alsthom Sponsored ADR                                X                                    0      7,133          0
Alexandria Real Estate Equities Inc.                         X                                    0        400          0
Aliant Communications Inc.                                   X                                    0        300          0
Allegheny Energy Inc.                                        X                                    0     20,816          0
Allegheny Teledyne Inc.                                      X                                    0      4,105          0
Allen Organ Co Class B                                       X                                    0        850          0
Allen Telecom Inc.                                           X                                    0      1,900          0
Allergan Inc.                                                X                                    0         50          0
Alliance Communications Corp.                                X                                    0     21,000          0
Alliance Capital Management - LP                             X                                    0      4,150          0
Allico Corp.                                                 X                                    0     10,000          0
Allied Capital Corp.                                         X                                    0     18,037          0
Allied Signal Corp.                                          X                                    0    156,261          0
Allied Waste Inds Inc. Com New                               X                                    0     10,405          0
Allied Zurich PLC Sponsored ADR                              X                                    0      2,829          0
The Allstate Corp.                                           X                                    0    106,247          0
Allstate Corp. - 7.125% Sr Qtrly In                          X                                    0        749          0
Allstate Financing I 7.95% Cum                               X                                    0      9,950          0


Alltel Corp.                                                 X                                    0      7,999          0
Alpha Beta Technology Inc.                                   X                                    0        400          0
Alphanet Solutions Inc.                                      X                                    0      1,000          0
Alpine Mining co.                                            X                                    0     12,500          0
Altera Corp.                                                 X                                    0        754          0
ALZA Corp. Com                                               X                                    0      2,705          0
</TABLE>


<PAGE>
Page 3 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Amazon.com, Inc.                               Common Stock               023135106                     297         1,726    SH
Ambac Financial Group Inc 7.08%                Preferred Stock            023139306                     151         6,000    SH
Ambase Corporation                             Common Stock               023164106                       0            40    SH
Amcast Industrial Corp                         Common Stock               023395106                       8           477    SH
Ameren Corp.                                   Common Stock               023608102                      82         2,256    SH
America Online Inc.                            Common Stock               02364J104                  48,033       328,991    SH
America West Holdings Corp.                    Common Stock               023657208                       2           100    SH
American Annuity Group Inc.                    Common Stock               023840101                       6           290    SH
America First Financial Fd 1987-A LP           Limited Partner            023913106                       0         2,000    SH
America First Mortgage Invst                   Common Stock               023934102                      16         3,400    SH
American Bancorporation Cap Trust I            Preferred Stock            024075202                     132        13,400    SH
American Bankers Insurance Group, Inc.         Common Stock               024456105                     179         3,450    SH
American Capital Strategies                    Common Stock               024937104                     575        33,600    SH
American Electric Power Co                     Common Stock               025537101                     409        10,311    SH
American Express Co.                           Common Stock               025816109                   4,436        37,753    SH
American Express Co Cap Tr 1 7%                Preferred Stock            02583Y205                       9           350    SH
American Financial Group Inc.                  Common Stock               025932104                     214         6,075    SH
American Financial Cap Trust                   Preferred Stock            026077206                      95         3,610    SH
American General Corp.                         Common Stock               026351106                     950        13,470    SH
American Health Properties                     Common Stock               026494104                      95         5,248    SH
American Health Prop Dep Shares                Common Stock               026494302                       0           150    SH
American Health Prop Inc.                      Preferred Stock            026494401                      30         1,550    SH
American Healthcorp, Inc.                      Common Stock               02649V104                     439        57,535    SH
American Home Products Corp.                   Common Stock               026609107                   9,473       145,186    SH
American Homestar Corp                         Common Stock               026651109                      37         5,000    SH
American International Group Inc.              Common Stock               026874107                   4,543        37,659    SH
American Management Systems Inc.               Common Stock               027352103                   3,142        92,065    SH
American Medical Electronics                   Common Stock               027425776                       0         2,500    SH
American Medical Electronics                   Common Stock               027425990                       0         2,500    SH
American Patents Unlimited Inc                 Common Stock               028829109                       0        16,000    SH
American Oncology Res Inc.                     Common Stock               028910107                      16         1,750    SH
American Residential Services Inc.             Common Stock               028911105                       7         1,250    SH
American Retirement Corp.                      Common Stock               028913101                      18         1,280    SH
American Power Conversion                      Common Stock               029066107                       3           100    SH
American Precision Industries                  Common Stock               029069101                     137        14,200    SH
American Re Capital Cum Income                 Preferred Stock            029162203                       8           300    SH
American Science & Engineering Inc             Common Stock               029429107                       1           100    SH
American Skiing Co.                            Common Stock               029654308                       3           800    SH
American Software CL A                         Common Stock               029683109                       3         1,000    SH
American Standard Companies Inc.               Common Stock               029712106                     139         4,032    SH
American States Water Company                  Common Stock               029899101                      67         2,775    SH
American Tower System Corp Cl A                Common Stock               029912201                      15           600    SH
American Stores Co                             Common Stock               030096101                      39         1,180    SH
American Superconductor Corp.                  Common Stock               030111108                      70         7,700    SH
American Water Works Co Inc.                   Common Stock               030411102                     156         5,360    SH

Page Total:                                                                                          74,683

Americredit Corp.                              Common Stock               03060R101                      49         3,700    SH
Amerilink Corp.                                Common Stock               03070N108                       1           100    SH
Amerin Corp.                                   Common Stock               03070X106                     531        26,125    SH
Ameron Inc.                                    Common Stock               030710107                      57         1,596    SH
Ameritrade Holding Corp.  Class A              Common Stock               03072H109                     161         2,600    SH
Amerus Life Holdings Inc.  Class A             Common Stock               030732101                       4           185    SH
Ameritech Corp.                                Common Stock               030954101                   2,561        44,242    SH
Ametek Inc. New                                Common Stock               031100100                      31         1,700    SH
AMF Bowling Inc.                               Common Stock               03113V109                       8         2,000    SH

<CAPTION>


                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Amazon.com, Inc.                                             X                                    0      1,726          0
Ambac Financial Group Inc 7.08%                              X                                    0      6,000          0
Ambase Corporation                                           X                                    0         40          0
Amcast Industrial Corp                                       X                                    0        477          0
Ameren Corp.                                                 X                                    0      2,256          0
America Online Inc.                                          X                                    0    328,991          0
America West Holdings Corp.                                  X                                    0        100          0
American Annuity Group Inc.                                  X                                    0        290          0
America First Financial Fd 1987-A LP                         X                                    0      2,000          0
America First Mortgage Invst                                 X                                    0      3,400          0
American Bancorporation Cap Trust I                          X                                    0     13,400          0
American Bankers Insurance Group, Inc.                       X                                    0      3,450          0
American Capital Strategies                                  X                                    0     33,600          0
American Electric Power Co                                   X                                    0     10,311          0
American Express Co.                                         X                                    0     37,753          0
American Express Co Cap Tr 1 7%                              X                                    0        350          0
American Financial Group Inc.                                X                                    0      6,075          0
American Financial Cap Trust                                 X                                    0      3,610          0
American General Corp.                                       X                                    0     13,470          0
American Health Properties                                   X                                    0      5,248          0
American Health Prop Dep Shares                              X                                    0        150          0
American Health Prop Inc.                                    X                                    0      1,550          0
American Healthcorp, Inc.                                    X                                    0     57,535          0
American Home Products Corp.                                 X                                    0    145,186          0
American Homestar Corp                                       X                                    0      5,000          0
American International Group Inc.                            X                                    0     37,659          0
American Management Systems Inc.                             X                                    0     92,065          0
American Medical Electronics                                 X                                    0      2,500          0
American Medical Electronics                                 X                                    0      2,500          0
American Patents Unlimited Inc                               X                                    0     16,000          0
American Oncology Res Inc.                                   X                                    0      1,750          0
American Residential Services Inc.                           X                                    0      1,250          0
American Retirement Corp.                                    X                                    0      1,280          0
American Power Conversion                                    X                                    0        100          0
American Precision Industries                                X                                    0     14,200          0
American Re Capital Cum Income                               X                                    0        300          0
American Science & Engineering Inc                           X                                    0        100          0
American Skiing Co.                                          X                                    0        800          0
American Software CL A                                       X                                    0      1,000          0
American Standard Companies Inc.                             X                                    0      4,032          0
American States Water Company                                X                                    0      2,775          0
American Tower System Corp Cl A                              X                                    0        600          0
American Stores Co                                           X                                    0      1,180          0
American Superconductor Corp.                                X                                    0      7,700          0
American Water Works Co Inc.                                 X                                    0      5,360          0


Americredit Corp.                                            X                                    0      3,700          0
Amerilink Corp.                                              X                                    0        100          0
Amerin Corp.                                                 X                                    0     26,125          0
Ameron Inc.                                                  X                                    0      1,596          0
Ameritrade Holding Corp.  Class A                            X                                    0      2,600          0
Amerus Life Holdings Inc.  Class A                           X                                    0        185          0
Ameritech Corp.                                              X                                    0     44,242          0
Ametek Inc. New                                              X                                    0      1,700          0
AMF Bowling Inc.                                             X                                    0      2,000          0
</TABLE>


<PAGE>
Page 4 of 63
<TABLE>
<CAPTION>

                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------

<S>                                           <C>                         <C>                           <C>         <C>      <C>
Amgen Inc.                                     Common Stock               031162100                   9,326       124,552    SH
Ammonia Hold Inc.                              Common Stock               03167H105                       1         1,000    SH
Amp Inc.                                       Common Stock               031897101                     487         9,064    SH
AMP Inc (Tender Offer)                         Common Stock               031897986                      20           500    SH
Amresco Inc.                                   Common Stock               031909104                       3           350    SH
Ampal American Israel Corp.                    Common Stock               032015109                      20         5,000    SH
Ampal Amern Israel Corp.                       Preferred Stock            032015307                       1           102    SH
Amphenol Corp New Cl  A                        Common Stock               032095101                      11           300    SH
AmSouth Bancorp                                Common Stock               032165102                     513        11,274    SH
Amsurg Corp.- Cl A                             Common Stock               03232P108                      32         4,585    SH
Amsurg Corp.- Cl B                             Common Stock               03232P207                     235        33,595    SH
Amylin Pharmaceuticals Inc.                    Common Stock               032346108                      12        11,000    SH
Anadarko Pete Corp.                            Common Stock               032511107                      93         2,462    SH
Anadigics Inc.                                 Common Stock               032515108                       1            72    SH
Analog Devices Inc.                            Common Stock               032654105                     148         4,960    SH
Analysts Intl Corp.                            Common Stock               032681108                      17         1,450    SH
Analytical Surveys Inc.                        Common Stock               032683302                      18           675    SH
Andrew Corp.                                   Common Stock               034425108                      71         5,800    SH
Angeles Income Properties LTD                  Limited Partner            03464D302                       0            10    SH
Anglogold Limited-Spon ADR                     ADR                        035128206                       4           207    SH
Anheuser-Busch Companies Inc.                  Common Stock               035229103                   9,891       129,819    SH
Anta Corp.                                     Common Stock               036628105                       0            42    SH
Ansys Inc.                                     Common Stock               03662Q105                      93        13,500    SH
Antec Corp.                                    Common Stock               03664P105                      18           825    SH
AON Corp.                                      Common Stock               037389103                     161         2,549    SH
Apache Corp.                                   Common Stock               037411105                      17           650    SH
Apartment Invt & Mgmt Co 9% Cum Perp           Preferred Stock            03748R200                     189         8,600    SH
Apartment Inv & Mgmt Co 8.75% Cum PFD          Preferred Stock            03748R309                     142         6,500    SH
Apex Municipal Fund, Inc.                      Common Stock               037580107                      15         1,500    SH
Appalachian Oil & Gas Inc                      Common Stock               037725207                       0           100    SH
Apple Computer                                 Common Stock               037833100                     225         6,250    SH
Apple Orthodontix Inc Cl A                     Common Stock               037849106                       2           500    SH
Applebee's International Inc.                  Common Stock               037899101                      35         1,425    SH
Applied Coatings Intl Inc                      Common Stock               037905106                       0         2,000    SH
Applied Innovation Inc.                        Common Stock               037916103                      15         4,500    SH
Applied Materials Inc.                         Common Stock               038222105                   1,783        28,907    SH
Applied Power Inc  Class A                     Common Stock               038225108                     197         7,230    SH
Aptargroup Inc.                                Common Stock               038336103                     156         6,000    SH
Arcadia Financial Limited                      Common Stock               039101100                       2           400    SH
Arch Chemicals                                 Common Stock               03937R102                      12           700    SH
Archer-Daniels Midland Co.                     Common Stock               039483102                     319        21,708    SH
Archstone Communities Trust                    Common Stock               039581103                     519        25,764    SH

Page Total:                                                                                          28,203

Archstone Communities Tr 9% PFD Ser B          Preferred Stock            039581301                     111         4,443    SH
Arden Realty Group Inc.                        Common Stock               039793104                       1            50    SH
The Argentina Fund, Inc.                       Common Stock               040112104                       4           400    SH
ARMCO Inc.                                     Common Stock               042170100                       1           200    SH
Armstrong World Industries Inc.                Common Stock               042476101                      25           550    SH
Arrow Electronics Inc.                         Common Stock               042735100                     367        24,475    SH
Artesyn Technologies Inc.                      Common Stock               043127109                       4           300    SH
Asarco Inc.                                    Common Stock               043413103                       7           500    SH
Ascend Communication Inc.                      Common Stock               043491109                     391         4,672    SH
Ascent Entertainment Group Inc.                Common Stock               043628106                      11         1,000    SH
Ashland Inc.                                   Common Stock               044204105                       9           231    SH
Asia Pacific Fund Inc.                         Common Stock               044901106                      30         4,262    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------

Amgen Inc.                                                   X                                    0    124,552          0
Ammonia Hold Inc.                                            X                                    0      1,000          0
Amp Inc.                                                     X                                    0      9,064          0
AMP Inc (Tender Offer)                                       X                                    0        500          0
Amresco Inc.                                                 X                                    0        350          0
Ampal American Israel Corp.                                  X                                    0      5,000          0
Ampal Amern Israel Corp.                                     X                                    0        102          0
Amphenol Corp New Cl  A                                      X                                    0        300          0
AmSouth Bancorp                                              X                                    0     11,274          0
Amsurg Corp.- Cl A                                           X                                    0      4,585          0
Amsurg Corp.- Cl B                                           X                                    0     33,595          0
Amylin Pharmaceuticals Inc.                                  X                                    0     11,000          0
Anadarko Pete Corp.                                          X                                    0      2,462          0
Anadigics Inc.                                               X                                    0         72          0
Analog Devices Inc.                                          X                                    0      4,960          0
Analysts Intl Corp.                                          X                                    0      1,450          0
Analytical Surveys Inc.                                      X                                    0        675          0
Andrew Corp.                                                 X                                    0      5,800          0
Angeles Income Properties LTD                                X                                    0         10          0
Anglogold Limited-Spon ADR                                   X                                    0        207          0
Anheuser-Busch Companies Inc.                                X                                    0    129,819          0
Anta Corp.                                                   X                                    0         42          0
Ansys Inc.                                                   X                                    0     13,500          0
Antec Corp.                                                  X                                    0        825          0
AON Corp.                                                    X                                    0      2,549          0
Apache Corp.                                                 X                                    0        650          0
Apartment Invt & Mgmt Co 9% Cum Perp                         X                                    0      8,600          0
Apartment Inv & Mgmt Co 8.75% Cum PFD                        X                                    0      6,500          0
Apex Municipal Fund, Inc.                                    X                                    0      1,500          0
Appalachian Oil & Gas Inc                                    X                                    0        100          0
Apple Computer                                               X                                    0      6,250          0
Apple Orthodontix Inc Cl A                                   X                                    0        500          0
Applebee's International Inc.                                X                                    0      1,425          0
Applied Coatings Intl Inc                                    X                                    0      2,000          0
Applied Innovation Inc.                                      X                                    0      4,500          0
Applied Materials Inc.                                       X                                    0     28,907          0
Applied Power Inc  Class A                                   X                                    0      7,230          0
Aptargroup Inc.                                              X                                    0      6,000          0
Arcadia Financial Limited                                    X                                    0        400          0
Arch Chemicals                                               X                                    0        700          0
Archer-Daniels Midland Co.                                   X                                    0     21,708          0
Archstone Communities Trust                                  X                                    0     25,764          0


Archstone Communities Tr 9% PFD Ser B                        X                                    0      4,443          0
Arden Realty Group Inc.                                      X                                    0         50          0
The Argentina Fund, Inc.                                     X                                    0        400          0
ARMCO Inc.                                                   X                                    0        200          0
Armstrong World Industries Inc.                              X                                    0        550          0
Arrow Electronics Inc.                                       X                                    0     24,475          0
Artesyn Technologies Inc.                                    X                                    0        300          0
Asarco Inc.                                                  X                                    0        500          0
Ascend Communication Inc.                                    X                                    0      4,672          0
Ascent Entertainment Group Inc.                              X                                    0      1,000          0
Ashland Inc.                                                 X                                    0        231          0
Asia Pacific Fund Inc.                                       X                                    0      4,262          0
</TABLE>



<PAGE>
Page 5 of 63
<TABLE>
<CAPTION>

                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Aspect Development Inc                         Common Stock               045234101                       2           100    SH
Asset Investors Corp New                       Common Stock               045417201                       1            80    SH
Associated Estates Realty Corp.                Common Stock               045604105                      28         2,675    SH
Associated Group Inc. CL A                     Common Stock               045651106                      90         1,817    SH
Associated Group Inc. Cl B                     Common Stock               045651205                     216         4,445    SH
At Home Corp. Cl A                             Common Stock               045919107                   1,216         7,718    SH
Associates First Capital Corp.                 Common Stock               046008108                   2,227        49,484    SH
Astoria Financial Corp.                        Common Stock               046265104                      18           350    SH
Astra AB - Spons ADR A                         ADR                        046298105                       0             0    SH
Atlantic Capt I Cum Qtly Inc.                  Preferred Stock            048272207                     244         9,550    SH
Atlantic Capital Trust II Tr 7.375% Pf         Preferred Stock            04827P206                      34         1,400    SH
Atlantic Coast Airlines                        Common Stock               048396105                      22           775    SH
Atlantic Finl Fed                              Common Stock               048535108                       0           250    SH
Atlantic Financial Corp                        Common Stock               04853R100                      37         2,300    SH
Atlantic Richfield Co.                         Common Stock               048825103                   2,969        40,669    SH
Atlantic Richfield Co Pref                     Preferred Stock            048825400                       2             5    SH
Atlantis Group Inc New                         Common Stock               049148109                       0            25    SH
Atlas Air Inc.                                 Common Stock               049164106                      13           450    SH
Atlas Corp. New                                Common Stock               049267305                       0            44    SH
Atmel Corp.                                    Common Stock               049513104                      56         3,700    SH
ATMOS Energy Corp                              Common Stock               049560105                      24         1,000    SH
Aurora Foods Inc                               Common Stock               05164B106                     402        24,575    SH
Australia & New Zealand Bkg                    ADR                        052528304                      18           500    SH
Australia & New Zealand                        Preferred Stock            052528403                       4           150    SH
Autodesk Inc.                                  Common Stock               052769106                       5           125    SH
Autolliv, Inc.                                 Common Stock               052800109                      38         1,003    SH
Automatic Data Processing                      Common Stock               053015103                   1,162        28,081    SH
Autozone Inc.                                  Common Stock               053332102                      27           900    SH
Avalon Hldgs Corp.                             Common Stock               05343P109                       2           375    SH
Avalonbay Communities Inc.                     Common Stock               053484101                     123         3,889    SH
Avalonbay Communities Inc PFD SrD 8.00         Preferred Stock            053484309                      24         1,000    SH
Avalonbay Communities Inc PFD SrF 9.00         Preferred Stock            053484507                      42         1,700    SH
AvalonBay Communities Inc PFD SrG 8.96         Preferred Stock            053484606                       5           200    SH
Avalonbay Communities Inc 8.7% Sr H Pf         Preferred Stock            053484705                      13           500    SH
Avery Dennison Corp.                           Common Stock               053611109                     154         2,680    SH
Avid Technology Inc.                           Common Stock               05367P100                       9           500    SH
Aviron                                         Common Stock               053762100                      20         1,000    SH
Avista Corp                                    Common Stock               05379B107                      62         3,788    SH
Avista Corp. Conv Pfd                          Preferred Stock            05379B503                     246        14,376    SH

Page Total:                                                                                          10,515

Avitar Inc                                     Common Stock               053801106                       0             9    SH
Avnet Inc.                                     Common Stock               053807103                      11           295    SH
Avoca Inc.                                     Common Stock               053843108                       8           700    SH
Avon Products Inc.                             Common Stock               054303102                     702        14,916    SH
Avondale Industries Inc.                       Common Stock               054350103                       6           200    SH
Aware Inc. Mass                                Common Stock               05453N100                       9           200    SH
Axent Technologies Inc.                        Common Stock               05459C108                       4           160    SH
AZTAR Corp.                                    Common Stock               054802103                       0            25    SH
BB&T Corp.                                     Common Stock               054937107                   3,186        88,033    SH
BBC Capital Trust I 9.5% Cum Pfd               Preferred Stock            05527J200                     206         8,185    SH
BCE Inc.                                       Common Stock               05534B109                      31           700    SH
BEC Energy Com                                 Common Stock               05538M101                     339         9,237    SH
BGE Capital Trust 1 7.16% Tr                   Preferred Stock            055415202                     446        17,750    SH
BHC Communications Inc.                        Common Stock               055448104                       5            40    SH
BJ Services Co.                                Common Stock               055482103                      26         1,100    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------

Aspect Development Inc                                       X                                    0        100          0
Asset Investors Corp New                                     X                                    0         80          0
Associated Estates Realty Corp.                              X                                    0      2,675          0
Associated Group Inc. CL A                                   X                                    0      1,817          0
Associated Group Inc. Cl B                                   X                                    0      4,445          0
At Home Corp. Cl A                                           X                                    0      7,718          0
Associates First Capital Corp.                               X                                    0     49,484          0
Astoria Financial Corp.                                      X                                    0        350          0
Astra AB - Spons ADR A                                       X                                    0          0          0
Atlantic Capt I Cum Qtly Inc.                                X                                    0      9,550          0
Atlantic Capital Trust II Tr 7.375% Pf                       X                                    0      1,400          0
Atlantic Coast Airlines                                      X                                    0        775          0
Atlantic Finl Fed                                            X                                    0        250          0
Atlantic Financial Corp                                      X                                    0      2,300          0
Atlantic Richfield Co.                                       X                                    0     40,669          0
Atlantic Richfield Co Pref                                   X                                    0          5          0
Atlantis Group Inc New                                       X                                    0         25          0
Atlas Air Inc.                                               X                                    0        450          0
Atlas Corp. New                                              X                                    0         44          0
Atmel Corp.                                                  X                                    0      3,700          0
ATMOS Energy Corp                                            X                                    0      1,000          0
Aurora Foods Inc                                             X                                    0     24,575          0
Australia & New Zealand Bkg                                  X                                    0        500          0
Australia & New Zealand                                      X                                    0        150          0
Autodesk Inc.                                                X                                    0        125          0
Autolliv, Inc.                                               X                                    0      1,003          0
Automatic Data Processing                                    X                                    0     28,081          0
Autozone Inc.                                                X                                    0        900          0
Avalon Hldgs Corp.                                           X                                    0        375          0
Avalonbay Communities Inc.                                   X                                    0      3,889          0
Avalonbay Communities Inc PFD SrD 8.00                       X                                    0      1,000          0
Avalonbay Communities Inc PFD SrF 9.00                       X                                    0      1,700          0
AvalonBay Communities Inc PFD SrG 8.96                       X                                    0        200          0
Avalonbay Communities Inc 8.7% Sr H Pf                       X                                    0        500          0
Avery Dennison Corp.                                         X                                    0      2,680          0
Avid Technology Inc.                                         X                                    0        500          0
Aviron                                                       X                                    0      1,000          0
Avista Corp                                                  X                                    0      3,788          0
Avista Corp. Conv Pfd                                        X                                    0     14,376          0


Avitar Inc                                                   X                                    0          9          0
Avnet Inc.                                                   X                                    0        295          0
Avoca Inc.                                                   X                                    0        700          0
Avon Products Inc.                                           X                                    0     14,916          0
Avondale Industries Inc.                                     X                                    0        200          0
Aware Inc. Mass                                              X                                    0        200          0
Axent Technologies Inc.                                      X                                    0        160          0
AZTAR Corp.                                                  X                                    0         25          0
BB&T Corp.                                                   X                                    0     88,033          0
BBC Capital Trust I 9.5% Cum Pfd                             X                                    0      8,185          0
BCE Inc.                                                     X                                    0        700          0
BEC Energy Com                                               X                                    0      9,237          0
BGE Capital Trust 1 7.16% Tr                                 X                                    0     17,750          0
BHC Communications Inc.                                      X                                    0         40          0
BJ Services Co.                                              X                                    0      1,100          0
</TABLE>




<PAGE>
Page 6 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Wts BJ Services co                             Common Stock               055482111                      52         2,700    SH
BJ's Wholesale Club Inc.                       Common Stock               05548J106                   1,902        71,958    SH
BP Amoco Plc -Spons ADR                        ADR                        055622104                   4,869        48,242    SH
BP Prudhoe Bay Rty Tr Unit Ben Int             Common Stock               055630107                       4           485    SH
BNY Capital III-Trust                          Preferred Stock            05563W206                      58         2,300    SH
BRE Properties Inc. Cl A                       Common Stock               05564E106                     112         4,942    SH
BT Financial Corp.                             Common Stock               055763106                      13           484    SH
BTG Inc.                                       Common Stock               05576J101                       1           100    SH
BT Preferred Capital Trust I 8.125%            Preferred Stock            055839203                      13           500    SH
BMC Software                                   Common Stock               055921100                      47         1,280    SH
Baker Hughes Inc.                              Common Stock               057224107                     231         9,500    SH
Balcor Equity Pension Ins LP                   Limited Partner            057672107                       0            12    SH
Balcor Pension Investors L P Unit LTD          Limited Partner            057677403                       0             4    SH
Ball Corp.                                     Common Stock               058498106                      89         1,903    SH
Ballard Power Systems Inc.                     Common Stock               05858H104                      88         2,860    SH
Bally Total Fitness Holdings Corp.             Common Stock               05873K108                       4           150    SH
Baltimore Gas & Electric Co.                   Common Stock               059165100                   2,866       112,945    SH
Banca Quadrum SA ADR                           ADR                        05944R108                      31        13,200    SH
Banco Bilbao Vizcaya Intl (Gibraltar)          ADR                        059456301                       5           200    SH
Banco Santander SA ADR                         ADR                        059574202                       3           150    SH
Bandag Inc.                                    Common Stock               059815100                      70         2,485    SH
Bandag Inc. Class A                            Common Stock               059815308                       2           105    SH
Bangor Hydro Electric CO                       Common Stock               060077104                       4           300    SH
Bank Of East Asia Ltd Spons                    ADR                        061874103                       4         2,160    SH
Bank Of Granite Corp                           Common Stock               062401104                      32         1,439    SH
Bank of New York                               Common Stock               064057102                     639        17,785    SH
Bank One Corp                                  Common Stock               06423A103                   5,823       105,749    SH
Banc One Corp Pfd Pur Unit 7.5%                Preferred Stock            06423A707                      73         2,900    SH
Bank Atlantic Bancorp Inc. A                   Common Stock               065908501                       5           750    SH
BankAmerica Corp.                              Common Stock               06605F102                   9,683       137,110    SH
BankBoston Corp.                               Common Stock               06605R106                   1,518        35,041    SH
Bankers Trust New York Corp.                   Common Stock               066365107                     396         4,488    SH
Units Bankers Trust NY Dep Shs Reps            Preferred Stock            066365743                      12           500    SH
Bank United Capital II-9.60% Cum Trust         Preferred Stock            06651W207                      40         1,600    SH
Banpais S.A. -Spons ADR                        ADR                        066700105                       0           200    SH
Bankunited Capital III  9% Tr PFD Secs         Preferred Stock            066918202                      50         2,100    SH

Page Total:                                                                                          33,719

Bard C R Inc.                                  Common Stock               067383109                     192         3,800    SH
Barclays Bank Plc 11.25% Amer                  Preferred Stock            06738C505                      38         1,400    SH
Barclays Bank Plc 8.0% Ser E2 Pfd              Preferred Stock            06738C836                     134         5,050    SH
Barnes & Noble Inc.                            Common Stock               067774109                      67         2,080    SH
Barrick Gold Corp.                             Foreign Stock              067901108                      14           800    SH
Barr Labs Inc.                                 Common Stock               068306109                      81         2,650    SH
Barra Inc.                                     Common Stock               068313105                       5           200    SH
Barry R G Corp. Ohio                           Common Stock               068798107                      35         4,050    SH
Basin Exploration Inc.                         Common Stock               070107107                      28         2,000    SH
Battle Mountain Gold Co                        Common Stock               071593107                       0           180    SH
Bausch & Lomb Inc.                             Common Stock               071707103                      52           800    SH
Baxter International Inc.                      Common Stock               071813109                   1,319        19,978    SH
Baxter International Inc - CVR                 Common Stock               071813125                       0         2,800    SH
Bay View Cap Corp. Del Com                     Common Stock               07262L101                      19         1,022    SH
Bayer AG Spons ADR                             ADR                        072730302                       4           100    SH
BE Aerospace, Inc.                             Common Stock               073302101                     375        25,400    SH
Bear Stearns Captl Trust II 7.50%              Preferred Stock            07383J209                      82         3,265    SH
Bear Stearns Companies, Inc.                   Common Stock               073902108                     772        17,278    SH


<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Wts BJ Services co                                           X                                    0      2,700          0
BJ's Wholesale Club Inc.                                     X                                    0     71,958          0
BP Amoco Plc -Spons ADR                                      X                                    0     48,242          0
BP Prudhoe Bay Rty Tr Unit Ben Int                           X                                    0        485          0
BNY Capital III-Trust                                        X                                    0      2,300          0
BRE Properties Inc. Cl A                                     X                                    0      4,942          0
BT Financial Corp.                                           X                                    0        484          0
BTG Inc.                                                     X                                    0        100          0
BT Preferred Capital Trust I 8.125%                          X                                    0        500          0
BMC Software                                                 X                                    0      1,280          0
Baker Hughes Inc.                                            X                                    0      9,500          0
Balcor Equity Pension Ins LP                                 X                                    0         12          0
Balcor Pension Investors L P Unit LTD                        X                                    0          4          0
Ball Corp.                                                   X                                    0      1,903          0
Ballard Power Systems Inc.                                   X                                    0      2,860          0
Bally Total Fitness Holdings Corp.                           X                                    0        150          0
Baltimore Gas & Electric Co.                                 X                                    0    112,945          0
Banca Quadrum SA ADR                                         X                                    0     13,200          0
Banco Bilbao Vizcaya Intl (Gibraltar)                        X                                    0        200          0
Banco Santander SA ADR                                       X                                    0        150          0
Bandag Inc.                                                  X                                    0      2,485          0
Bandag Inc. Class A                                          X                                    0        105          0
Bangor Hydro Electric CO                                     X                                    0        300          0
Bank Of East Asia Ltd Spons                                  X                                    0      2,160          0
Bank Of Granite Corp                                         X                                    0      1,439          0
Bank of New York                                             X                                    0     17,785          0
Bank One Corp                                                X                                    0    105,749          0
Banc One Corp Pfd Pur Unit 7.5%                              X                                    0      2,900          0
Bank Atlantic Bancorp Inc. A                                 X                                    0        750          0
BankAmerica Corp.                                            X                                    0    137,110          0
BankBoston Corp.                                             X                                    0     35,041          0
Bankers Trust New York Corp.                                 X                                    0      4,488          0
Units Bankers Trust NY Dep Shs Reps                          X                                    0        500          0
Bank United Capital II-9.60% Cum Trust                       X                                    0      1,600          0
Banpais S.A. -Spons ADR                                      X                                    0        200          0
Bankunited Capital III  9% Tr PFD Secs                       X                                    0      2,100          0


Bard C R Inc.                                                X                                    0      3,800          0
Barclays Bank Plc 11.25% Amer                                X                                    0      1,400          0
Barclays Bank Plc 8.0% Ser E2 Pfd                            X                                    0      5,050          0
Barnes & Noble Inc.                                          X                                    0      2,080          0
Barrick Gold Corp.                                           X                                    0        800          0
Barr Labs Inc.                                               X                                    0      2,650          0
Barra Inc.                                                   X                                    0        200          0
Barry R G Corp. Ohio                                         X                                    0      4,050          0
Basin Exploration Inc.                                       X                                    0      2,000          0
Battle Mountain Gold Co                                      X                                    0        180          0
Bausch & Lomb Inc.                                           X                                    0        800          0
Baxter International Inc.                                    X                                    0     19,978          0
Baxter International Inc - CVR                               X                                    0      2,800          0
Bay View Cap Corp. Del Com                                   X                                    0      1,022          0
Bayer AG Spons ADR                                           X                                    0        100          0
BE Aerospace, Inc.                                           X                                    0     25,400          0
Bear Stearns Captl Trust II 7.50%                            X                                    0      3,265          0
Bear Stearns Companies, Inc.                                 X                                    0     17,278          0
</TABLE>




<PAGE>
Page 7 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Beckman Coulter Inc.                           Common Stock               075811109                     124         2,819    SH
Becton Dickinson & Co                          Common Stock               075887109                   2,381        62,148    SH
Bed Bath & Beyond Inc.                         Common Stock               075896100                      29           800    SH
Belden, Inc.                                   Common Stock               077459105                      28         1,625    SH
Bell & Howell Co.                              Common Stock               077852101                      57         1,950    SH
Bell Atlantic Corp.                            Common Stock               077853109                   5,443       105,307    SH
Bell Industries Inc.                           Common Stock               078107109                       5           510    SH
BellSouth Corp.                                Common Stock               079860102                   5,925       147,890    SH
Belmont Bancorp St. Clairsville                Common Stock               080162100                      55         3,250    SH
Belo A H Com Ser A                             Common Stock               080555105                   1,233        67,575    SH
Bema Gold Corp.                                Common Stock               08135F107                       0           225    SH
Ben Franklin Retail Stores, Inc.               Common Stock               081499105                       0            37    SH
Benchmark Electronics Inc                      Common Stock               08160H101                      24           800    SH
Benton Oil & Gas Co                            Common Stock               083288100                       3           700    SH
Bergen Brunswig Corp. Cl A                     Common Stock               083739102                      23         1,156    SH
W R Berkley Corp.                              Common Stock               084423102                     137         5,582    SH
Berkshire Hathaway Inc. Class A                Common Stock               084670108                     785            11    SH
Berkshire Hathaway Inc. Class B                Common Stock               084670207                   2,873         1,222    SH
Berkshire Realty Co.                           Common Stock               084710102                       7           600    SH
Berry & Boyle Dev Ptnrs                        Common Stock               085757201                       0             4    SH
Best Buy Inc.                                  Common Stock               086516101                     194         3,725    SH
Bestfoods                                      Common Stock               08658U101                   1,486        31,624    SH
Bethlehem Steel Corp.                          Common Stock               087509105                       5           653    SH
Beverly Enterprises Inc. New                   Common Stock               087851309                      42         8,200    SH
Biddeford & Saco Water Co                      Common Stock               088815105                       7           125    SH
Bidnow Com Inc.                                Common Stock               08883N104                       1           100    SH
Billing Information Concepts                   Common Stock               090063108                      95         8,000    SH
Bindley Western Inds Inc.                      Common Stock               090324104                       8           266    SH
Bindview Development Corp                      Common Stock               090327107                       6           200    SH
Bio-Rad Laboratories Inc.                      Common Stock               090572207                      11           525    SH
Bio-Technology General Corp.                   Common Stock               090578105                      31         5,149    SH
Bio-Plexus Inc.                                Common Stock               09057C106                       5         2,000    SH
Biogen Inc.                                    Common Stock               090597105                   2,658        23,249    SH

Page Total:                                                                                          26,897

Biomatrix Inc                                  Common Stock               09060P102                      16           200    SH
Biomet Inc.                                    Common Stock               090613100                     574        13,680    SH
Birmingham Steel Corp.                         Common Stock               091250100                      79        20,040    SH
Black & Decker Corp.                           Common Stock               091797100                     415         7,478    SH
Black Box Corp.                                Common Stock               091826107                     119         3,850    SH
The Blackrock 2001 Term Trust Inc.             Common Stock               092477108                      45         5,000    SH
The Blackrock Income Tr Inc.                   Common Stock               09247F100                      27         4,020    SH
The Blackrock California                       Common Stock               09247G108                      16         1,000    SH
Blackrock Florida Insured Muni Trust           Common Stock               09247H106                      25         1,538    SH
Blair Corp.                                    Common Stock               092828102                       7           450    SH
Block Drug Inc.                                Common Stock               093644102                      30           728    SH
Block H & R Inc.                               Common Stock               093671105                   1,599        33,750    SH
Blue Chip Value Fd Inc                         Common Stock               095333100                      10         1,000    SH
Bank of New York Capital II                    Preferred Stock            096564208                      25           950    SH
Boddie-Noell Properties Inc.                   Common Stock               096903109                       9           800    SH
Boeing Co.                                     Common Stock               097023105                   4,000       117,207    SH
Boise Cascade                                  Common Stock               097383103                     165         5,119    SH
Boise Cascade Office Product                   Common Stock               097403109                       4           350    SH
Bombardier Inc. Cl B                           Common Stock               097751200                       3           240    SH
Books-A-Million Inc.                           Common Stock               098570104                       2           200    SH
Borders Group Inc.                             Common Stock               099709107                     105         7,450    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Beckman Coulter Inc.                                         X                                    0      2,819          0
Becton Dickinson & Co                                        X                                    0     62,148          0
Bed Bath & Beyond Inc.                                       X                                    0        800          0
Belden, Inc.                                                 X                                    0      1,625          0
Bell & Howell Co.                                            X                                    0      1,950          0
Bell Atlantic Corp.                                          X                                    0    105,307          0
Bell Industries Inc.                                         X                                    0        510          0
BellSouth Corp.                                              X                                    0    147,890          0
Belmont Bancorp St. Clairsville                              X                                    0      3,250          0
Belo A H Com Ser A                                           X                                    0     67,575          0
Bema Gold Corp.                                              X                                    0        225          0
Ben Franklin Retail Stores, Inc.                             X                                    0         37          0
Benchmark Electronics Inc                                    X                                    0        800          0
Benton Oil & Gas Co                                          X                                    0        700          0
Bergen Brunswig Corp. Cl A                                   X                                    0      1,156          0
W R Berkley Corp.                                            X                                    0      5,582          0
Berkshire Hathaway Inc. Class A                              X                                    0         11          0
Berkshire Hathaway Inc. Class B                              X                                    0      1,222          0
Berkshire Realty Co.                                         X                                    0        600          0
Berry & Boyle Dev Ptnrs                                      X                                    0          4          0
Best Buy Inc.                                                X                                    0      3,725          0
Bestfoods                                                    X                                    0     31,624          0
Bethlehem Steel Corp.                                        X                                    0        653          0
Beverly Enterprises Inc. New                                 X                                    0      8,200          0
Biddeford & Saco Water Co                                    X                                    0        125          0
Bidnow Com Inc.                                              X                                    0        100          0
Billing Information Concepts                                 X                                    0      8,000          0
Bindley Western Inds Inc.                                    X                                    0        266          0
Bindview Development Corp                                    X                                    0        200          0
Bio-Rad Laboratories Inc.                                    X                                    0        525          0
Bio-Technology General Corp.                                 X                                    0      5,149          0
Bio-Plexus Inc.                                              X                                    0      2,000          0
Biogen Inc.                                                  X                                    0     23,249          0


Biomatrix Inc                                                X                                    0        200          0
Biomet Inc.                                                  X                                    0     13,680          0
Birmingham Steel Corp.                                       X                                    0     20,040          0
Black & Decker Corp.                                         X                                    0      7,478          0
Black Box Corp.                                              X                                    0      3,850          0
The Blackrock 2001 Term Trust Inc.                           X                                    0      5,000          0
The Blackrock Income Tr Inc.                                 X                                    0      4,020          0
The Blackrock California                                     X                                    0      1,000          0
Blackrock Florida Insured Muni Trust                         X                                    0      1,538          0
Blair Corp.                                                  X                                    0        450          0
Block Drug Inc.                                              X                                    0        728          0
Block H & R Inc.                                             X                                    0     33,750          0
Blue Chip Value Fd Inc                                       X                                    0      1,000          0
Bank of New York Capital II                                  X                                    0        950          0
Boddie-Noell Properties Inc.                                 X                                    0        800          0
Boeing Co.                                                   X                                    0    117,207          0
Boise Cascade                                                X                                    0      5,119          0
Boise Cascade Office Product                                 X                                    0        350          0
Bombardier Inc. Cl B                                         X                                    0        240          0
Books-A-Million Inc.                                         X                                    0        200          0
Borders Group Inc.                                           X                                    0      7,450          0
</TABLE>





<PAGE>
Page 8 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Borg-Warner Automotive, Inc.                   Common Stock               099724106                      50         1,041    SH
Boston Beer Co Inc. Cl A                       Common Stock               100557107                      12         1,500    SH
Boston Communications Group Inc.               Common Stock               100582105                       4           400    SH
Boston Private Finl Holding                    Common Stock               101119105                      46         6,000    SH
Boston Properties Inc.                         Common Stock               101121101                     158         5,000    SH
Boston Scientific Corp.                        Common Stock               101137107                      64         1,577    SH
Bouygues Offshore SA-ADR                       ADR                        102112109                       3           200    SH
Bovie Medical Corp                             Common Stock               10211F100                       0             6    SH
Bowl Amer Inc. Cl A                            Common Stock               102565108                      26         4,000    SH
Bowne & Co Inc.                                Common Stock               103043105                      14         1,200    SH
Bradley Real Estate Inc.                       Common Stock               104580105                      36         2,000    SH
Bradely Real Estate 8.40% PFD Ser A            Preferred Stock            104580204                       1            63    SH
Brandywine Realty Trust SBI                    Common Stock               105368203                     747        45,990    SH
Brazil Fund Inc.                               Common Stock               105759104                       2           135    SH
Breed Technology                               Common Stock               106702103                       1           401    SH
Bridgeport Machines Inc                        Common Stock               108228107                       1            85    SH
Bridgestreet Accommodations Inc.               Common Stock               108452103                       4         1,000    SH
Briggs & Stratton Corp.                        Common Stock               109043109                      35           715    SH
Bright Horizons Family Solutions Inc.          Common Stock               109195107                      10           450    SH
Brightpoint Inc.                               Common Stock               109473108                      30         5,123    SH
Brinker Intl Inc.                              Common Stock               109641100                     467        18,100    SH
Bristol-Myers Squibb Co.                       Common Stock               110122108                  18,972       294,997    SH
British Airways PLC ADR                        ADR                        110419306                      27           400    SH
British American Tobacco PLC Spon ADR          Foreign Stock              110448107                      11           615    SH
British Steel PLC ADR                          ADR                        111015301                     269        13,325    SH
British Telecommunications                     ADR                        111021408                      72           440    SH
Broadcast Com Inc                              Common Stock               111310108                      66           560    SH
Broadcom Corp Cl A                             Common Stock               111320107                     102         1,650    SH
Brooktrout Technology Inc.                     Common Stock               114580103                       2           200    SH
Brothers Gourmet Coffees Inc                   Common Stock               114822109                       0         6,300    SH

Page Total:                                                                                          28,505

Brown Forman Corp. CL B                        Common Stock               115637209                      24           421    SH
Brown Group Inc.                               Common Stock               115657108                       3           200    SH
Browning Ferris Industries Incorporate         Common Stock               115885105                     233         6,045    SH
Brunswick Corp.                                Common Stock               117043109                     282        14,775    SH
Brunswick Technologies Inc.                    Common Stock               117394106                     181        31,500    SH
Bryn Mawr BK Corp.                             Common Stock               117665109                      59         2,188    SH
BTR Siebe PLC Spons Adr                        Common Stock               11776R109                       1            59    SH
Buckeye Partners L P Unit                      Common Stock               118230101                     174         6,400    SH
Buffets, Inc.                                  Common Stock               119882108                      37         3,710    SH
Burlington Coat Factory Whse                   Common Stock               121579106                       5           400    SH
Burlington Northern Santa Fe Corp.             Common Stock               12189T104                     401        12,212    SH
Burlington Resources                           Common Stock               122014103                     300         7,516    SH
Bush Industries Inc.  Class A                  Common Stock               123164105                     146        11,824    SH
Business Objects S A Spons ADR                 ADR                        12328X107                      20           675    SH
Butler Manufacturing Co.                       Common Stock               123655102                       8           350    SH
CAI Wireless Systems Inc.                      Common Stock               12476P104                       0           200    SH
CCA Companies Inc.                             Common Stock               124863101                       1         1,000    SH
CCB Financial Corp.                            Common Stock               124875105                     857        15,852    SH
CB Richard Ellis Services                      Common Stock               12489L108                       9           550    SH
CBRL Group Inc.                                Common Stock               12489V106                     501        27,856    SH
CBS Corp.                                      Common Stock               12490K107                   2,443        59,674    SH
C-Cor Electronics Inc.                         Common Stock               125010108                       8           440    SH
CDI Corp.                                      Common Stock               125071100                   1,165        48,428    SH
CDNOW / N2K Inc.                               Common Stock               125086108                      13           830    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Borg-Warner Automotive, Inc.                                 X                                    0      1,041          0
Boston Beer Co Inc. Cl A                                     X                                    0      1,500          0
Boston Communications Group Inc.                             X                                    0        400          0
Boston Private Finl Holding                                  X                                    0      6,000          0
Boston Properties Inc.                                       X                                    0      5,000          0
Boston Scientific Corp.                                      X                                    0      1,577          0
Bouygues Offshore SA-ADR                                     X                                    0        200          0
Bovie Medical Corp                                           X                                    0          6          0
Bowl Amer Inc. Cl A                                          X                                    0      4,000          0
Bowne & Co Inc.                                              X                                    0      1,200          0
Bradley Real Estate Inc.                                     X                                    0      2,000          0
Bradely Real Estate 8.40% PFD Ser A                          X                                    0         63          0
Brandywine Realty Trust SBI                                  X                                    0     45,990          0
Brazil Fund Inc.                                             X                                    0        135          0
Breed Technology                                             X                                    0        401          0
Bridgeport Machines Inc                                      X                                    0         85          0
Bridgestreet Accommodations Inc.                             X                                    0      1,000          0
Briggs & Stratton Corp.                                      X                                    0        715          0
Bright Horizons Family Solutions Inc.                        X                                    0        450          0
Brightpoint Inc.                                             X                                    0      5,123          0
Brinker Intl Inc.                                            X                                    0     18,100          0
Bristol-Myers Squibb Co.                                     X                                    0    294,997          0
British Airways PLC ADR                                      X                                    0        400          0
British American Tobacco PLC Spon ADR                        X                                    0        615          0
British Steel PLC ADR                                        X                                    0     13,325          0
British Telecommunications                                   X                                    0        440          0
Broadcast Com Inc                                            X                                    0        560          0
Broadcom Corp Cl A                                           X                                    0      1,650          0
Brooktrout Technology Inc.                                   X                                    0        200          0
Brothers Gourmet Coffees Inc                                 X                                    0      6,300          0


Brown Forman Corp. CL B                                      X                                    0        421          0
Brown Group Inc.                                             X                                    0        200          0
Browning Ferris Industries Incorporate                       X                                    0      6,045          0
Brunswick Corp.                                              X                                    0     14,775          0
Brunswick Technologies Inc.                                  X                                    0     31,500          0
Bryn Mawr BK Corp.                                           X                                    0      2,188          0
BTR Siebe PLC Spons Adr                                      X                                    0         59          0
Buckeye Partners L P Unit                                    X                                    0      6,400          0
Buffets, Inc.                                                X                                    0      3,710          0
Burlington Coat Factory Whse                                 X                                    0        400          0
Burlington Northern Santa Fe Corp.                           X                                    0     12,212          0
Burlington Resources                                         X                                    0      7,516          0
Bush Industries Inc.  Class A                                X                                    0     11,824          0
Business Objects S A Spons ADR                               X                                    0        675          0
Butler Manufacturing Co.                                     X                                    0        350          0
CAI Wireless Systems Inc.                                    X                                    0        200          0
CCA Companies Inc.                                           X                                    0      1,000          0
CCB Financial Corp.                                          X                                    0     15,852          0
CB Richard Ellis Services                                    X                                    0        550          0
CBRL Group Inc.                                              X                                    0     27,856          0
CBS Corp.                                                    X                                    0     59,674          0
C-Cor Electronics Inc.                                       X                                    0        440          0
CDI Corp.                                                    X                                    0     48,428          0
CDNOW / N2K Inc.                                             X                                    0        830          0
</TABLE>





<PAGE>
Page 9 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
CD Radio Inc.                                  Common Stock               125127100                      13           518    SH
CDT Ventures Inc.                              Common Stock               125128108                       0        60,000    SH
CEC  Entertainment Inc                         Common Stock               125137109                      31           875    SH
CFC International Inc                          Common Stock               125252106                      62         6,575    SH
CFM Technologies Inc.                          Common Stock               12525K106                       3           400    SH
C G S Scientific Corp.                         Common Stock               125377101                       0           300    SH
CHS Electronics, Inc.                          Common Stock               12542A206                       3         1,012    SH
Cigna Corp.                                    Common Stock               125509109                     253         3,022    SH
CIT Group Inc. - CL A                          Common Stock               125577106                     236         7,730    SH
Cleco Corp                                     Common Stock               12561M107                      88         2,984    SH
C M A C Investment Corp.                       Common Stock               125662106                      31           800    SH
CMG Information Services Inc.                  Common Stock               125750109                      73           400    SH
CML Group Inc.                                 Common Stock               125820100                       0         2,000    SH
CMP Group Inc                                  Common Stock               125887109                      61         3,300    SH
C M S Energy Corp.                             Common Stock               125896100                      47         1,173    SH
C P Pokphand Co LTD Sponsored ADR              ADR                        125918102                       0         1,000    SH
CNL Income Fund III LTD                        Limited Partner            125928879                       0            13    SH
CSK Auto Corp                                  Common Stock               125965103                       3           100    SH
CNBT Bancshares Inc                            Common Stock               125972109                     171        15,355    SH
CN Bancorp Inc.                                Common Stock               12612U108                   1,000       100,000    SH
CNF Transportation Inc.                        Common Stock               12612W104                      38         1,000    SH
CNB Capital Trust I 6% Pfd                     Preferred Stock            12613G207                      23           900    SH
C S X Corp.                                    Common Stock               126408103                     431        11,060    SH
Cuno Inc.                                      Common Stock               126583103                       3           200    SH
CVS Corp.                                      Common Stock               126650100                     594        12,506    SH
Cable & Wireless Pub Ltd Plc                   ADR                        126830207                       9           250    SH
Cablevision Systems Corp. Cl A                 Common Stock               12686C109                     315         4,250    SH

Page Total:                                                                                          10,361

Cabletron Systems Inc.                         Common Stock               126920107                     324        39,535    SH
Cable TV Fund 14-B Units  Ltd Prtnrshi         Limited Partner            126922509                       0            13    SH
Cable Design Technologies Corp.                Common Stock               126924109                      89         8,100    SH
Cabot Corp.                                    Common Stock               127055101                      43         2,000    SH
CACI International Inc Cl A                    Common Stock               127190304                      22         1,300    SH
Cadbury Schweppes Delaware LP                  Preferred Stock            127207207                     227         8,675    SH
Cadbury Schweppes P L C                        ADR                        127209302                     377         6,490    SH
Cadence Design Systems Inc.                    Common Stock               127387108                      77         2,985    SH
Caire Inc.                                     Common Stock               127761104                       0           109    SH
The Caldor Corp.                               Common Stock               128787108                       0           175    SH
Caldera Technologies Corp.                     Foreign Stock              12878E301                       0           600    SH
Calgon Carbon Corp.                            Common Stock               129603106                      34         6,500    SH
California Federal Bank Goodwill               Common Stock               130209604                       0            19    SH
California Fed Bank FSB                        Common Stock               130209703                       0             8    SH
California Microwave Incorporated              Common Stock               130442106                       4           375    SH
California Water Service Grp                   Common Stock               130788102                      10           400    SH
Call Now Inc                                   Common Stock               131004103                      11        10,000    SH
Callaway Golf Co                               Common Stock               131193104                     166        16,263    SH
Cambridge Technology Partners Mass             Common Stock               132524109                     188        13,525    SH
Camden National Corp                           Common Stock               133034108                     110         6,150    SH
Camden Property Trust                          Common Stock               133131102                   1,520        61,431    SH
Camden Properties Trust Pfd                    Preferred Stock            133131201                      23         1,000    SH
Campbell Soup Co.                              Common Stock               134429109                     443        10,885    SH
Canadian General Capital Toprs                 Preferred Stock            135785202                      26         1,000    SH
Canadian Pacific Ltd Com                       Common Stock               135923100                     241        12,385    SH
Canadian Occidental Petroleum PFD              Preferred Stock            136420403                     283        10,900    SH
Canadian Occidental Pete Ltd 9.375%            Preferred Stock            136420502                      33         1,300    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>

CD Radio Inc.                                                X                                    0        518          0
CDT Ventures Inc.                                            X                                    0     60,000          0
CEC  Entertainment Inc                                       X                                    0        875          0
CFC International Inc                                        X                                    0      6,575          0
CFM Technologies Inc.                                        X                                    0        400          0
C G S Scientific Corp.                                       X                                    0        300          0
CHS Electronics, Inc.                                        X                                    0      1,012          0
Cigna Corp.                                                  X                                    0      3,022          0
CIT Group Inc. - CL A                                        X                                    0      7,730          0
Cleco Corp                                                   X                                    0      2,984          0
C M A C Investment Corp.                                     X                                    0        800          0
CMG Information Services Inc.                                X                                    0        400          0
CML Group Inc.                                               X                                    0      2,000          0
CMP Group Inc                                                X                                    0      3,300          0
C M S Energy Corp.                                           X                                    0      1,173          0
C P Pokphand Co LTD Sponsored ADR                            X                                    0      1,000          0
CNL Income Fund III LTD                                      X                                    0         13          0
CSK Auto Corp                                                X                                    0        100          0
CNBT Bancshares Inc                                          X                                    0     15,355          0
CN Bancorp Inc.                                              X                                    0    100,000          0
CNF Transportation Inc.                                      X                                    0      1,000          0
CNB Capital Trust I 6% Pfd                                   X                                    0        900          0
C S X Corp.                                                  X                                    0     11,060          0
Cuno Inc.                                                    X                                    0        200          0
CVS Corp.                                                    X                                    0     12,506          0
Cable & Wireless Pub Ltd Plc                                 X                                    0        250          0
Cablevision Systems Corp. Cl A                               X                                    0      4,250          0


Cabletron Systems Inc.                                       X                                    0     39,535          0
Cable TV Fund 14-B Units  Ltd Prtnrshi                       X                                    0         13          0
Cable Design Technologies Corp.                              X                                    0      8,100          0
Cabot Corp.                                                  X                                    0      2,000          0
CACI International Inc Cl A                                  X                                    0      1,300          0
Cadbury Schweppes Delaware LP                                X                                    0      8,675          0
Cadbury Schweppes P L C                                      X                                    0      6,490          0
Cadence Design Systems Inc.                                  X                                    0      2,985          0
Caire Inc.                                                   X                                    0        109          0
The Caldor Corp.                                             X                                    0        175          0
Caldera Technologies Corp.                                   X                                    0        600          0
Calgon Carbon Corp.                                          X                                    0      6,500          0
California Federal Bank Goodwill                             X                                    0         19          0
California Fed Bank FSB                                      X                                    0          8          0
California Microwave Incorporated                            X                                    0        375          0
California Water Service Grp                                 X                                    0        400          0
Call Now Inc                                                 X                                    0     10,000          0
Callaway Golf Co                                             X                                    0     16,263          0
Cambridge Technology Partners Mass                           X                                    0     13,525          0
Camden National Corp                                         X                                    0      6,150          0
Camden Property Trust                                        X                                    0     61,431          0
Camden Properties Trust Pfd                                  X                                    0      1,000          0
Campbell Soup Co.                                            X                                    0     10,885          0
Canadian General Capital Toprs                               X                                    0      1,000          0
Canadian Pacific Ltd Com                                     X                                    0     12,385          0
Canadian Occidental Petroleum PFD                            X                                    0     10,900          0
Canadian Occidental Pete Ltd 9.375%                          X                                    0      1,300          0
</TABLE>



<PAGE>
Page 10 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Cannondale Corp.                               Common Stock               137798104                       8         1,000    SH
Canon Inc. - Spon ADR                          ADR                        138006309                      67         2,800    SH
Capital Bank                                   Common Stock               139808109                       1           100    SH
Capital One Financial Corp.                    Common Stock               14040H105                   2,951        19,540    SH
Capital Senior Living Corp                     Common Stock               140475104                       8         1,100    SH
Capstead Mortgage Corp.                        Common Stock               14067E100                      19         3,525    SH
Captec Net Lease Realty Inc.                   Common Stock               140724105                     125         9,600    SH
Cardinal Health Inc.                           Common Stock               14149Y108                     279         4,221    SH
Carematrix Corp.                               Common Stock               141706101                       5           250    SH
Carlisle Cos Inc.                              Common Stock               142339100                      23           500    SH
Carnival Corp.                                 Common Stock               143658102                   3,874        79,763    SH
Carolina First Corp.                           Common Stock               143877108                     183         8,300    SH
Carolina Investment Partners                   Limited Partner            144011103                       0            14    SH
Carolina Power & Light                         Common Stock               144141108                     503        13,292    SH
Carolina Power & Light Co.                     Preferred Stock            144141306                       2            25    SH
Carramerica Realty Corp.                       Common Stock               144418100                     308        13,979    SH
Carramerica Realty Corp. 8.57% PFD Ser         Preferred Stock            144418209                     378        17,810    SH
Carramerica Realty Corp. 8.5% Pfd Ser          Preferred Stock            144418407                     196         9,350    SH
Carrollton Bancorp                             Common Stock               145282109                      36         1,105    SH
Case Corp.                                     Common Stock               14743R103                     201         7,925    SH
Caseys Genl Stores                             Common Stock               147528103                      10           710    SH
Caterpillar Inc.                               Common Stock               149123101                   2,612        56,859    SH
Cato Corp New  Class A                         Common Stock               149205106                      28         3,000    SH
Cavalier Homes Inc                             Common Stock               149507105                      10         1,000    SH

Page Total:                                                                                          16,076

Cedar Fair, L.P. Dep Rec                       Common Stock               150185106                      55         2,200    SH
Cell Genesys Inc.                              Common Stock               150921104                     351        71,089    SH
Cellstar Corp.                                 Common Stock               150925105                      66         6,400    SH
Cemex SA Sponsored ADR                         ADR                        151290202                       3           300    SH
Cendant Corp.                                  Common Stock               151313103                     489        31,065    SH
Cendant Corp - Income Prides                   Preferred Stock            151313301                      14           500    SH
Cenit Bancorp Inc.                             Common Stock               15131W109                     107         5,504    SH
Centerpoint Properties Corp.                   Common Stock               151895109                      59         1,886    SH
Centertrust Retail Properties Inc              Common Stock               152038105                       2           180    SH
Centocor Inc.                                  Common Stock               152342101                     292         7,890    SH
Central & Southwest Corp.                      Common Stock               152357109                     152         6,483    SH
Central Garden & Pet Co                        Common Stock               153527106                      19         1,125    SH
Central Hudson Gas & Electric Corp.            Common Stock               153609102                     101         2,808    SH
Central Newspapers Cl A                        Common Stock               154647101                     196         6,308    SH
Central Parking Corporation                    Common Stock               154785109                     247         7,165    SH
Central Vermont Pub Svc Corp.                  Common Stock               155771108                       9           898    SH
Centura Banks Inc.                             Common Stock               15640T100                     525         9,017    SH
Century Bancorp Inc.                           Common Stock               156433104                      14         1,000    SH
Century Business Services Inc                  Common Stock               156490104                       5           500    SH
Century Pension Inc Fd LP XXIV LTD Par         Limited Partner            156658106                       0             4    SH
Century Telephone Enterprises Inc.             Common Stock               156686107                     204         2,905    SH
Ceridian Corp.                                 Common Stock               15677T106                   2,552        69,800    SH
Cerner Corp.                                   Common Stock               156782104                       3           200    SH
Cerprobe Corp.                                 Common Stock               156787103                       1           100    SH
Cerus Corp.                                    Common Stock               157085101                       4           200    SH
Chadmore Wireless Group Inc.                   Common Stock               157259102                       0           200    SH
Champion International Corp.                   Common Stock               158525105                     107         2,615    SH
Chancellor Media Corp. Class A                 Common Stock               158915108                     254         5,400    SH
Charter One Financial Inc.                     Common Stock               160903100                   2,047        70,918    SH
Charming Shoppes Inc.                          Common Stock               161133103                      53        13,600    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Cannondale Corp.                                             X                                    0      1,000          0
Canon Inc. - Spon ADR                                        X                                    0      2,800          0
Capital Bank                                                 X                                    0        100          0
Capital One Financial Corp.                                  X                                    0     19,540          0
Capital Senior Living Corp                                   X                                    0      1,100          0
Capstead Mortgage Corp.                                      X                                    0      3,525          0
Captec Net Lease Realty Inc.                                 X                                    0      9,600          0
Cardinal Health Inc.                                         X                                    0      4,221          0
Carematrix Corp.                                             X                                    0        250          0
Carlisle Cos Inc.                                            X                                    0        500          0
Carnival Corp.                                               X                                    0     79,763          0
Carolina First Corp.                                         X                                    0      8,300          0
Carolina Investment Partners                                 X                                    0         14          0
Carolina Power & Light                                       X                                    0     13,292          0
Carolina Power & Light Co.                                   X                                    0         25          0
Carramerica Realty Corp.                                     X                                    0     13,979          0
Carramerica Realty Corp. 8.57% PFD Ser                       X                                    0     17,810          0
Carramerica Realty Corp. 8.5% Pfd Ser                        X                                    0      9,350          0
Carrollton Bancorp                                           X                                    0      1,105          0
Case Corp.                                                   X                                    0      7,925          0
Caseys Genl Stores                                           X                                    0        710          0
Caterpillar Inc.                                             X                                    0     56,859          0
Cato Corp New  Class A                                       X                                    0      3,000          0
Cavalier Homes Inc                                           X                                    0      1,000          0


Cedar Fair, L.P. Dep Rec                                     X                                    0      2,200          0
Cell Genesys Inc.                                            X                                    0     71,089          0
Cellstar Corp.                                               X                                    0      6,400          0
Cemex SA Sponsored ADR                                       X                                    0        300          0
Cendant Corp.                                                X                                    0     31,065          0
Cendant Corp - Income Prides                                 X                                    0        500          0
Cenit Bancorp Inc.                                           X                                    0      5,504          0
Centerpoint Properties Corp.                                 X                                    0      1,886          0
Centertrust Retail Properties Inc                            X                                    0        180          0
Centocor Inc.                                                X                                    0      7,890          0
Central & Southwest Corp.                                    X                                    0      6,483          0
Central Garden & Pet Co                                      X                                    0      1,125          0
Central Hudson Gas & Electric Corp.                          X                                    0      2,808          0
Central Newspapers Cl A                                      X                                    0      6,308          0
Central Parking Corporation                                  X                                    0      7,165          0
Central Vermont Pub Svc Corp.                                X                                    0        898          0
Centura Banks Inc.                                           X                                    0      9,017          0
Century Bancorp Inc.                                         X                                    0      1,000          0
Century Business Services Inc                                X                                    0        500          0
Century Pension Inc Fd LP XXIV LTD Par                       X                                    0          4          0
Century Telephone Enterprises Inc.                           X                                    0      2,905          0
Ceridian Corp.                                               X                                    0     69,800          0
Cerner Corp.                                                 X                                    0        200          0
Cerprobe Corp.                                               X                                    0        100          0
Cerus Corp.                                                  X                                    0        200          0
Chadmore Wireless Group Inc.                                 X                                    0        200          0
Champion International Corp.                                 X                                    0      2,615          0
Chancellor Media Corp. Class A                               X                                    0      5,400          0
Charter One Financial Inc.                                   X                                    0     70,918          0
Charming Shoppes Inc.                                        X                                    0     13,600          0
</TABLE>


<PAGE>
Page 11 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Escrow Charter Federal Savings                 Common Stock               161223987                       0           400    SH
Chase Manhattan Corp.                          Common Stock               16161A108                   6,563        80,711    SH
Chase Manhattan Corp. New                      Preferred Stock            16161A207                      40         1,600    SH
Chase Preferred Capital Corp                   Preferred Stock            161637202                       5           200    SH
Chateau Communities Inc.                       Common Stock               161726104                   1,565        56,906    SH
Checkfree Holdings Corp                        Common Stock               162816102                     512        12,025    SH
Cheesecake Factory Inc.                        Common Stock               163072101                     105         4,430    SH
Chelsea GCA Realty, Inc.                       Common Stock               163262108                      13           463    SH
Chemtrak Inc New                               Common Stock               163877202                       0         1,000    SH
Cheung Kong Hong Kong ADR                      ADR                        166744201                      28         3,700    SH
Chevron Corp.                                  Common Stock               166751107                   4,250        48,056    SH
Chevy Chase Svgs Bk FSB 13%                    Preferred Stock            166784207                     179         6,000    SH
Chevy Chase 10.375% Non Cum                    Preferred Stock            16678M207                      64         1,200    SH
Chico's Fas Inc.                               Common Stock               168615102                       2           100    SH
Childrens Comprehensive Services Inc.          Common Stock               16875K202                       5           900    SH
Chile Fund Inc.                                Common Stock               168834109                       2           200    SH
Choice Hotels Intl Inc.                        Common Stock               169905106                      53         3,794    SH
Chirex Inc.                                    Common Stock               170038103                   1,585        64,701    SH
Chiron Corp.Del                                Common Stock               170040109                       4           185    SH
Choicepoint Inc.                               Common Stock               170388102                       1            20    SH
Chris Craft Industries Inc.                    Common Stock               170520100                      23           495    SH

Page Total:                                                                                          22,932

Chromcraft Revington Inc                       Common Stock               171117104                      89         6,000    SH
Chromavision Medical Sys                       Common Stock               17111P104                       1            80    SH
Chubb Corp.                                    Common Stock               171232101                   2,608        44,528    SH
Ciber Inc.                                     Common Stock               17163B102                      94         4,900    SH
Ciena Corp.                                    Common Stock               171779101                     231        10,250    SH
CIFRA SA Unsponsored ADR B                     ADR                        171785207                       5         5,227    SH
Cifra SA - ADR V                               ADR                        171785405                      12           779    SH
Cilcorp Inc.                                   Common Stock               171794100                       9           150    SH
Cincinnati Bell Inc.                           Common Stock               171870108                     722        32,182    SH
Cincinnati Financial Corp.                     Common Stock               172062101                   1,343        36,855    SH
Cinergy Corp.                                  Common Stock               172474108                     419        15,236    SH
Circuit City Stores Inc.                       Common Stock               172737108                   1,638        21,382    SH
Circuit City Stores Inc.-Carmax                Common Stock               172737306                      20         5,200    SH
Cirrus Logic Corp.                             Common Stock               172755100                      13         2,100    SH
Cisco Systems Co.                              Common Stock               17275R102                   9,922        90,560    SH
Citation Corp - Ala                            Common Stock               172895104                       5           500    SH
Cintas Corp.                                   Common Stock               172908105                     248         3,800    SH
Circus Circus Enterprises Inc.                 Common Stock               172909103                   1,734        98,705    SH
Citigroup, Inc.                                Common Stock               172967101                  16,231       254,103    SH
Citigroup Inc. 8.50% Pfd Ser T                 Preferred Stock            172967689                       8           300    SH
Citigroup Inc. 8.40% Pfd Ser K                 Preferred Stock            172967853                      11           400    SH
Citicorp Capital Trust III 7.10% PFD           Preferred Stock            17303U200                      20           800    SH
Citigroup Capital I Tr PFD Sec 8.00%           Preferred Stock            17305F201                      89         3,500    SH
Citigroup Capital IV Tr PFD Sec 6.85%          Preferred Stock            17305J203                     210         8,600    SH
Citigroup Capital V 7.00% Pfd                  Preferred Stock            17306K209                      25         1,000    SH
Citizens Utilities Co - CL B                   Common Stock               177342201                     203        26,253    SH
Citizens Utilities Trust 5%                    Preferred Stock            177351202                       4           100    SH
Citrix Systems Inc.                            Common Stock               177376100                      90         2,350    SH
City Holding Co                                Common Stock               177835105                     767        26,006    SH
City Investing Co Liq Tr Unit Ben Int          Common Stock               177900107                       0            40    SH
Cityfed Financial Corp                         Preferred Stock            178762308                       0           200    SH
City Federal Financial Jr Pfd. Series          Preferred Stock            178762407                       0            88    SH
Claire's Stores, Inc.                          Common Stock               179584107                       9           300    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Escrow Charter Federal Savings                               X                                    0        400          0
Chase Manhattan Corp.                                        X                                    0     80,711          0
Chase Manhattan Corp. New                                    X                                    0      1,600          0
Chase Preferred Capital Corp                                 X                                    0        200          0
Chateau Communities Inc.                                     X                                    0     56,906          0
Checkfree Holdings Corp                                      X                                    0     12,025          0
Cheesecake Factory Inc.                                      X                                    0      4,430          0
Chelsea GCA Realty, Inc.                                     X                                    0        463          0
Chemtrak Inc New                                             X                                    0      1,000          0
Cheung Kong Hong Kong ADR                                    X                                    0      3,700          0
Chevron Corp.                                                X                                    0     48,056          0
Chevy Chase Svgs Bk FSB 13%                                  X                                    0      6,000          0
Chevy Chase 10.375% Non Cum                                  X                                    0      1,200          0
Chico's Fas Inc.                                             X                                    0        100          0
Childrens Comprehensive Services Inc.                        X                                    0        900          0
Chile Fund Inc.                                              X                                    0        200          0
Choice Hotels Intl Inc.                                      X                                    0      3,794          0
Chirex Inc.                                                  X                                    0     64,701          0
Chiron Corp.Del                                              X                                    0        185          0
Choicepoint Inc.                                             X                                    0         20          0
Chris Craft Industries Inc.                                  X                                    0        495          0


Chromcraft Revington Inc                                     X                                    0      6,000          0
Chromavision Medical Sys                                     X                                    0         80          0
Chubb Corp.                                                  X                                    0     44,528          0
Ciber Inc.                                                   X                                    0      4,900          0
Ciena Corp.                                                  X                                    0     10,250          0
CIFRA SA Unsponsored ADR B                                   X                                    0      5,227          0
Cifra SA - ADR V                                             X                                    0        779          0
Cilcorp Inc.                                                 X                                    0        150          0
Cincinnati Bell Inc.                                         X                                    0     32,182          0
Cincinnati Financial Corp.                                   X                                    0     36,855          0
Cinergy Corp.                                                X                                    0     15,236          0
Circuit City Stores Inc.                                     X                                    0     21,382          0
Circuit City Stores Inc.-Carmax                              X                                    0      5,200          0
Cirrus Logic Corp.                                           X                                    0      2,100          0
Cisco Systems Co.                                            X                                    0     90,560          0
Citation Corp - Ala                                          X                                    0        500          0
Cintas Corp.                                                 X                                    0      3,800          0
Circus Circus Enterprises Inc.                               X                                    0     98,705          0
Citigroup, Inc.                                              X                                    0    254,103          0
Citigroup Inc. 8.50% Pfd Ser T                               X                                    0        300          0
Citigroup Inc. 8.40% Pfd Ser K                               X                                    0        400          0
Citicorp Capital Trust III 7.10% PFD                         X                                    0        800          0
Citigroup Capital I Tr PFD Sec 8.00%                         X                                    0      3,500          0
Citigroup Capital IV Tr PFD Sec 6.85%                        X                                    0      8,600          0
Citigroup Capital V 7.00% Pfd                                X                                    0      1,000          0
Citizens Utilities Co - CL B                                 X                                    0     26,253          0
Citizens Utilities Trust 5%                                  X                                    0        100          0
Citrix Systems Inc.                                          X                                    0      2,350          0
City Holding Co                                              X                                    0     26,006          0
City Investing Co Liq Tr Unit Ben Int                        X                                    0         40          0
Cityfed Financial Corp                                       X                                    0        200          0
City Federal Financial Jr Pfd. Series                        X                                    0         88          0
Claire's Stores, Inc.                                        X                                    0        300          0
</TABLE>


<PAGE>
Page 12 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Clarcor Inc.                                   Common Stock               179895107                   1,017        59,628    SH
Clayton Homes Inc.                             Common Stock               184190106                      15         1,356    SH
Clear Channel Communications                   Common Stock               184502102                      73         1,085    SH
Clearnet Communications Inc.                   Common Stock               184902104                       7           500    SH
Clemente Global Growth Fund Inc.               Common Stock               185569100                      46         3,500    SH
Cleveland Elec Illum Co                        Preferred Stock            186108205                       5            50    SH
Cleveland Electric Illum Pfd                   Preferred Stock            186108502                      20           200    SH
Cleveland Indians Baseball Inc Cl A            Common Stock               186202107                       2           200    SH
Clintrials Research Inc.                       Common Stock               188767107                     329        56,070    SH
Clorox Co.                                     Common Stock               189054109                   1,848        15,769    SH
Coachmen Inds Inc.                             Common Stock               189873102                       8           400    SH
Coastal Corp.                                  Common Stock               190441105                      69         2,097    SH
Coastal Finance I-8.375% Trust Orig Pf         Preferred Stock            190463208                     150         6,000    SH
Coastal Physician Group Inc.                   Common Stock               190495101                       1         3,370    SH
Coastcast Corp.                                Common Stock               19057T108                      15         1,500    SH
Coca Cola Bottling Co                          Common Stock               191098102                      25           451    SH
Coca Cola Co.                                  Common Stock               191216100                   7,721       125,792    SH
Coca Cola Enterprises Inc.                     Common Stock               191219104                     112         3,700    SH

Page Total:                                                                                          48,243

Coeur D Alene Mines Corp.                      Common Stock               192108108                       0             1    SH
Cognizant Technology Solutions Corp            Common Stock               192446102                      28         1,000    SH
Coherent Inc.                                  Common Stock               192479103                      55         4,000    SH
Cohen & Steers Realty Income Fund Inc          Common Stock               19247P107                      98        12,450    SH
Cohu Inc.                                      Common Stock               192576106                       2           100    SH
Coleman Inc. New                               Common Stock               193559101                      20         2,400    SH
Colgate-Palmolive Co.                          Common Stock               194162103                   2,704        29,391    SH
Colonial Gas Co                                Common Stock               195674106                      10           300    SH
Colonial Properties Trust                      Common Stock               195872106                     190         7,455    SH
Colonial Properties Trust 8.75 Cum Red         Preferred Stock            195872205                      26         1,150    SH
Colorado Medtech Inc                           Common Stock               19652U104                      24         2,150    SH
Coltec Industries                              Common Stock               196879100                      73         4,000    SH
Columbia Bancorp                               Common Stock               197227101                     139         9,584    SH
Columbia Gas System Inc.                       Common Stock               197648108                      23           443    SH
Columbia/HCA Healthcare Corp.                  Common Stock               197677107                   1,547        81,693    SH
Columbia Laboratories Inc.                     Common Stock               197779101                       2           360    SH
Comair Inc.                                    Common Stock               199789108                     227         9,618    SH
Comfort Systems USA Inc                        Common Stock               199908104                      11           750    SH
Comcast Corp.                                  Common Stock               200300101                     401         6,517    SH
Comcast Corp.                                  Common Stock               200300200                   2,731        43,391    SH
Comed Financing I Toprs 8.48% Pfd              Preferred Stock            20033V209                      38         1,500    SH
Comerica Inc.                                  Common Stock               200340107                     182         2,916    SH
Commerce Bancorp Inc.                          Common Stock               200519106                     354         8,583    SH
Commerce Bancshares Inc.                       Common Stock               200525103                      72         1,868    SH
Commerce Capital Trust I                       Preferred Stock            20057P203                      51         2,000    SH
Commercial Assets Inc.                         Common Stock               201118106                       1           200    SH
Commercial Federal Corp.                       Common Stock               201647104                      15           630    SH
Commercial Intertech Corp.                     Common Stock               201709102                       1           100    SH
Commercial Net Lease Realty                    Common Stock               202218103                     986        88,101    SH
Commonwealth Edison Co Pref $2                 Preferred Stock            202795605                      11           400    SH
Commonwealth Energy Sys Com                    Common Stock               202800108                     225         5,846    SH
Commscope Inc.                                 Common Stock               203372107                   1,853        88,494    SH
Community Bank System Inc.                     Common Stock               203607106                      48         2,000    SH
Community Financial Group Inc.                 Common Stock               20365M108                      51         4,000    SH
Communications Systems Inc                     Common Stock               203900105                       1            99    SH
Community Savings Bankshares                   Common Stock               204037105                     125        10,012    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Clarcor Inc.                                                 X                                    0     59,628          0
Clayton Homes Inc.                                           X                                    0      1,356          0
Clear Channel Communications                                 X                                    0      1,085          0
Clearnet Communications Inc.                                 X                                    0        500          0
Clemente Global Growth Fund Inc.                             X                                    0      3,500          0
Cleveland Elec Illum Co                                      X                                    0         50          0
Cleveland Electric Illum Pfd                                 X                                    0        200          0
Cleveland Indians Baseball Inc Cl A                          X                                    0        200          0
Clintrials Research Inc.                                     X                                    0     56,070          0
Clorox Co.                                                   X                                    0     15,769          0
Coachmen Inds Inc.                                           X                                    0        400          0
Coastal Corp.                                                X                                    0      2,097          0
Coastal Finance I-8.375% Trust Orig Pf                       X                                    0      6,000          0
Coastal Physician Group Inc.                                 X                                    0      3,370          0
Coastcast Corp.                                              X                                    0      1,500          0
Coca Cola Bottling Co                                        X                                    0        451          0
Coca Cola Co.                                                X                                    0    125,792          0
Coca Cola Enterprises Inc.                                   X                                    0      3,700          0


Coeur D Alene Mines Corp.                                    X                                    0          1          0
Cognizant Technology Solutions Corp                          X                                    0      1,000          0
Coherent Inc.                                                X                                    0      4,000          0
Cohen & Steers Realty Income Fund Inc                        X                                    0     12,450          0
Cohu Inc.                                                    X                                    0        100          0
Coleman Inc. New                                             X                                    0      2,400          0
Colgate-Palmolive Co.                                        X                                    0     29,391          0
Colonial Gas Co                                              X                                    0        300          0
Colonial Properties Trust                                    X                                    0      7,455          0
Colonial Properties Trust 8.75 Cum Red                       X                                    0      1,150          0
Colorado Medtech Inc                                         X                                    0      2,150          0
Coltec Industries                                            X                                    0      4,000          0
Columbia Bancorp                                             X                                    0      9,584          0
Columbia Gas System Inc.                                     X                                    0        443          0
Columbia/HCA Healthcare Corp.                                X                                    0     81,693          0
Columbia Laboratories Inc.                                   X                                    0        360          0
Comair Inc.                                                  X                                    0      9,618          0
Comfort Systems USA Inc                                      X                                    0        750          0
Comcast Corp.                                                X                                    0      6,517          0
Comcast Corp.                                                X                                    0     43,391          0
Comed Financing I Toprs 8.48% Pfd                            X                                    0      1,500          0
Comerica Inc.                                                X                                    0      2,916          0
Commerce Bancorp Inc.                                        X                                    0      8,583          0
Commerce Bancshares Inc.                                     X                                    0      1,868          0
Commerce Capital Trust I                                     X                                    0      2,000          0
Commercial Assets Inc.                                       X                                    0        200          0
Commercial Federal Corp.                                     X                                    0        630          0
Commercial Intertech Corp.                                   X                                    0        100          0
Commercial Net Lease Realty                                  X                                    0     88,101          0
Commonwealth Edison Co Pref $2                               X                                    0        400          0
Commonwealth Energy Sys Com                                  X                                    0      5,846          0
Commscope Inc.                                               X                                    0     88,494          0
Community Bank System Inc.                                   X                                    0      2,000          0
Community Financial Group Inc.                               X                                    0      4,000          0
Communications Systems Inc                                   X                                    0         99          0
Community Savings Bankshares                                 X                                    0     10,012          0
</TABLE>

<PAGE>
Page 13 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Comp-U-Check Inc.                              Common Stock               204237309                       0           150    SH
Companhia Cervejaria Brahma - SP ADR           ADR                        20440X103                       2           180    SH
Compania Anonima Telef De Ven-ADR              ADR                        204421101                      35         1,900    SH
Compaq Computer Corp.                          Common Stock               204493100                  13,520       426,661    SH
Compass Bancshares Inc. New                    Common Stock               20449H109                   2,668        77,336    SH
Complete Business Solutions Inc.               Common Stock               20452F107                     958        48,812    SH
Computer Associates International Inc.         Common Stock               204912109                     826        23,231    SH
CompUSA Inc.                                   Common Stock               204932107                     317        45,280    SH
Computer Learning Centers                      Common Stock               205199102                       1           200    SH
Computer Sciences Corp.                        Common Stock               205363104                     199         3,600    SH
Compuware Corp.                                Common Stock               205638109                     190         7,967    SH
Comsat Corp.                                   Common Stock               20564D107                      39         1,350    SH
Comverse Technology Inc.                       Common Stock               205862402                     193         2,275    SH
Conagra Inc.                                   Common Stock               205887102                     709        27,716    SH
Conagra Capital LC-9% Cum Pfd                  Preferred Stock            20588V208                      25         1,000    SH

Page Total:                                                                                          32,005

Conagra Capital LLC 9.35%                      Limited Partner            20588V406                      13           500    SH
Computer Horizons                              Common Stock               205908106                       2           200    SH
Comsat Capital LP 8.125% Cum                   Preferred Stock            205930209                      25         1,000    SH
Conectiv Inc.                                  Common Stock               206829103                     198        10,243    SH
Conestoga Enterprises Inc.                     Common Stock               207015108                      21           700    SH
Conexant Systems Inc.                          Common Stock               207142100                      76         2,734    SH
Connecticut Energy Corp.                       Common Stock               207567108                       2           100    SH
CT Light & Power Co                            Preferred Stock            207597204                      17           618    SH
Connecticut Light & Power Co $2 Pfd            Preferred Stock            207597303                      20           700    SH
CT Light & Power Co                            Preferred Stock            207597402                      29         1,000    SH
Connecticut Light & Power Co. $2.06 E          Preferred Stock            207597501                       6           200    SH
Connecticut light & Power Co. $2.20 PF         Preferred Stock            207597600                      20           650    SH
Connecticut Light & Power Co 7.23% Pfd         Preferred Stock            207597642                     154         3,150    SH
Connecticut Light & Power Co $3.24 Pfd         Preferred Stock            207597709                       9           200    SH
Connecticut Light & Power Co 6.56% Pfd         Preferred Stock            207597774                      27           600    SH
Connecticut Light & Power Co 5.28% PFD         Preferred Stock            207597782                      37         1,000    SH
Connecticut Water Service Inc.                 Common Stock               207797101                      11           450    SH
Conoco Inc.                                    Common Stock               208251306                      20           800    SH
Conseco Inc.                                   Common Stock               208464107                   3,040        98,456    SH
Conseco Inc- Cum Income Prides Ser F           Preferred Stock            208464602                      24           600    SH
Conseco Financing Trust VI 9.00% Pfd           Preferred Stock            20846M206                      13           500    SH
Conseco Financing Trust V 8.70%                Preferred Stock            20847D205                     144         5,800    SH
Conso Products Co.                             Common Stock               20854R105                     329        53,655    SH
Consolidated Capital Instl Properties          Limited Partner            208924100                       0            24    SH
Consolidated Edison Co NY Inc PFD $5           Preferred Stock            209111707                     298         3,410    SH
Con Edison Co Ser A 7.75% PFD QICS             Preferred Stock            209111848                      59         2,300    SH
Consolidated Edison Inc.                       Common Stock               209115104                     732        16,164    SH
Consolidated Freightways Corp.                 Common Stock               209232107                       6           500    SH
Consolidated Natural Gas Co                    Common Stock               209615103                     318         6,530    SH
Consolidated Packaging Corp.                   Common Stock               209723105                       0           100    SH
Consolidated Products Inc.                     Common Stock               209798107                      10           583    SH
Consolidated Stores Corp.                      Common Stock               210149100                     100         3,289    SH
Consumer Portfolio Services                    Common Stock               210502100                       1           200    SH
Consumers Energy Co $4.50 Cum Pfd              Preferred Stock            210518304                      59           850    SH
Contifinancial Corp.                           Common Stock               21075V107                      11         1,500    SH
Continental Airlines Inc. Class B              Common Stock               210795308                       6           150    SH
Convergys Corp                                 Common Stock               212485106                     788        46,022    SH
Cooper Cameron Corp.                           Common Stock               216640102                      38         1,130    SH
Cooper Companies Inc.                          Common Stock               216648402                      10           650    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Comp-U-Check Inc.                                            X                                    0        150          0
Companhia Cervejaria Brahma - SP ADR                         X                                    0        180          0
Compania Anonima Telef De Ven-ADR                            X                                    0      1,900          0
Compaq Computer Corp.                                        X                                    0    426,661          0
Compass Bancshares Inc. New                                  X                                    0     77,336          0
Complete Business Solutions Inc.                             X                                    0     48,812          0
Computer Associates International Inc.                       X                                    0     23,231          0
CompUSA Inc.                                                 X                                    0     45,280          0
Computer Learning Centers                                    X                                    0        200          0
Computer Sciences Corp.                                      X                                    0      3,600          0
Compuware Corp.                                              X                                    0      7,967          0
Comsat Corp.                                                 X                                    0      1,350          0
Comverse Technology Inc.                                     X                                    0      2,275          0
Conagra Inc.                                                 X                                    0     27,716          0
Conagra Capital LC-9% Cum Pfd                                X                                    0      1,000          0


Conagra Capital LLC 9.35%                                    X                                    0        500          0
Computer Horizons                                            X                                    0        200          0
Comsat Capital LP 8.125% Cum                                 X                                    0      1,000          0
Conectiv Inc.                                                X                                    0     10,243          0
Conestoga Enterprises Inc.                                   X                                    0        700          0
Conexant Systems Inc.                                        X                                    0      2,734          0
Connecticut Energy Corp.                                     X                                    0        100          0
CT Light & Power Co                                          X                                    0        618          0
Connecticut Light & Power Co $2 Pfd                          X                                    0        700          0
CT Light & Power Co                                          X                                    0      1,000          0
Connecticut Light & Power Co. $2.06 E                        X                                    0        200          0
Connecticut light & Power Co. $2.20 PF                       X                                    0        650          0
Connecticut Light & Power Co 7.23% Pfd                       X                                    0      3,150          0
Connecticut Light & Power Co $3.24 Pfd                       X                                    0        200          0
Connecticut Light & Power Co 6.56% Pfd                       X                                    0        600          0
Connecticut Light & Power Co 5.28% PFD                       X                                    0      1,000          0
Connecticut Water Service Inc.                               X                                    0        450          0
Conoco Inc.                                                  X                                    0        800          0
Conseco Inc.                                                 X                                    0     98,456          0
Conseco Inc- Cum Income Prides Ser F                         X                                    0        600          0
Conseco Financing Trust VI 9.00% Pfd                         X                                    0        500          0
Conseco Financing Trust V 8.70%                              X                                    0      5,800          0
Conso Products Co.                                           X                                    0     53,655          0
Consolidated Capital Instl Properties                        X                                    0         24          0
Consolidated Edison Co NY Inc PFD $5                         X                                    0      3,410          0
Con Edison Co Ser A 7.75% PFD QICS                           X                                    0      2,300          0
Consolidated Edison Inc.                                     X                                    0     16,164          0
Consolidated Freightways Corp.                               X                                    0        500          0
Consolidated Natural Gas Co                                  X                                    0      6,530          0
Consolidated Packaging Corp.                                 X                                    0        100          0
Consolidated Products Inc.                                   X                                    0        583          0
Consolidated Stores Corp.                                    X                                    0      3,289          0
Consumer Portfolio Services                                  X                                    0        200          0
Consumers Energy Co $4.50 Cum Pfd                            X                                    0        850          0
Contifinancial Corp.                                         X                                    0      1,500          0
Continental Airlines Inc. Class B                            X                                    0        150          0
Convergys Corp                                               X                                    0     46,022          0
Cooper Cameron Corp.                                         X                                    0      1,130          0
Cooper Companies Inc.                                        X                                    0        650          0



<PAGE>
page 14 of 63
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Cooper Industries                              Common Stock               216669101                      38           895    SH
Cooper Tire & Rubber Co                        Common Stock               216831107                     784        42,675    SH
Coors Adolph Co. - Class B                     Common Stock               217016104                      11           200    SH
Cordiant Communications PLC                    Common Stock               218514206                       0            30    SH
Corn Products International Inc.               Common Stock               219023108                     199         8,332    SH
Cornerstone Realty Income                      Common Stock               21922V102                       0             1    SH
Corning Inc.                                   Common Stock               219350105                   1,728        28,797    SH
Corporate Express Inc.                         Common Stock               219888104                       5         1,000    SH
Correctional Services Corp.                    Common Stock               219921103                       1           138    SH

Page Total:                                                                                           9,438

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Cooper Industries                                            X                                    0        895          0
Cooper Tire & Rubber Co                                      X                                    0     42,675          0
Coors Adolph Co. - Class B                                   X                                    0        200          0
Cordiant Communications PLC                                  X                                    0         30          0
Corn Products International Inc.                             X                                    0      8,332          0
Cornerstone Realty Income                                    X                                    0          1          0
Corning Inc.                                                 X                                    0     28,797          0
Corporate Express Inc.                                       X                                    0      1,000          0
Correctional Services Corp.                                  X                                    0        138          0
</TABLE>

<PAGE>
Page 15 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Corporate Office Properties Trust              Common Stock               22002T108                       6         1,000    SH
CostCo Companies Inc.                          Common Stock               22160Q102                     257         2,807    SH
Cott Corp.                                     Common Stock               22163N106                      73        29,950    SH
Countrywide Credit Industries                  Common Stock               222372104                      45         1,200    SH
Covance Inc.                                   Common Stock               222816100                     109         4,349    SH
Covington Development Group Inc                Common Stock               223141102                       0           600    SH
Cox Communications Inc. Cl A                   Common Stock               224044107                     430         5,687    SH
Craftmade International Inc.                   Common Stock               22413E104                       5           300    SH
Jenny Craig, Inc.                              Common Stock               224206102                       4         1,260    SH
Crane Co                                       Common Stock               224399105                      24         1,012    SH
Cray Computer Corp.                            Common Stock               225222108                       0           400    SH
Crazy Eddie, Inc.                              Common Stock               225227107                       0           800    SH
Cree Research, Inc.                            Common Stock               225447101                       9           200    SH
Crescendo Pharmaceuticals CRP CL A             Common Stock               225637107                       1            98    SH
Crescent Real Estate Equities                  Common Stock               225756105                     319        14,841    SH
Crescent Operating Inc.                        Common Stock               22575M100                       9         2,474    SH
Crestline Capital Corp                         Common Stock               226153104                      28         1,828    SH
Criimi Mae Inc.                                Common Stock               226603108                       3         1,250    SH
Crompton & Knowles Corp.                       Common Stock               227111101                      43         2,750    SH
Cross A T Co Cl A                              Common Stock               227478104                     182        24,850    SH
Cross Timbers Oil Co                           Common Stock               227573102                       1           145    SH
Cross Timber Royalty Trust                     Common Stock               22757R109                       9         1,000    SH
Crown American Realty Trust                    Common Stock               228186102                       5           800    SH
Crown Cork & Seal Co Inc.                      Common Stock               228255105                   1,134        39,707    SH
Crown Cork & Seal 4.50% Conv Pfd               Preferred Stock            228255303                      11           400    SH
Cryomedical Science Inc.                       Common Stock               229049101                       1         1,100    SH
Cullen Frost Bankers                           Common Stock               229899109                       6           120    SH
Cummins Engine Co, Inc.                        Common Stock               231021106                      36         1,000    SH
Customtracks Corporation                       Common Stock               232046102                      23         1,500    SH
Cybercash Inc.                                 Common Stock               232462101                      10           700    SH
Cyberonics Inc.                                Common Stock               23251P102                       5           500    SH
Cybex Corp.                                    Common Stock               232522102                     167         9,301    SH
Cyclopss Corp.                                 Common Stock               232537209                       2        14,000    SH
Cycomm International Inc.                      Common Stock               23255B208                       1         1,700    SH
Cymer Inc.                                     Common Stock               232572107                       4           200    SH
Cypress Semiconductor Corp.                    Common Stock               232806109                      74         8,210    SH
Cyprus Amax Minerals Co                        Common Stock               232809103                      22         1,820    SH
Cytec                                          Common Stock               232820100                       2            72    SH
CYTYC Corp.                                    Common Stock               232946103                      15         1,080    SH
DII Group Inc.                                 Common Stock               232949107                      29         1,000    SH
DLJ Cap Trust I Pfd Trust Sec                  Preferred Stock            23321W202                      13           500    SH
DNAP Holding Corp.                             Common Stock               23323K107                       0            50    SH
DPL Inc.                                       Common Stock               233293109                      46         2,777    SH
D Q E Inc.                                     Common Stock               23329J104                      78         2,036    SH
D R Horton Inc.                                Common Stock               23331A109                      37         2,200    SH
DST Systems Inc.                               Common Stock               233326107                     793        13,205    SH
D S P Group Inc.                               Common Stock               23332B106                       1           100    SH

Page Total:                                                                                           4,073

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Corporate Office Properties Trust                            X                                    0      1,000          0
CostCo Companies Inc.                                        X                                    0      2,807          0
Cott Corp.                                                   X                                    0     29,950          0
Countrywide Credit Industries                                X                                    0      1,200          0
Covance Inc.                                                 X                                    0      4,349          0
Covington Development Group Inc                              X                                    0        600          0
Cox Communications Inc. Cl A                                 X                                    0      5,687          0
Craftmade International Inc.                                 X                                    0        300          0
Jenny Craig, Inc.                                            X                                    0      1,260          0
Crane Co                                                     X                                    0      1,012          0
Cray Computer Corp.                                          X                                    0        400          0
Crazy Eddie, Inc.                                            X                                    0        800          0
Cree Research, Inc.                                          X                                    0        200          0
Crescendo Pharmaceuticals CRP CL A                           X                                    0         98          0
Crescent Real Estate Equities                                X                                    0     14,841          0
Crescent Operating Inc.                                      X                                    0      2,474          0
Crestline Capital Corp                                       X                                    0      1,828          0
Criimi Mae Inc.                                              X                                    0      1,250          0
Crompton & Knowles Corp.                                     X                                    0      2,750          0
Cross A T Co Cl A                                            X                                    0     24,850          0
Cross Timbers Oil Co                                         X                                    0        145          0
Cross Timber Royalty Trust                                   X                                    0      1,000          0
Crown American Realty Trust                                  X                                    0        800          0
Crown Cork & Seal Co Inc.                                    X                                    0     39,707          0
Crown Cork & Seal 4.50% Conv Pfd                             X                                    0        400          0
Cryomedical Science Inc.                                     X                                    0      1,100          0
Cullen Frost Bankers                                         X                                    0        120          0
Cummins Engine Co, Inc.                                      X                                    0      1,000          0
Customtracks Corporation                                     X                                    0      1,500          0
Cybercash Inc.                                               X                                    0        700          0
Cyberonics Inc.                                              X                                    0        500          0
Cybex Corp.                                                  X                                    0      9,301          0
Cyclopss Corp.                                               X                                    0     14,000          0
Cycomm International Inc.                                    X                                    0      1,700          0
Cymer Inc.                                                   X                                    0        200          0
Cypress Semiconductor Corp.                                  X                                    0      8,210          0
Cyprus Amax Minerals Co                                      X                                    0      1,820          0
Cytec                                                        X                                    0         72          0
CYTYC Corp.                                                  X                                    0      1,080          0
DII Group Inc.                                               X                                    0      1,000          0
DLJ Cap Trust I Pfd Trust Sec                                X                                    0        500          0
DNAP Holding Corp.                                           X                                    0         50          0
DPL Inc.                                                     X                                    0      2,777          0
D Q E Inc.                                                   X                                    0      2,036          0
D R Horton Inc.                                              X                                    0      2,200          0
DST Systems Inc.                                             X                                    0     13,205          0
D S P Group Inc.                                             X                                    0        100          0
</TABLE>


<PAGE>
Page 16 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
DTE Energy CO                                  Common Stock               233331107                      80         2,075    SH
Dain Rauscher Corp.                            Common Stock               233856103                      17           500    SH
Dallas Semiconductor Corp.                     Common Stock               235204104                      10           250    SH
Dana Corp.                                     Common Stock               235811106                   1,090        28,692    SH
Danaher Corp.                                  Common Stock               235851102                     421         8,050    SH
Danka Business Systems PLC                     ADR                        236277109                       1           200    SH
DAOU System Inc.                               Common Stock               237015102                      73        12,370    SH
Darden Restaurants Inc.                        Common Stock               237194105                     118         5,700    SH
Data General Corp.                             Common Stock               237688106                      10         1,000    SH
Datastream System Inc                          Common Stock               238124101                       9         1,050    SH
Davis Real Estate Fund-B                       Common Stock               239103401                       5           242    SH
Davox Corp.                                    Common Stock               239208101                       2           300    SH
Dayton Hudson Corp.                            Common Stock               239753106                   1,545        23,192    SH
De Beers Cons Mines Ltd ADR N.E.               ADR                        240253302                      61         3,200    SH
Dean Foods Co                                  Common Stock               242361103                       8           225    SH
Dean Witter Realty Yield PLS II LTD            Limited Partner            24241L201                       0            20    SH
Deere & Co                                     Common Stock               244199105                   1,771        45,841    SH
Delaware Group Dividend &                      Common Stock               245915103                      49         3,087    SH
Delaware Group Glabal Dividend                 Common Stock               245916101                      14         1,000    SH
Dell Computer Corp.                            Common Stock               247025109                   8,307       203,229    SH
Delmarva Power & Light Trust                   Preferred Stock            247112204                      26         1,000    SH
Delphi Automotive Sys Corp.                    Common Stock               247126105                      66         3,720    SH
Delphi Financial Group Inc Cl A                Common Stock               247131105                       3           102    SH
Delta Air Lines Inc.                           Common Stock               247361108                   1,535        22,093    SH
Denbury Resources Inc                          Common Stock               247916208                       2           400    SH
Deluxe Corp.                                   Common Stock               248019101                       2            70    SH
Dendrite International Incorporated            Common Stock               248239105                       3           150    SH
Denning Mobile Robotics Inc                    Common Stock               248570301                       0            72    SH
Dentsply International, Inc.                   Common Stock               249030107                     362        15,568    SH
Detroit Diesel Corp.                           Common Stock               250837101                     181         8,040    SH
Deutsche Bank Sponsored ADR                    ADR                        251525309                      12           240    SH
Deutsche Telecom AG ADS                        ADR                        251566105                       4           105    SH
Developers Diversified Realty Corp.            Common Stock               251591103                      72         5,040    SH
Developers Diversified Rlty 9.50% CL A         Preferred Stock            251591301                     122         4,900    SH
Developers Diversified Rlty 9.44% Ser          Preferred Stock            251591509                      25         1,000    SH
Developers Divrs Realty Corp 8.375% Pf         Preferred Stock            251591608                      46         1,900    SH
Devry Inc.                                     Common Stock               251893103                      12           400    SH
Dexter Corp.                                   Common Stock               252165105                     205         6,500    SH
Diageo PLC-Sponsored ADR New                   ADR                        25243Q205                      33           711    SH
Dial Corp.                                     Common Stock               25247D101                     669        19,462    SH
Dialog Corp. PLC Sponsored Adr                 ADR                        252500103                       1           100    SH
Diamond Multimedia Systems Incorporate         Common Stock               252714100                       4           700    SH
Diamond Offshore Drilling Inc.                 Common Stock               25271C102                     396        12,520    SH
Diamond Technology Partners                    Common Stock               252762109                      12           500    SH
Dianon System Inc.                             Common Stock               252826102                      35         4,000    SH
Diebold Inc.                                   Common Stock               253651103                   1,550        64,592    SH
Digital Courier Tech Inc                       Common Stock               253838106                       7         1,200    SH

Page Total:                                                                                          18,973

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
DTE Energy CO                                                X                                    0      2,075          0
Dain Rauscher Corp.                                          X                                    0        500          0
Dallas Semiconductor Corp.                                   X                                    0        250          0
Dana Corp.                                                   X                                    0     28,692          0
Danaher Corp.                                                X                                    0      8,050          0
Danka Business Systems PLC                                   X                                    0        200          0
DAOU System Inc.                                             X                                    0     12,370          0
Darden Restaurants Inc.                                      X                                    0      5,700          0
Data General Corp.                                           X                                    0      1,000          0
Datastream System Inc                                        X                                    0      1,050          0
Davis Real Estate Fund-B                                     X                                    0        242          0
Davox Corp.                                                  X                                    0        300          0
Dayton Hudson Corp.                                          X                                    0     23,192          0
De Beers Cons Mines Ltd ADR N.E.                             X                                    0      3,200          0
Dean Foods Co                                                X                                    0        225          0
Dean Witter Realty Yield PLS II LTD                          X                                    0         20          0
Deere & Co                                                   X                                    0     45,841          0
Delaware Group Dividend &                                    X                                    0      3,087          0
Delaware Group Glabal Dividend                               X                                    0      1,000          0
Dell Computer Corp.                                          X                                    0    203,229          0
Delmarva Power & Light Trust                                 X                                    0      1,000          0
Delphi Automotive Sys Corp.                                  X                                    0      3,720          0
Delphi Financial Group Inc Cl A                              X                                    0        102          0
Delta Air Lines Inc.                                         X                                    0     22,093          0
Denbury Resources Inc                                        X                                    0        400          0
Deluxe Corp.                                                 X                                    0         70          0
Dendrite International Incorporated                          X                                    0        150          0
Denning Mobile Robotics Inc                                  X                                    0         72          0
Dentsply International, Inc.                                 X                                    0     15,568          0
Detroit Diesel Corp.                                         X                                    0      8,040          0
Deutsche Bank Sponsored ADR                                  X                                    0        240          0
Deutsche Telecom AG ADS                                      X                                    0        105          0
Developers Diversified Realty Corp.                          X                                    0      5,040          0
Developers Diversified Rlty 9.50% CL A                       X                                    0      4,900          0
Developers Diversified Rlty 9.44% Ser                        X                                    0      1,000          0
Developers Divrs Realty Corp 8.375% Pf                       X                                    0      1,900          0
Devry Inc.                                                   X                                    0        400          0
Dexter Corp.                                                 X                                    0      6,500          0
Diageo PLC-Sponsored ADR New                                 X                                    0        711          0
Dial Corp.                                                   X                                    0     19,462          0
Dialog Corp. PLC Sponsored Adr                               X                                    0        100          0
Diamond Multimedia Systems Incorporate                       X                                    0        700          0
Diamond Offshore Drilling Inc.                               X                                    0     12,520          0
Diamond Technology Partners                                  X                                    0        500          0
Dianon System Inc.                                           X                                    0      4,000          0
Diebold Inc.                                                 X                                    0     64,592          0
Digital Courier Tech Inc                                     X                                    0      1,200          0
</TABLE>

<PAGE>
Page 17 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Digital Equipment Corp.                        Preferred Stock            253849202                     156         6,100    SH
Escrow Digital Dictation Inc.                  Common Stock               25384Q998                       0            30    SH
Digital Lightwave, Inc.                        Common Stock               253855100                       1           500    SH
Digital River Inc.                             Common Stock               25388B104                      12           300    SH
Dillards Inc.                                  Common Stock               254067101                     184         7,265    SH
Dimon Inc.                                     Common Stock               254394109                      80        21,000    SH
Directrix Inc.                                 Common Stock               25459A100                       4         1,000    SH
Discount Auto Parts Inc.                       Common Stock               254642101                     129         6,000    SH
The Walt Disney Co.                            Common Stock               254687106                   9,913       318,488    SH
Diversified Senior Services Inc.               Common Stock               255340101                      21         4,400    SH
Docucorp International-W/I                     Common Stock               255911109                       0            80    SH
Dole Food Company                              Common Stock               256605106                      18           600    SH
Dollar General Corp.                           Common Stock               256669102                     155         4,557    SH
Dollar Tree Stores Inc.                        Common Stock               256747106                      14           455    SH
Dominguez Svcs Corp.                           Common Stock               257128108                      35         1,200    SH
Dominion Resources Inc. of VA                  Common Stock               257470104                   1,410        38,165    SH
Donaldson Inc.                                 Common Stock               257651109                     105         5,808    SH
Donaldson Lufkin & Jenrette                    Common Stock               257661108                     106         1,520    SH
Doncasters PLC Sponsored                       Common Stock               257692103                       8           500    SH
Donnelley (R R) & Sons Co                      Common Stock               257867101                      26           800    SH
Donnelley Enterprise Solutions Inc.            Common Stock               25786M108                      18           850    SH
Doral Financial Corp.                          Common Stock               25811P100                     119         6,450    SH
Doubleclick Inc.                               Common Stock               258609304                     235         1,290    SH
Dover Corp.                                    Common Stock               260003108                   2,926        88,990    SH
Dow Chemical Co                                Common Stock               260543103                     963        10,335    SH
Downey Financial Corp. Holding Co              Common Stock               261018105                      21         1,120    SH
Dress Barn, Inc.                               Common Stock               261570105                       6           400    SH
Dreyfus Strategic Municipal                    Common Stock               261932107                     150        15,751    SH
Dreyfus Strategic Govts Income Inc.            Common Stock               261938104                       9         1,000    SH
Dreyfus Municipal Income, Inc.                 Common Stock               26201R102                       9         1,000    SH
Du Pont (E I) de Nemours and Co.               Common Stock               263534109                   8,416       144,943    SH
Du Pont E I De Nemour                          Preferred Stock            263534208                      85         1,225    SH
Du Pont E I De Nemours & Co                    Preferred Stock            263534307                      26           300    SH
Duane Reade Inc.                               Common Stock               263578106                       8           300    SH
Duff & Phelps Utility &                        Common Stock               26432K108                     255        17,100    SH
Duke Cap Financing Trust I                     Preferred Stock            264393208                      53         2,100    SH
Duke Energy Corp.                              Common Stock               264399106                   1,071        19,605    SH
Duke Capital Fin Trust II Quips                Preferred Stock            26439E204                      63         2,500    SH
Duke Realty Investments, Inc.                  Common Stock               264411505                     957        44,495    SH
Duke Realty Investment Inc.                    Preferred Stock            264411604                      26         1,000    SH
Dun & Bradstreet Corp.                         Common Stock               26483B106                      99         2,789    SH
Dupont Photomasks Inc.                         Common Stock               26613X101                       6           150    SH
Duquesne Lt Co.                                Preferred Stock            266228709                       8           200    SH
Duquesne Light Co 7.375%                       Preferred Stock            266228840                      18           700    SH
Dura Pharmaceuticals, Inc.                     Common Stock               26632S109                       6           400    SH
Dycom Industries Inc                           Common Stock               267475101                      34           780    SH
Dynex Capital Inc.                             Common Stock               26817Q100                     377       113,866    SH

Page Total:                                                                                          28,337

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Digital Equipment Corp.                                      X                                    0      6,100          0
Escrow Digital Dictation Inc.                                X                                    0         30          0
Digital Lightwave, Inc.                                      X                                    0        500          0
Digital River Inc.                                           X                                    0        300          0
Dillards Inc.                                                X                                    0      7,265          0
Dimon Inc.                                                   X                                    0     21,000          0
Directrix Inc.                                               X                                    0      1,000          0
Discount Auto Parts Inc.                                     X                                    0      6,000          0
The Walt Disney Co.                                          X                                    0    318,488          0
Diversified Senior Services Inc.                             X                                    0      4,400          0
Docucorp International-W/I                                   X                                    0         80          0
Dole Food Company                                            X                                    0        600          0
Dollar General Corp.                                         X                                    0      4,557          0
Dollar Tree Stores Inc.                                      X                                    0        455          0
Dominguez Svcs Corp.                                         X                                    0      1,200          0
Dominion Resources Inc. of VA                                X                                    0     38,165          0
Donaldson Inc.                                               X                                    0      5,808          0
Donaldson Lufkin & Jenrette                                  X                                    0      1,520          0
Doncasters PLC Sponsored                                     X                                    0        500          0
Donnelley (R R) & Sons Co                                    X                                    0        800          0
Donnelley Enterprise Solutions Inc.                          X                                    0        850          0
Doral Financial Corp.                                        X                                    0      6,450          0
Doubleclick Inc.                                             X                                    0      1,290          0
Dover Corp.                                                  X                                    0     88,990          0
Dow Chemical Co                                              X                                    0     10,335          0
Downey Financial Corp. Holding Co                            X                                    0      1,120          0
Dress Barn, Inc.                                             X                                    0        400          0
Dreyfus Strategic Municipal                                  X                                    0     15,751          0
Dreyfus Strategic Govts Income Inc.                          X                                    0      1,000          0
Dreyfus Municipal Income, Inc.                               X                                    0      1,000          0
Du Pont (E I) de Nemours and Co.                             X                                    0    144,943          0
Du Pont E I De Nemour                                        X                                    0      1,225          0
Du Pont E I De Nemours & Co                                  X                                    0        300          0
Duane Reade Inc.                                             X                                    0        300          0
Duff & Phelps Utility &                                      X                                    0     17,100          0
Duke Cap Financing Trust I                                   X                                    0      2,100          0
Duke Energy Corp.                                            X                                    0     19,605          0
Duke Capital Fin Trust II Quips                              X                                    0      2,500          0
Duke Realty Investments, Inc.                                X                                    0     44,495          0
Duke Realty Investment Inc.                                  X                                    0      1,000          0
Dun & Bradstreet Corp.                                       X                                    0      2,789          0
Dupont Photomasks Inc.                                       X                                    0        150          0
Duquesne Lt Co.                                              X                                    0        200          0
Duquesne Light Co 7.375%                                     X                                    0        700          0
Dura Pharmaceuticals, Inc.                                   X                                    0        400          0
Dycom Industries Inc                                         X                                    0        780          0
Dynex Capital Inc.                                           X                                    0    113,866          0
</TABLE>


<PAGE>
Page 18 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
ECI Telecom Limited ORD                        Foreign Stock              268258100                      48         1,375    SH
Entergy London Capital LP 8.625% Cum           Preferred Stock            268316205                     167         6,500    SH
EEX Corporation - New                          Common Stock               26842V207                      14         2,899    SH
E M C Corp.                                    Common Stock               268648102                   2,342        18,329    SH
Ensco International Inc.                       Common Stock               26874Q100                     280        21,027    SH
ENI Spa - Sponsored ADR                        ADR                        26874R108                      12           190    SH
E Spire Communications Inc                     Common Stock               269153102                      41         2,950    SH
Etec Systems Inc.                              Common Stock               26922C103                       4           150    SH
ETI International Inc.                         Common Stock               269230108                       5         2,000    SH
E Town Corp.                                   Common Stock               269242103                      99         2,450    SH
E Trade Group Inc                              Common Stock               269246104                      74         1,272    SH
Eagle Capital Int                              Common Stock               269456109                       0             1    SH
Eagle Hardware & Garden Inc                    Common Stock               26959B101                      47         1,241    SH
Earthgrains Co                                 Common Stock               270319106                       0             4    SH
Earthlink Network Inc                          Common Stock               270322100                      30           500    SH
Earthshell Corp                                Common Stock               27032B100                      15         1,500    SH
Eastern Co.                                    Common Stock               276317104                       7           300    SH
Eastern Enterprises                            Common Stock               27637F100                      24           670    SH
Eastern Utils Assoc                            Common Stock               277173100                     130         4,600    SH
Eastgroup Properties Inc.                      Common Stock               277276101                      11           675    SH
Eastman Chemical Co                            Common Stock               277432100                      39           920    SH
Eastman Kodak Co                               Common Stock               277461109                   6,393       100,082    SH
Eaton Corp.                                    Common Stock               278058102                      63           879    SH
Ebay Inc Com                                   Common Stock               278642103                      76           552    SH
Echelon International Corp.                    Common Stock               278747100                       1            50    SH
Eclipsys Corp.                                 Common Stock               278856109                     220        10,401    SH
Ecolab                                         Common Stock               278865100                   1,679        47,300    SH
Edison International                           Common Stock               281020107                      47         2,102    SH
Educational Development Corp. Del              Common Stock               281479105                      47        18,670    SH
Edwards A G Inc.                               Common Stock               281760108                     433        13,255    SH
El Paso Electric Co New                        Common Stock               283677854                     282        37,020    SH
El Paso Energy Corp                            Common Stock               283905107                     832        25,450    SH
Elan Corp. ADR                                 ADR                        284131208                     541         7,750    SH
Elcor Corp.                                    Common Stock               284443108                      26           750    SH
Eldertrust - SBI                               Common Stock               284560109                      13         1,400    SH
Electric Lightwave Inc Cl A                    Common Stock               284895109                       1           100    SH
Electroglas, Inc.                              Common Stock               285324109                       5           400    SH
Electronic Arts                                Common Stock               285512109                      38           802    SH
Electronic Data Systems                        Common Stock               285661104                   2,544        52,244    SH
Electronics for Imaging Inc.                   Common Stock               286082102                      27           700    SH
Electrosource Inc New                          Common Stock               286150206                       0            50    SH
ELF Aquitaine                                  ADR                        286269105                      70         1,045    SH
Embratel Particpacoes ADR                      ADR                        29081N100                       2           100    SH
The Emerging Market Income Fund                Common Stock               290918101                      30         2,600    SH
Emerson Electric Co.                           Common Stock               291011104                   4,122        77,874    SH
Emmis Communications Corp Cl A                 Common Stock               291525103                      25           500    SH
Empresas ICA Sociedad                          ADR                        292448107                       0            70    SH

Page Total:                                                                                          20,905

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
ECI Telecom Limited ORD                                      X                                    0      1,375          0
Entergy London Capital LP 8.625% Cum                         X                                    0      6,500          0
EEX Corporation - New                                        X                                    0      2,899          0
E M C Corp.                                                  X                                    0     18,329          0
Ensco International Inc.                                     X                                    0     21,027          0
ENI Spa - Sponsored ADR                                      X                                    0        190          0
E Spire Communications Inc                                   X                                    0      2,950          0
Etec Systems Inc.                                            X                                    0        150          0
ETI International Inc.                                       X                                    0      2,000          0
E Town Corp.                                                 X                                    0      2,450          0
E Trade Group Inc                                            X                                    0      1,272          0
Eagle Capital Int                                            X                                    0          1          0
Eagle Hardware & Garden Inc                                  X                                    0      1,241          0
Earthgrains Co                                               X                                    0          4          0
Earthlink Network Inc                                        X                                    0        500          0
Earthshell Corp                                              X                                    0      1,500          0
Eastern Co.                                                  X                                    0        300          0
Eastern Enterprises                                          X                                    0        670          0
Eastern Utils Assoc                                          X                                    0      4,600          0
Eastgroup Properties Inc.                                    X                                    0        675          0
Eastman Chemical Co                                          X                                    0        920          0
Eastman Kodak Co                                             X                                    0    100,082          0
Eaton Corp.                                                  X                                    0        879          0
Ebay Inc Com                                                 X                                    0        552          0
Echelon International Corp.                                  X                                    0         50          0
Eclipsys Corp.                                               X                                    0     10,401          0
Ecolab                                                       X                                    0     47,300          0
Edison International                                         X                                    0      2,102          0
Educational Development Corp. Del                            X                                    0     18,670          0
Edwards A G Inc.                                             X                                    0     13,255          0
El Paso Electric Co New                                      X                                    0     37,020          0
El Paso Energy Corp                                          X                                    0     25,450          0
Elan Corp. ADR                                               X                                    0      7,750          0
Elcor Corp.                                                  X                                    0        750          0
Eldertrust - SBI                                             X                                    0      1,400          0
Electric Lightwave Inc Cl A                                  X                                    0        100          0
Electroglas, Inc.                                            X                                    0        400          0
Electronic Arts                                              X                                    0        802          0
Electronic Data Systems                                      X                                    0     52,244          0
Electronics for Imaging Inc.                                 X                                    0        700          0
Electrosource Inc New                                        X                                    0         50          0
ELF Aquitaine                                                X                                    0      1,045          0
Embratel Particpacoes ADR                                    X                                    0        100          0
The Emerging Market Income Fund                              X                                    0      2,600          0
Emerson Electric Co.                                         X                                    0     77,874          0
Emmis Communications Corp Cl A                               X                                    0        500          0
Empresas ICA Sociedad                                        X                                    0         70          0
</TABLE>




<PAGE>
Page 19 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Encad Inc                                      Common Stock               292503109                       2           325    SH
Endesa S.A. ADR                                ADR                        29258N107                     154         6,200    SH
Endocare Inc.                                  Common Stock               29264P104                       8         2,000    SH
Enersis SA Spons ADR                           ADR                        29274F104                      38         1,400    SH
Engelhard Corp.                                Common Stock               292845104                       4           212    SH
Energy North, Inc.                             Common Stock               292925104                      91         3,311    SH
Enesco Corp Inc                                Common Stock               292973104                      13           725    SH
Enhance Financial Services Group Inc.          Common Stock               293310108                      83         3,650    SH
Ennis Business Forms Inc.                      Common Stock               293389102                       4           500    SH
Enron Corp.                                    Common Stock               293561106                   2,162        33,653    SH
Enron Oil & Gas Co                             Common Stock               293562104                      38         2,300    SH
Enserch Corp. Dep Pfd Shs Ser F                Preferred Stock            293567806                      24         1,000    SH
Enron Cap Trust II 8.125% Perp Trust           Preferred Stock            29357P201                      26         1,000    SH
Entergy Louisiana Cap I Cuml                   Preferred Stock            29364A205                      25           950    SH
Entergy Arkansas Cap I 8.50%                   Preferred Stock            29364C201                      79         3,100    SH
Entergy Corp.                                  Common Stock               29364G103                      66         2,385    SH
Entergy Gulf States Capt I                     Preferred Stock            29364H200                     124         4,860    SH
Entergy Gulf State Utils Inc.                  Preferred Stock            29364L771                       5           200    SH
Entergy Gulf States Utilities Inc. $4.         Preferred Stock            29364L805                      18           400    SH
Entergy Louisiana Inc. 8% Pfd                  Preferred Stock            29364M803                      46         1,800    SH
Entergy Mississippi Inc.                       Preferred Stock            29364N405                      12           150    SH
Enterprise Oil Plc ADR                         Preferred Stock            293779203                      15           600    SH
Entremed Inc                                   Common Stock               29382F103                      37         1,750    SH
Enzo Biochem Inc.                              Common Stock               294100102                       5           500    SH
Equifax Inc.                                   Common Stock               294429105                     932        27,105    SH
Equinox Systems Inc.                           Common Stock               294436100                      28         3,000    SH
The Equitable Companies                        Common Stock               29444G107                     117         1,672    SH
Equitable Federal Svgs Bank                    Common Stock               294487103                      13           800    SH
Equitable of Iowa Cos Capital                  Preferred Stock            294513205                      21           800    SH
Equitable Resources Inc.                       Common Stock               294549100                      81         3,112    SH
Equity Income Fd                               Common Stock               294700703                     373         2,102    SH
Equity Inns Inc.                               Common Stock               294703103                       9         1,000    SH
Equity Inv Fd                                  Common Stock               294710553                       0            12    SH
Equity Office Properties Tr                    Common Stock               294741103                       7           281    SH
Equity Office Properties Tr 8.625 Ser          Preferred Stock            294741608                      47         1,900    SH
Equity Residential Properties Trust            Common Stock               29476L107                     229         5,554    SH
Equity Residential Properties                  Preferred Stock            29476L206                      73         2,900    SH
Equity Residential Pptys Trust 7.625%          Preferred Stock            29476L792                      44         1,930    SH
Equity Residential Pptys Trust                 Preferred Stock            29476L826                      52         2,000    SH
Equity Residential Pptys Trust Ser G           Preferred Stock            29476L859                      22         1,000    SH
Equity Residential Pptys Tr Ser F Pfd          Preferred Stock            29476L875                      48         1,900    SH
Ericsson L M Tel Co ADR Cl B                   ADR                        294821400                   1,198        50,311    SH
Environmental Control Products                 Common Stock               294905104                       0           833    SH
Erie Indemnity Company - Cl A                  Common Stock               29530P102                      50         1,800    SH
Espirito Santo Financial Hldg S.A.             ADR                        29665F200                      20         1,250    SH
Esterline Technologies Corp                    Common Stock               297425100                      13         1,000    SH
Ethan Allen Interiors, Inc.                    Common Stock               297602104                   1,734        41,725    SH

Page Total:                                                                                           8,185

                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------

Encad Inc                                                    X                                    0        325          0
Endesa S.A. ADR                                              X                                    0      6,200          0
Endocare Inc.                                                X                                    0      2,000          0
Enersis SA Spons ADR                                         X                                    0      1,400          0
Engelhard Corp.                                              X                                    0        212          0
Energy North, Inc.                                           X                                    0      3,311          0
Enesco Corp Inc                                              X                                    0        725          0
Enhance Financial Services Group Inc.                        X                                    0      3,650          0
Ennis Business Forms Inc.                                    X                                    0        500          0
Enron Corp.                                                  X                                    0     33,653          0
Enron Oil & Gas Co                                           X                                    0      2,300          0
Enserch Corp. Dep Pfd Shs Ser F                              X                                    0      1,000          0
Enron Cap Trust II 8.125% Perp Trust                         X                                    0      1,000          0
Entergy Louisiana Cap I Cuml                                 X                                    0        950          0
Entergy Arkansas Cap I 8.50%                                 X                                    0      3,100          0
Entergy Corp.                                                X                                    0      2,385          0
Entergy Gulf States Capt I                                   X                                    0      4,860          0
Entergy Gulf State Utils Inc.                                X                                    0        200          0
Entergy Gulf States Utilities Inc. $4.                       X                                    0        400          0
Entergy Louisiana Inc. 8% Pfd                                X                                    0      1,800          0
Entergy Mississippi Inc.                                     X                                    0        150          0
Enterprise Oil Plc ADR                                       X                                    0        600          0
Entremed Inc                                                 X                                    0      1,750          0
Enzo Biochem Inc.                                            X                                    0        500          0
Equifax Inc.                                                 X                                    0     27,105          0
Equinox Systems Inc.                                         X                                    0      3,000          0
The Equitable Companies                                      X                                    0      1,672          0
Equitable Federal Svgs Bank                                  X                                    0        800          0
Equitable of Iowa Cos Capital                                X                                    0        800          0
Equitable Resources Inc.                                     X                                    0      3,112          0
Equity Income Fd                                             X                                    0      2,102          0
Equity Inns Inc.                                             X                                    0      1,000          0
Equity Inv Fd                                                X                                    0         12          0
Equity Office Properties Tr                                  X                                    0        281          0
Equity Office Properties Tr 8.625 Ser                        X                                    0      1,900          0
Equity Residential Properties Trust                          X                                    0      5,554          0
Equity Residential Properties                                X                                    0      2,900          0
Equity Residential Pptys Trust 7.625%                        X                                    0      1,930          0
Equity Residential Pptys Trust                               X                                    0      2,000          0
Equity Residential Pptys Trust Ser G                         X                                    0      1,000          0
Equity Residential Pptys Tr Ser F Pfd                        X                                    0      1,900          0
Ericsson L M Tel Co ADR Cl B                                 X                                    0     50,311          0
Environmental Control Products                               X                                    0        833          0
Erie Indemnity Company - Cl A                                X                                    0      1,800          0
Espirito Santo Financial Hldg S.A.                           X                                    0      1,250          0
Esterline Technologies Corp                                  X                                    0      1,000          0
Ethan Allen Interiors, Inc.                                  X                                    0     41,725          0
</TABLE>

<PAGE>
Page 20 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Ethyl Corp.                                    Common Stock               297659104                      11         2,505    SH
European Warrant Fd Inc.                       Common Stock               298792102                      97         6,927    SH
Everest Reinsurance Holdings Inc.              Common Stock               299808105                      39         1,260    SH
Exactech Inc.                                  Common Stock               30064E109                      94         9,050    SH
Excal Enterprises Inc                          Common Stock               300902103                       2           800    SH
Excite Inc.                                    Common Stock               300904109                      42           300    SH
Exide Corp                                     Common Stock               302051107                      11         1,000    SH
Exodux Communications Inc.                     Common Stock               302088109                      38           280    SH
Express Scripts Inc. CL A                      Common Stock               302182100                      17           200    SH
Exxon Corp.                                    Common Stock               302290101                  15,616       221,309    SH
F & M Bancorp                                  Common Stock               302367107                       9           300    SH
F & M National Corp.                           Common Stock               302374103                      24         1,000    SH
FFY Financial Corp                             Common Stock               30242U108                     101         5,500    SH
FCNB Capital Trust 8.25%                       Preferred Stock            30243V204                      54         2,100    SH
FMC Corp.                                      Common Stock               302491303                      15           300    SH
F N B Corp.                                    Common Stock               302520101                     182         7,912    SH
FPA Medical Management Inc.                    Common Stock               302543103                       0         1,000    SH
F P L Group Inc.                               Common Stock               302571104                     905        16,992    SH
FSI International, Incorporated                Common Stock               302633102                       8         1,300    SH
Fw Pfd Cap Tr I 9% PFD                         Preferred Stock            302684204                      19           750    SH
FCNB Corp.                                     Common Stock               302920103                     262        13,700    SH
FTI Consulting Inc.                            Common Stock               302941109                      48        16,600    SH
Fair Isaac & Co Inc.                           Common Stock               303250104                     417        11,260    SH
Fairfield Communities Inc.                     Common Stock               304231301                       0            48    SH
Family Dollar Stores Inc.                      Common Stock               307000109                       5           200    SH
Family Golf Centers Inc.                       Common Stock               30701A106                      22         3,000    SH
Farmer Brothers Co                             Common Stock               307675108                      20           100    SH
Farm Family Holdings Inc.                      Common Stock               307901108                      16           500    SH
Farmers Natl Banc Corp                         Common Stock               309627107                      15           370    SH
Fauquier Bankshares Inc.                       Common Stock               312082100                      55         2,992    SH
FDX Corp.                                      Common Stock               31304N107                   1,113        11,994    SH
Freddie Mac                                    Common Stock               313400301                   3,868        67,710    SH
Freddie Mac 6.688% 1998 Ser A                  Common Stock               313400871                     759        30,500    SH
Fannie Mae                                     Common Stock               313586109                  21,169       305,695    SH
Fannie Mae 6.50 Non -Cum PFD Ser B             Preferred Stock            313586307                       5           100    SH
Federal Realty Investment Trust                Common Stock               313747206                     708        33,392    SH
Fed Rlty Invs Tr 7.95% Perpetual PFD           Preferred Stock            313747404                      33         1,400    SH
Federal Signal Corp.                           Common Stock               313855108                   1,950        93,398    SH
Federated Department Stores                    Common Stock               31410H101                     281         7,000    SH
Federated Investors Inc ( PA ) Cl B            Common Stock               314211103                      39         2,150    SH
Felcor Lodging Trust Inc                       Common Stock               31430F101                      46         2,000    SH
Ferro Corp.                                    Common Stock               315405100                     337        13,600    SH
Fidelity Bancorp                               Common Stock               315831107                      66         3,738    SH
Fidelity Capital Trust I 8.375% PFD            Preferred Stock            315931204                      72         7,500    SH
Fifth Third Bancorp                            Common Stock               316773100                     272         4,118    SH
Fila Holdings SPA American                     ADR                        316850106                       8         1,000    SH
Filenet Corp                                   Common Stock               316869106                       1           200    SH

Page Total:                                                                                          48,872

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Ethyl Corp.                                                  X                                    0      2,505          0
European Warrant Fd Inc.                                     X                                    0      6,927          0
Everest Reinsurance Holdings Inc.                            X                                    0      1,260          0
Exactech Inc.                                                X                                    0      9,050          0
Excal Enterprises Inc                                        X                                    0        800          0
Excite Inc.                                                  X                                    0        300          0
Exide Corp                                                   X                                    0      1,000          0
Exodux Communications Inc.                                   X                                    0        280          0
Express Scripts Inc. CL A                                    X                                    0        200          0
Exxon Corp.                                                  X                                    0    221,309          0
F & M Bancorp                                                X                                    0        300          0
F & M National Corp.                                         X                                    0      1,000          0
FFY Financial Corp                                           X                                    0      5,500          0
FCNB Capital Trust 8.25%                                     X                                    0      2,100          0
FMC Corp.                                                    X                                    0        300          0
F N B Corp.                                                  X                                    0      7,912          0
FPA Medical Management Inc.                                  X                                    0      1,000          0
F P L Group Inc.                                             X                                    0     16,992          0
FSI International, Incorporated                              X                                    0      1,300          0
Fw Pfd Cap Tr I 9% PFD                                       X                                    0        750          0
FCNB Corp.                                                   X                                    0     13,700          0
FTI Consulting Inc.                                          X                                    0     16,600          0
Fair Isaac & Co Inc.                                         X                                    0     11,260          0
Fairfield Communities Inc.                                   X                                    0         48          0
Family Dollar Stores Inc.                                    X                                    0        200          0
Family Golf Centers Inc.                                     X                                    0      3,000          0
Farmer Brothers Co                                           X                                    0        100          0
Farm Family Holdings Inc.                                    X                                    0        500          0
Farmers Natl Banc Corp                                       X                                    0        370          0
Fauquier Bankshares Inc.                                     X                                    0      2,992          0
FDX Corp.                                                    X                                    0     11,994          0
Freddie Mac                                                  X                                    0     67,710          0
Freddie Mac 6.688% 1998 Ser A                                X                                    0     30,500          0
Fannie Mae                                                   X                                    0    305,695          0
Fannie Mae 6.50 Non -Cum PFD Ser B                           X                                    0        100          0
Federal Realty Investment Trust                              X                                    0     33,392          0
Fed Rlty Invs Tr 7.95% Perpetual PFD                         X                                    0      1,400          0
Federal Signal Corp.                                         X                                    0     93,398          0
Federated Department Stores                                  X                                    0      7,000          0
Federated Investors Inc ( PA ) Cl B                          X                                    0      2,150          0
Felcor Lodging Trust Inc                                     X                                    0      2,000          0
Ferro Corp.                                                  X                                    0     13,600          0
Fidelity Bancorp                                             X                                    0      3,738          0
Fidelity Capital Trust I 8.375% PFD                          X                                    0      7,500          0
Fifth Third Bancorp                                          X                                    0      4,118          0
Fila Holdings SPA American                                   X                                    0      1,000          0
Filenet Corp                                                 X                                    0        200          0
</TABLE>

<PAGE>
Page 21 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Financial Security Assurance                   Common Stock               31769P100                     667        13,440    SH
Fingerhut Cos. Inc.                            Common Stock               317867992                       0           300    SH
Finova Group Inc.                              Common Stock               317928109                   5,718       110,235    SH
First Australia Prime Income Fd                Common Stock               318653102                      75        12,284    SH
First American Corp. Tenn                      Common Stock               318900107                      37         1,000    SH
First Central Financial Corp                   Common Stock               318908100                       0         7,700    SH
First Bank of Philadelphia                     Common Stock               319258208                      13         2,550    SH
First Bell Bancorp Inc.                        Common Stock               319301107                     170        10,000    SH
First Cap Instl Real Estate LTD                Limited Partner            31941R404                       0           250    SH
First Charter Corp.                            Common Stock               319439105                     387        20,355    SH
First Ctzns Bancshares Inc. NC                 Common Stock               31946M103                      57           700    SH
Frist Comwlth Finl Corp. PA                    Common Stock               319829107                      12           580    SH
The First Commonwealth Fund Inc.               Common Stock               31983F102                       5           500    SH
First Consulting Group Inc                     Common Stock               31986R103                       3           231    SH
First Data Corp.                               Common Stock               319963104                   2,545        59,541    SH
Fec Shareholders Tr-Dep Pref                   Common Stock               320135957                       0            32    SH
FEC Shareholders Trust Pfd                     Preferred Stock            320135965                       0           800    SH
FEC Shareholders Trust 11.50% Cum PFD          Preferred Stock            320135973                       0            75    SH
FEC Shareholders Trust                         Common Stock               320135999                       0           546    SH
First Financial Bankshares Inc.                Common Stock               32020R109                      38         1,184    SH
First Financial Corp. - Texas                  Common Stock               320222102                       0            59    SH
First Financial Fund Inc.                      Common Stock               320228109                     399        54,095    SH
First Frederick Financial Corp.                Common Stock               320273105                      52         2,646    SH
First Industrial Realty Trust                  Common Stock               32054K103                     168         7,000    SH
First Ind Realty Trust Inc. 9.50% PFD          Preferred Stock            32054K202                      17           700    SH
First Industrial Realty Tr Inc 8.625%          Preferred Stock            32054K608                      14           575    SH
First Industrial Realty Tr Inc 7.95% D         Preferred Stock            32054K806                      21         1,000    SH
First Mariner Bancorp Inc.                     Common Stock               320795107                      34         2,830    SH
First Maryland Bancorp                         Preferred Stock            320806201                     117         4,600    SH
First Health Group Corp.                       Common Stock               320960107                     675        42,037    SH
First Savings Bancorp Inc.                     Common Stock               335939104                       4           200    SH
First Republic Bank                            Common Stock               336158100                      24         1,000    SH
First Security Corp.                           Common Stock               336294103                      88         4,552    SH
First Tennessee                                Common Stock               337162101                     404        11,025    SH
First Union Corp.                              Common Stock               337358105                  16,747       313,389    SH
First Un Real Estate Equity &                  Common Stock               337400105                      11         2,550    SH
First United Bancshares Inc.                   Common Stock               33741E104                     777        56,000    SH
First VA Banks Inc.                            Common Stock               337477103                     204         4,475    SH
First Washington Realty Trust                  Common Stock               337489504                      21         1,000    SH
First Washington Realty Trust Pfd              Preferred Stock            337489603                      60         2,200    SH
First Western Bancorp                          Common Stock               337505101                      77         2,455    SH
Firstservice Corp. Sub-Vtg Shs                 Foreign Stock              33761N109                      84         6,400    SH
Firstar Corporation                            Common Stock               33763V109                     823         9,200    SH
Fiserv Inc.                                    Common Stock               337738108                      31           572    SH
Firstmerit Corp.                               Common Stock               337915102                      69         2,664    SH
Firstenergy Corp.                              Common Stock               337932107                     141         5,062    SH
Fischer Scientific International Inc.          Common Stock               338032105                      79         1,650    SH

Page Total:                                                                                          30,868

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Financial Security Assurance                                 X                                    0     13,440          0
Fingerhut Cos. Inc.                                          X                                    0        300          0
Finova Group Inc.                                            X                                    0    110,235          0
First Australia Prime Income Fd                              X                                    0     12,284          0
First American Corp. Tenn                                    X                                    0      1,000          0
First Central Financial Corp                                 X                                    0      7,700          0
First Bank of Philadelphia                                   X                                    0      2,550          0
First Bell Bancorp Inc.                                      X                                    0     10,000          0
First Cap Instl Real Estate LTD                              X                                    0        250          0
First Charter Corp.                                          X                                    0     20,355          0
First Ctzns Bancshares Inc. NC                               X                                    0        700          0
Frist Comwlth Finl Corp. PA                                  X                                    0        580          0
The First Commonwealth Fund Inc.                             X                                    0        500          0
First Consulting Group Inc                                   X                                    0        231          0
First Data Corp.                                             X                                    0     59,541          0
Fec Shareholders Tr-Dep Pref                                 X                                    0         32          0
FEC Shareholders Trust Pfd                                   X                                    0        800          0
FEC Shareholders Trust 11.50% Cum PFD                        X                                    0         75          0
FEC Shareholders Trust                                       X                                    0        546          0
First Financial Bankshares Inc.                              X                                    0      1,184          0
First Financial Corp. - Texas                                X                                    0         59          0
First Financial Fund Inc.                                    X                                    0     54,095          0
First Frederick Financial Corp.                              X                                    0      2,646          0
First Industrial Realty Trust                                X                                    0      7,000          0
First Ind Realty Trust Inc. 9.50% PFD                        X                                    0        700          0
First Industrial Realty Tr Inc 8.625%                        X                                    0        575          0
First Industrial Realty Tr Inc 7.95% D                       X                                    0      1,000          0
First Mariner Bancorp Inc.                                   X                                    0      2,830          0
First Maryland Bancorp                                       X                                    0      4,600          0
First Health Group Corp.                                     X                                    0     42,037          0
First Savings Bancorp Inc.                                   X                                    0        200          0
First Republic Bank                                          X                                    0      1,000          0
First Security Corp.                                         X                                    0      4,552          0
First Tennessee                                              X                                    0     11,025          0
First Union Corp.                                            X                                    0    313,389          0
First Un Real Estate Equity &                                X                                    0      2,550          0
First United Bancshares Inc.                                 X                                    0     56,000          0
First VA Banks Inc.                                          X                                    0      4,475          0
First Washington Realty Trust                                X                                    0      1,000          0
First Washington Realty Trust Pfd                            X                                    0      2,200          0
First Western Bancorp                                        X                                    0      2,455          0
Firstservice Corp. Sub-Vtg Shs                               X                                    0      6,400          0
Firstar Corporation                                          X                                    0      9,200          0
Fiserv Inc.                                                  X                                    0        572          0
Firstmerit Corp.                                             X                                    0      2,664          0
Firstenergy Corp.                                            X                                    0      5,062          0
Fischer Scientific International Inc.                        X                                    0      1,650          0
</TABLE>


<PAGE>
Page 22 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Fleet Financial Group, Inc.                    Common Stock               338915101                   1,796        47,726    SH
Fleetwood Enterprises Inc.                     Common Stock               339099103                   1,153        40,280    SH
Fletcher Challenge Ltd Forest                  ADR                        339324402                       0            10    SH
Fletcher Chall Paper ADR                       ADR                        339325102                       2           250    SH
Florida East Coast Inds Inc                    Common Stock               340632108                      15           500    SH
Florida Progress                               Common Stock               341109106                     256         6,775    SH
Flowers Inds Inc.                              Common Stock               343496105                      33         1,359    SH
Fluor Corp.                                    Common Stock               343861100                     144         5,335    SH
Focus Enhancements Inc                         Common Stock               344159108                       1           800    SH
Focus Surgery Inc                              Common Stock               344163100                       0            40    SH
Fonar Corp. Cl A Pfd                           Preferred Stock            344437306                       0           440    SH
Food Lion Inc. Class B                         Common Stock               344775101                     237        26,309    SH
Food Lion Inc.                                 Common Stock               344775200                     493        53,557    SH
Footstar Inc.                                  Common Stock               344912100                      10           322    SH
Forcenergy Inc.                                Common Stock               345206106                       1           500    SH
Ford Motor Co Cap Tr I TOPRS 9.00% PFD         Preferred Stock            345343206                      29         1,050    SH
Ford Motor Co.                                 Common Stock               345370100                  13,652       240,561    SH
Fore Systems Inc.                              Common Stock               345449102                     113         6,000    SH
Forest Labs Inc.                               Common Stock               345838106                     257         4,550    SH
Forest Oil Corp                                Common Stock               346091606                       5           700    SH
Fort Dearborn Income Secs Inc.                 Common Stock               347200107                       7           450    SH
Fort James Corp.                               Common Stock               347471104                      99         3,130    SH
Fortress Group Inc.                            Common Stock               34956K108                      20        10,000    SH
Fortune Brands Inc.                            Common Stock               349631101                     871        22,510    SH
Fortune Financial Systems                      Common Stock               34965A109                       0         1,000    SH
Foster Wheeler Corp.                           Common Stock               350244109                     214        17,620    SH
Foundation Health Systems                      Common Stock               350404109                     141        11,575    SH
Fountain Pwr Boat Inds Inc.                    Common Stock               350755302                      10         2,250    SH
Four Media Co                                  Common Stock               350872107                       4           700    SH
Fox Entertainment Group Inc                    Common Stock               35138T107                       5           200    SH
Franchise Finance Corp. of America             Common Stock               351807102                      79         3,756    SH
Franco Nev Mng Ltd                             Common Stock               351860101                       6           360    SH
Franklin Covey Co.                             Common Stock               353469109                     257        28,530    SH
Franklin Electric Inc.                         Common Stock               353514102                  13,956       214,709    SH
Franklin Multi-Income Trust                    Common Stock               354021107                      34         3,775    SH
Franklin Resources                             Common Stock               354613101                     803        28,542    SH
Frederick Brewing Co Com New                   Common Stock               355673203                       1           500    SH
Freeport McMoran Copper & Gold, Inc.           Common Stock               35671D105                      11         1,062    SH
Freeport McMoran Copper & Gold                 Preferred Stock            35671D501                       3           200    SH
Freeport McMoran Copper And Gold               Common Stock               35671D857                       7           605    SH
Fremont General Corp.                          Common Stock               357288109                      85         4,435    SH
Fresenius National Medical Care                Preferred Stock            358030203                       0           312    SH
Friede Goldman Intl Inc                        Common Stock               358430106                      24         1,500    SH
Friedman Billings Ramsey Grp Inc. CL A         Common Stock               358433100                      58         8,700    SH
Frontier Corp.                                 Common Stock               35906P105                     220         4,250    SH
Frontier Insurance Group Inc.                  Common Stock               359081106                      16         1,320    SH
Forntier Oil & Gas Co.                         Common Stock               359141108                       0           110    SH

Page Total:                                                                                          35,127

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Fleet Financial Group, Inc.                                  X                                    0     47,726          0
Fleetwood Enterprises Inc.                                   X                                    0     40,280          0
Fletcher Challenge Ltd Forest                                X                                    0         10          0
Fletcher Chall Paper ADR                                     X                                    0        250          0
Florida East Coast Inds Inc                                  X                                    0        500          0
Florida Progress                                             X                                    0      6,775          0
Flowers Inds Inc.                                            X                                    0      1,359          0
Fluor Corp.                                                  X                                    0      5,335          0
Focus Enhancements Inc                                       X                                    0        800          0
Focus Surgery Inc                                            X                                    0         40          0
Fonar Corp. Cl A Pfd                                         X                                    0        440          0
Food Lion Inc. Class B                                       X                                    0     26,309          0
Food Lion Inc.                                               X                                    0     53,557          0
Footstar Inc.                                                X                                    0        322          0
Forcenergy Inc.                                              X                                    0        500          0
Ford Motor Co Cap Tr I TOPRS 9.00% PFD                       X                                    0      1,050          0
Ford Motor Co.                                               X                                    0    240,561          0
Fore Systems Inc.                                            X                                    0      6,000          0
Forest Labs Inc.                                             X                                    0      4,550          0
Forest Oil Corp                                              X                                    0        700          0
Fort Dearborn Income Secs Inc.                               X                                    0        450          0
Fort James Corp.                                             X                                    0      3,130          0
Fortress Group Inc.                                          X                                    0     10,000          0
Fortune Brands Inc.                                          X                                    0     22,510          0
Fortune Financial Systems                                    X                                    0      1,000          0
Foster Wheeler Corp.                                         X                                    0     17,620          0
Foundation Health Systems                                    X                                    0     11,575          0
Fountain Pwr Boat Inds Inc.                                  X                                    0      2,250          0
Four Media Co                                                X                                    0        700          0
Fox Entertainment Group Inc                                  X                                    0        200          0
Franchise Finance Corp. of America                           X                                    0      3,756          0
Franco Nev Mng Ltd                                           X                                    0        360          0
Franklin Covey Co.                                           X                                    0     28,530          0
Franklin Electric Inc.                                       X                                    0    214,709          0
Franklin Multi-Income Trust                                  X                                    0      3,775          0
Franklin Resources                                           X                                    0     28,542          0
Frederick Brewing Co Com New                                 X                                    0        500          0
Freeport McMoran Copper & Gold, Inc.                         X                                    0      1,062          0
Freeport McMoran Copper & Gold                               X                                    0        200          0
Freeport McMoran Copper And Gold                             X                                    0        605          0
Fremont General Corp.                                        X                                    0      4,435          0
Fresenius National Medical Care                              X                                    0        312          0
Friede Goldman Intl Inc                                      X                                    0      1,500          0
Friedman Billings Ramsey Grp Inc. CL A                       X                                    0      8,700          0
Frontier Corp.                                               X                                    0      4,250          0
Frontier Insurance Group Inc.                                X                                    0      1,320          0
Forntier Oil & Gas Co.                                       X                                    0        110          0
</TABLE>


<PAGE>
Page 23 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Fulton Financial Corp. PA                      Common Stock               360271100                     963        42,004    SH
Fund American Enterprises                      Common Stock               360768105                     296         2,225    SH
Furniture Brands Intl Inc.                     Common Stock               360921100                      53         2,389    SH
RTS Fusion Systems Corp.                       Common Stock               361129117                       0         3,450    SH
Gatx Corp.                                     Common Stock               361448103                     854        25,932    SH
GRC Intl Inc.                                  Common Stock               361922107                       1           100    SH
GP Strategies Corp                             Common Stock               36225V104                       4           250    SH
GPU Inc.                                       Common Stock               36225X100                     260         6,980    SH
G T E Corp.                                    Common Stock               362320103                   5,850        96,698    SH
GTE Delaware L P 9.25% Cum PFD MIPS            Preferred Stock            36232E202                       5           200    SH
GTE Delaware 8.75% Cumulative Monthly          Preferred Stock            36232E301                      77         3,000    SH
GTE Florida Inc.                               Preferred Stock            362333205                       3           150    SH
GTS Duratek Inc. New                           Common Stock               36237J107                      27         5,300    SH
Gabelli Equity Tr Inc.                         Common Stock               362397101                     230        19,354    SH
Gabelli Global Multimedia Tr                   Common Stock               36239Q109                       2           186    SH
Gabelli Global Multi Media Tr Inc.             Preferred Stock            36239Q208                      15           600    SH
Gables Residential Trust Com                   Common Stock               362418105                     115         5,224    SH
Gables Residential Trust 8.30% Cum Red         Preferred Stock            362418204                      56         2,300    SH
Galileo International Inc.                     Common Stock               363547100                      17           350    SH
Gallagher Arthur J & Co                        Common Stock               363576109                       1            30    SH
Gallaher Group PLC-Spon ADR                    ADR                        363595109                     152         6,458    SH
Gannett Co                                     Common Stock               364730101                     187         2,965    SH
Gap Inc.                                       Common Stock               364760108                     870        12,922    SH
Gardenburger Inc.                              Common Stock               365476100                       8           800    SH
Gargoyles Inc                                  Common Stock               366033108                       1         4,000    SH
Gartner Group Incorporated  Class A            Common Stock               366651107                      23         1,000    SH
Gateway 2000 Inc.                              Common Stock               367833100                   2,135        31,133    SH
Gaylord Entertainment Co                       Common Stock               367905106                       7           278    SH
Gaylord Container Corp.                        Common Stock               368145108                       8         1,000    SH
Geltex Pharmaceuticals Inc.                    Common Stock               368538104                       6           400    SH
Gencorp Inc.                                   Common Stock               368682100                       4           225    SH
Gene Logic Inc.                                Common Stock               368689105                       8         1,580    SH
Genentech Inc.                                 Common Stock               368710307                      50           560    SH
General American Investors Co                  Common Stock               368802104                       1            37    SH
General Cable Corp.                            Common Stock               369300108                      11         1,000    SH
General Development Corp                       Common Stock               369497102                       0            10    SH
General Dynamics Corp.                         Common Stock               369550108                      30           470    SH
General Electric                               Common Stock               369604103                  37,019       334,636    SH
General Electric                               ADR                        369639307                       3           310    SH
General Growth Properties, Inc.                Common Stock               370021107                      50         1,550    SH
General Instrument Corp.                       Common Stock               370120107                     226         7,450    SH
General Mills                                  Common Stock               370334104                   1,026        13,580    SH
General Motors Corp.                           Common Stock               370442105                  11,716       134,862    SH
General Motors Corp. - CL H New                Common Stock               370442832                     427         8,459    SH
General Nutrition Companies                    Common Stock               37047F103                     378        26,975    SH
General Re Corp.                               Common Stock               370563108                      12            50    SH
General Semiconductor Inc.                     Common Stock               370787103                       9         1,225    SH

Page Total:                                                                                          63,195

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Fulton Financial Corp. PA                                    X                                    0     42,004          0
Fund American Enterprises                                    X                                    0      2,225          0
Furniture Brands Intl Inc.                                   X                                    0      2,389          0
RTS Fusion Systems Corp.                                     X                                    0      3,450          0
Gatx Corp.                                                   X                                    0     25,932          0
GRC Intl Inc.                                                X                                    0        100          0
GP Strategies Corp                                           X                                    0        250          0
GPU Inc.                                                     X                                    0      6,980          0
G T E Corp.                                                  X                                    0     96,698          0
GTE Delaware L P 9.25% Cum PFD MIPS                          X                                    0        200          0
GTE Delaware 8.75% Cumulative Monthly                        X                                    0      3,000          0
GTE Florida Inc.                                             X                                    0        150          0
GTS Duratek Inc. New                                         X                                    0      5,300          0
Gabelli Equity Tr Inc.                                       X                                    0     19,354          0
Gabelli Global Multimedia Tr                                 X                                    0        186          0
Gabelli Global Multi Media Tr Inc.                           X                                    0        600          0
Gables Residential Trust Com                                 X                                    0      5,224          0
Gables Residential Trust 8.30% Cum Red                       X                                    0      2,300          0
Galileo International Inc.                                   X                                    0        350          0
Gallagher Arthur J & Co                                      X                                    0         30          0
Gallaher Group PLC-Spon ADR                                  X                                    0      6,458          0
Gannett Co                                                   X                                    0      2,965          0
Gap Inc.                                                     X                                    0     12,922          0
Gardenburger Inc.                                            X                                    0        800          0
Gargoyles Inc                                                X                                    0      4,000          0
Gartner Group Incorporated  Class A                          X                                    0      1,000          0
Gateway 2000 Inc.                                            X                                    0     31,133          0
Gaylord Entertainment Co                                     X                                    0        278          0
Gaylord Container Corp.                                      X                                    0      1,000          0
Geltex Pharmaceuticals Inc.                                  X                                    0        400          0
Gencorp Inc.                                                 X                                    0        225          0
Gene Logic Inc.                                              X                                    0      1,580          0
Genentech Inc.                                               X                                    0        560          0
General American Investors Co                                X                                    0         37          0
General Cable Corp.                                          X                                    0      1,000          0
General Development Corp                                     X                                    0         10          0
General Dynamics Corp.                                       X                                    0        470          0
General Electric                                             X                                    0    334,636          0
General Electric                                             X                                    0        310          0
General Growth Properties, Inc.                              X                                    0      1,550          0
General Instrument Corp.                                     X                                    0      7,450          0
General Mills                                                X                                    0     13,580          0
General Motors Corp.                                         X                                    0    134,862          0
General Motors Corp. - CL H New                              X                                    0      8,459          0
General Nutrition Companies                                  X                                    0     26,975          0
General Re Corp.                                             X                                    0         50          0
General Semiconductor Inc.                                   X                                    0      1,225          0
</TABLE>


<PAGE>
Page 24 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Gentex Corp.                                   Common Stock               371901109                       4           200    SH
Genesis Health Ventures Inc.                   Common Stock               371912106                      12         2,500    SH
Genlyte Group Inc.                             Common Stock               372302109                       6           400    SH
Genuine Parts Co.                              Common Stock               372460105                     139         4,828    SH
Genzyme Transgenics Corp.                      Common Stock               37246E105                       8         2,000    SH
Genzyme Corp.-General Division                 Common Stock               372917104                   2,330        46,204    SH
Genzyme Corp.-Tissue Repair                    Common Stock               372917401                      16         6,862    SH
Genzyme-Molecular Oncology                     Common Stock               372917500                       9         2,378    SH
Georgia-Pacific Corp.                          Common Stock               373298108                      98         1,325    SH
Georgia Pacific Corp. (Timber Group)           Common Stock               373298702                      38         1,700    SH
Gerogia Power Cap Trust I                      Preferred Stock            373331206                      64         2,500    SH
Georgia Power Co. SR Notes                     Preferred Stock            373334556                      25         1,000    SH
Georgia Power Co 6.875% Senior Public          Preferred Stock            373334564                      48         1,950    SH
Geoworks Corp.                                 Common Stock               373692102                       0           100    SH
Getty Petroleum Marketing                      Common Stock               374292100                       1           500    SH
Giant Industries Inc.                          Common Stock               374508109                       3           400    SH
Gilead Sciences Inc.                           Common Stock               375558103                      11           250    SH
Gillette Co.                                   Common Stock               375766102                   9,626       161,946    SH
Glaxo Wellcome PLC - Spons ADR                 ADR                        37733W105                     441         6,593    SH
Glenayre Technologies Inc.                     Common Stock               377899109                       3           900    SH
Glenborough Realty Trust Inc.                  Common Stock               37803P105                       8           442    SH
Gliatech Inc                                   Common Stock               37929C103                      19           800    SH
Glimcher Realty Trust                          Common Stock               379302102                      64         4,475    SH
Global Directmail Corp.                        Common Stock               379321102                      13           800    SH
Global Industries Ltd                          Common Stock               379336100                     230        22,675    SH
Global High Income Dollar Fund Inc.            Common Stock               37933G108                      17         1,500    SH
Global Imaging Systems Inc                     Common Stock               37934A100                       4           300    SH
Global Marine Inc.                             Common Stock               379352404                     162        13,765    SH
Globecomm Systems Inc                          Common Stock               37956X103                       6         1,000    SH
Golden Star Resources Ltd                      Common Stock               38119T104                       0           200    SH
Golden West Finl Corp. Del                     Common Stock               381317106                      61           635    SH
Goldfield Corp.                                Common Stock               381370105                       0           400    SH
Golf Trust of America Inc.                     Common Stock               38168B103                      54         2,400    SH
Goodrich B.F. Co.                              Common Stock               382388106                      45         1,310    SH
Goodrich Petroleum Corp.                       Common Stock               382410405                       0           375    SH
Goodyear Tire & Rubber Co                      Common Stock               382550101                   1,037        20,817    SH
W.R. Grace & Co.                               Common Stock               38388F108                     188        15,530    SH
Graco Inc.                                     Common Stock               384109104                       4           200    SH
Grainger WW Inc.                               Common Stock               384802104                   2,810        65,242    SH
Grand Metropolitan Delaware LP Cum Pfd         Preferred Stock            386087209                      46         1,625    SH
Grange National Banc Corp - PA                 Common Stock               387026107                       1            17    SH
Granite Construction Co                        Common Stock               387328107                       4           150    SH
Great Lakes Chemical Corp.                     Common Stock               390568103                      23           625    SH
The Greater China Fund                         Common Stock               39167B102                       3           460    SH
Greenpoint Financial Corp.                     Common Stock               395384100                     687        19,775    SH
Grey Wolf Inc.                                 Common Stock               397888108                       5         3,500    SH
Greyhound Lines Inc.                           Common Stock               398048108                      36         5,500    SH

Page Total:                                                                                          18,410

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Gentex Corp.                                                 X                                    0        200          0
Genesis Health Ventures Inc.                                 X                                    0      2,500          0
Genlyte Group Inc.                                           X                                    0        400          0
Genuine Parts Co.                                            X                                    0      4,828          0
Genzyme Transgenics Corp.                                    X                                    0      2,000          0
Genzyme Corp.-General Division                               X                                    0     46,204          0
Genzyme Corp.-Tissue Repair                                  X                                    0      6,862          0
Genzyme-Molecular Oncology                                   X                                    0      2,378          0
Georgia-Pacific Corp.                                        X                                    0      1,325          0
Georgia Pacific Corp. (Timber Group)                         X                                    0      1,700          0
Gerogia Power Cap Trust I                                    X                                    0      2,500          0
Georgia Power Co. SR Notes                                   X                                    0      1,000          0
Georgia Power Co 6.875% Senior Public                        X                                    0      1,950          0
Geoworks Corp.                                               X                                    0        100          0
Getty Petroleum Marketing                                    X                                    0        500          0
Giant Industries Inc.                                        X                                    0        400          0
Gilead Sciences Inc.                                         X                                    0        250          0
Gillette Co.                                                 X                                    0    161,946          0
Glaxo Wellcome PLC - Spons ADR                               X                                    0      6,593          0
Glenayre Technologies Inc.                                   X                                    0        900          0
Glenborough Realty Trust Inc.                                X                                    0        442          0
Gliatech Inc                                                 X                                    0        800          0
Glimcher Realty Trust                                        X                                    0      4,475          0
Global Directmail Corp.                                      X                                    0        800          0
Global Industries Ltd                                        X                                    0     22,675          0
Global High Income Dollar Fund Inc.                          X                                    0      1,500          0
Global Imaging Systems Inc                                   X                                    0        300          0
Global Marine Inc.                                           X                                    0     13,765          0
Globecomm Systems Inc                                        X                                    0      1,000          0
Golden Star Resources Ltd                                    X                                    0        200          0
Golden West Finl Corp. Del                                   X                                    0        635          0
Goldfield Corp.                                              X                                    0        400          0
Golf Trust of America Inc.                                   X                                    0      2,400          0
Goodrich B.F. Co.                                            X                                    0      1,310          0
Goodrich Petroleum Corp.                                     X                                    0        375          0
Goodyear Tire & Rubber Co                                    X                                    0     20,817          0
W.R. Grace & Co.                                             X                                    0     15,530          0
Graco Inc.                                                   X                                    0        200          0
Grainger WW Inc.                                             X                                    0     65,242          0
Grand Metropolitan Delaware LP Cum Pfd                       X                                    0      1,625          0
Grange National Banc Corp - PA                               X                                    0         17          0
Granite Construction Co                                      X                                    0        150          0
Great Lakes Chemical Corp.                                   X                                    0        625          0
The Greater China Fund                                       X                                    0        460          0
Greenpoint Financial Corp.                                   X                                    0     19,775          0
Grey Wolf Inc.                                               X                                    0      3,500          0
Greyhound Lines Inc.                                         X                                    0      5,500          0
</TABLE>


<PAGE>
Page 25 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Griffon Corp.                                  Common Stock               398433102                   7,397     1,075,917    SH
Gristedes Sloans Inc.                          Common Stock               398635102                       4         2,000    SH
Grossmans Inc                                  Common Stock               399215102                       0         1,500    SH
Grupo Televisa, S.A. GDS                       ADR                        40049J206                       3            90    SH
Guarantee Life Companies Inc.                  Common Stock               400740106                     228        13,387    SH
Guatanteed Tune-Up Inc                         Common Stock               400758108                       0           300    SH
Guaranty Financial Corp.                       Common Stock               401086103                       7           660    SH
Gucci Group NV - NY Reg Shrs                   ADR                        401566104                     207         2,575    SH
Guidant Corp.                                  Common Stock               401698105                     885        14,628    SH
Guilford Mills Inc.                            Common Stock               401794102                       4           500    SH
Guilford Pharmaceutical Inc.                   Common Stock               401829106                      65         5,750    SH
Gulf Island Fabrication Inc.                   Common Stock               402307102                      15         1,400    SH
Gulf Power Capt Trust I 7.625%                 Preferred Stock            402473201                      41         1,600    SH
Gulfstream Aerospace Corp.                     Common Stock               402734107                       4           100    SH
HCIA, Inc.                                     Common Stock               403908106                       3           700    SH
HMT Technology Corp.                           Common Stock               403917107                     108        30,854    SH
H & Q Life Sciences Investors                  Common Stock               404053100                      70         6,354    SH
HCC Insurance Holdings Inc.                    Common Stock               404132102                       6           300    SH
HCR Manor Care Inc                             Common Stock               404134108                     268        11,769    SH
Heco Capt Tr I 8.05% Cum Qtly                  Preferred Stock            404151201                      30         1,200    SH
Heco Capital Trust II Pfd Secs Ser 7.3         Preferred Stock            40415B209                       5           200    SH
Hie Inc                                        Common Stock               40419W100                       5         1,000    SH
HL&P Capital Trust I-8.125% Tr PFD Sr          Preferred Stock            404202202                      13           500    SH
HRPT Proprties Trust                           Common Stock               40426W101                     653        48,366    SH
HSBC Holdings                                  ADR                        404280307                      47           150    SH
HSB Group Inc.                                 Common Stock               40428N109                      50         1,350    SH
Hadco Corp.                                    Common Stock               404681108                     339        10,770    SH
Hain Food Group Inc                            Common Stock               405219106                       7           400    SH
Halliburton Co.                                Common Stock               406216101                   1,613        41,893    SH
Halter Marine Group Inc.                       Common Stock               40642Y105                     216        37,175    SH
Hambrecht & Quist Group Inc.                   Common Stock               406545103                       7           200    SH
John Hancock Bank & Thrift                     Common Stock               409735107                     330        35,928    SH
John Hancock Income Sec Trust                  Common Stock               410123103                       8           550    SH
John Hancock Patriot Preferred                 Common Stock               41013J107                     181        15,000    SH
John Hancock Patriot Premium                   Common Stock               41013T105                      83         7,440    SH
Hanger Orthopedic Group, Inc.                  Common Stock               41043F208                     133         9,850    SH
Hannaford Brothers Inc.                        Common Stock               410550107                   9,262       203,834    SH
Hanson Plc Spon ADR New                        ADR                        411352404                       4            99    SH
Harbor Federal Bancorp Inc.                    Common Stock               41151A108                     171        10,300    SH
Harcourt General Inc.                          Common Stock               41163G101                     603        13,610    SH
Harken Energy Corp.                            Common Stock               412552101                       0           200    SH
Harland John H Co                              Common Stock               412693103                      41         3,200    SH
Harley Davidson, Inc.                          Common Stock               412822108                   8,026       139,574    SH
Harleysville Group, Inc.                       Common Stock               412824104                       6           300    SH
Harleysville National  Corp. - PA              Common Stock               412850109                      11           300    SH
Harman International Industries Inc.           Common Stock               413086109                      72         1,967    SH
Harnischfeger Industries Inc.                  Common Stock               413345109                      17         3,000    SH

Page Total:                                                                                          31,249

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Griffon Corp.                                                X                                    0  1,075,917          0
Gristedes Sloans Inc.                                        X                                    0      2,000          0
Grossmans Inc                                                X                                    0      1,500          0
Grupo Televisa, S.A. GDS                                     X                                    0         90          0
Guarantee Life Companies Inc.                                X                                    0     13,387          0
Guatanteed Tune-Up Inc                                       X                                    0        300          0
Guaranty Financial Corp.                                     X                                    0        660          0
Gucci Group NV - NY Reg Shrs                                 X                                    0      2,575          0
Guidant Corp.                                                X                                    0     14,628          0
Guilford Mills Inc.                                          X                                    0        500          0
Guilford Pharmaceutical Inc.                                 X                                    0      5,750          0
Gulf Island Fabrication Inc.                                 X                                    0      1,400          0
Gulf Power Capt Trust I 7.625%                               X                                    0      1,600          0
Gulfstream Aerospace Corp.                                   X                                    0        100          0
HCIA, Inc.                                                   X                                    0        700          0
HMT Technology Corp.                                         X                                    0     30,854          0
H & Q Life Sciences Investors                                X                                    0      6,354          0
HCC Insurance Holdings Inc.                                  X                                    0        300          0
HCR Manor Care Inc                                           X                                    0     11,769          0
Heco Capt Tr I 8.05% Cum Qtly                                X                                    0      1,200          0
Heco Capital Trust II Pfd Secs Ser 7.3                       X                                    0        200          0
Hie Inc                                                      X                                    0      1,000          0
HL&P Capital Trust I-8.125% Tr PFD Sr                        X                                    0        500          0
HRPT Proprties Trust                                         X                                    0     48,366          0
HSBC Holdings                                                X                                    0        150          0
HSB Group Inc.                                               X                                    0      1,350          0
Hadco Corp.                                                  X                                    0     10,770          0
Hain Food Group Inc                                          X                                    0        400          0
Halliburton Co.                                              X                                    0     41,893          0
Halter Marine Group Inc.                                     X                                    0     37,175          0
Hambrecht & Quist Group Inc.                                 X                                    0        200          0
John Hancock Bank & Thrift                                   X                                    0     35,928          0
John Hancock Income Sec Trust                                X                                    0        550          0
John Hancock Patriot Preferred                               X                                    0     15,000          0
John Hancock Patriot Premium                                 X                                    0      7,440          0
Hanger Orthopedic Group, Inc.                                X                                    0      9,850          0
Hannaford Brothers Inc.                                      X                                    0    203,834          0
Hanson Plc Spon ADR New                                      X                                    0         99          0
Harbor Federal Bancorp Inc.                                  X                                    0     10,300          0
Harcourt General Inc.                                        X                                    0     13,610          0
Harken Energy Corp.                                          X                                    0        200          0
Harland John H Co                                            X                                    0      3,200          0
Harley Davidson, Inc.                                        X                                    0    139,574          0
Harleysville Group, Inc.                                     X                                    0        300          0
Harleysville National  Corp. - PA                            X                                    0        300          0
Harman International Industries Inc.                         X                                    0      1,967          0
Harnischfeger Industries Inc.                                X                                    0      3,000          0
</TABLE>


<PAGE>
Page 26 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Harrah's Entertainment Inc.                    Common Stock               413619107                      20         1,065    SH
Harris Corp.                                   Common Stock               413875105                      82         2,856    SH
Harris Preferred Capital Corp. 7.375%          Preferred Stock            414567206                      76         3,000    SH
Harsco Corp.                                   Common Stock               415864107                     298        11,834    SH
Hartford Capital I Inc. 7.70% Pfd Ser          Preferred Stock            416315208                      81         3,200    SH
Hartford Capital II 8.35%                      Preferred Stock            416320208                      88         3,400    SH
Hartford Financial Services Group Inc.         Common Stock               416515104                   1,056        18,580    SH
Hartford Life Inc.                             Common Stock               416592103                      99         1,800    SH
Hasbro Inc.                                    Common Stock               418056107                      56         1,944    SH
Hatteras Income Secs Inc.                      Common Stock               419025101                      88         6,250    SH
Haven Bancorp Inc.                             Common Stock               419352109                       3           200    SH
Haverty Furniture Co Inc.                      Common Stock               419596101                     585        23,050    SH
Hawaiian Elec Inds Inc.                        Common Stock               419870100                      19           548    SH
Hawaiian Elec Industries Capt                  Preferred Stock            41987M201                      81         3,200    SH
Health Care Property Investors Inc.            Common Stock               421915109                      23           800    SH
Hlth Care Ppty Inv 7.875% PFD Ser A            Preferred Stock            421915307                      23         1,000    SH
Healthcare Ppty Invs Inc 8.70% Pfd             Preferred Stock            421915406                      26         1,100    SH
Healthsouth Corp.                              Common Stock               421924101                   2,238       215,757    SH
Health Management Associates, Inc. Cl          Common Stock               421933102                     144        11,824    SH
Healthcare Realty Trust                        Common Stock               421946104                     289        15,236    SH
Heartport Inc.                                 Common Stock               421969106                       2           350    SH
Health Care REIT, Inc.                         Common Stock               42217K106                     322        14,975    SH
Health Care Reit Inc 8.875%                    Preferred Stock            42217K205                      42         1,900    SH
Healthcare Financial Partners Inc.             Common Stock               42219W108                     115         4,420    SH
Healtheon Corp.                                Common Stock               422209106                       9           200    SH
Heartland Express Inc.                         Common Stock               422347104                   1,452        95,600    SH
Heilig-Myers Co                                Common Stock               422893107                      26         5,035    SH
Heineken N V - ADR                             ADR                        423012202                     170         3,374    SH
H J Heinz Co                                   Common Stock               423074103                   4,573        96,520    SH
Helix Technology Inc.                          Common Stock               423319102                      14           921    SH
Hellenic Telecommun Org - ADR                  ADR                        423325307                       6           500    SH
Heller Financial Inc Cl A                      Common Stock               423328103                      12           500    SH
Helmerich & Payne                              Common Stock               423452101                     118         5,200    SH
Hercules Inc.                                  Common Stock               427056106                      19           765    SH
Hercules Trust I 9.42%                         Preferred Stock            427097209                      30         1,200    SH
Hershey Foods Corp.                            Common Stock               427866108                   1,779        31,761    SH
Hewlett-Packard Co.                            Common Stock               428236103                  20,350       300,090    SH
Hibernia Corp. Class A                         Common Stock               428656102                     653        49,748    SH
Highline Inds Inc.                             Common Stock               431108109                       0         5,000    SH
Highwoods Properties Inc.                      Common Stock               431284108                   1,579        67,022    SH
Highwoods Properties Inc. 8% PFD Ser B         Preferred Stock            431284306                      65         2,950    SH
Hillenbrand Industry Inc.                      Common Stock               431573104                     441         9,541    SH
Rts Hills Stores Co.                           Common Stock               431692987                       0             2    SH
Hilton Hotels Corp.                            Common Stock               432848109                      64         4,544    SH
Hitachi Ltd ADR 10 Com                         ADR                        433578507                     111         1,530    SH
Hitox Corp. of America                         Common Stock               433658101                       1           500    SH
Hoechst AG ADR                                 ADR                        434390308                       5           110    SH

Page Total:                                                                                          37,332

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Harrah's Entertainment Inc.                                  X                                    0      1,065          0
Harris Corp.                                                 X                                    0      2,856          0
Harris Preferred Capital Corp. 7.375%                        X                                    0      3,000          0
Harsco Corp.                                                 X                                    0     11,834          0
Hartford Capital I Inc. 7.70% Pfd Ser                        X                                    0      3,200          0
Hartford Capital II 8.35%                                    X                                    0      3,400          0
Hartford Financial Services Group Inc.                       X                                    0     18,580          0
Hartford Life Inc.                                           X                                    0      1,800          0
Hasbro Inc.                                                  X                                    0      1,944          0
Hatteras Income Secs Inc.                                    X                                    0      6,250          0
Haven Bancorp Inc.                                           X                                    0        200          0
Haverty Furniture Co Inc.                                    X                                    0     23,050          0
Hawaiian Elec Inds Inc.                                      X                                    0        548          0
Hawaiian Elec Industries Capt                                X                                    0      3,200          0
Health Care Property Investors Inc.                          X                                    0        800          0
Hlth Care Ppty Inv 7.875% PFD Ser A                          X                                    0      1,000          0
Healthcare Ppty Invs Inc 8.70% Pfd                           X                                    0      1,100          0
Healthsouth Corp.                                            X                                    0    215,757          0
Health Management Associates, Inc. Cl                        X                                    0     11,824          0
Healthcare Realty Trust                                      X                                    0     15,236          0
Heartport Inc.                                               X                                    0        350          0
Health Care REIT, Inc.                                       X                                    0     14,975          0
Health Care Reit Inc 8.875%                                  X                                    0      1,900          0
Healthcare Financial Partners Inc.                           X                                    0      4,420          0
Healtheon Corp.                                              X                                    0        200          0
Heartland Express Inc.                                       X                                    0     95,600          0
Heilig-Myers Co                                              X                                    0      5,035          0
Heineken N V - ADR                                           X                                    0      3,374          0
H J Heinz Co                                                 X                                    0     96,520          0
Helix Technology Inc.                                        X                                    0        921          0
Hellenic Telecommun Org - ADR                                X                                    0        500          0
Heller Financial Inc Cl A                                    X                                    0        500          0
Helmerich & Payne                                            X                                    0      5,200          0
Hercules Inc.                                                X                                    0        765          0
Hercules Trust I 9.42%                                       X                                    0      1,200          0
Hershey Foods Corp.                                          X                                    0     31,761          0
Hewlett-Packard Co.                                          X                                    0    300,090          0
Hibernia Corp. Class A                                       X                                    0     49,748          0
Highline Inds Inc.                                           X                                    0      5,000          0
Highwoods Properties Inc.                                    X                                    0     67,022          0
Highwoods Properties Inc. 8% PFD Ser B                       X                                    0      2,950          0
Hillenbrand Industry Inc.                                    X                                    0      9,541          0
Rts Hills Stores Co.                                         X                                    0          2          0
Hilton Hotels Corp.                                          X                                    0      4,544          0
Hitachi Ltd ADR 10 Com                                       X                                    0      1,530          0
Hitox Corp. of America                                       X                                    0        500          0
Hoechst AG ADR                                               X                                    0        110          0
</TABLE>




<PAGE>
Page 27 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Hollywood Entertainment Corp.                  Common Stock               436141105                      22         1,200    SH
Hollywood Park Incorporated                    Common Stock               436255103                      41         4,000    SH
Hologic Inc.                                   Common Stock               436440101                      40         4,400    SH
Home Depot Inc.                                Common Stock               437076102                   7,514       120,701    SH
Home Properties of New York,                   Common Stock               437306103                      57         2,462    SH
Homebase Inc.                                  Common Stock               43738E108                     249        56,035    SH
Homestake Mining Co                            Common Stock               437614100                       3           345    SH
HON Industries Inc.                            Common Stock               438092108                     797        36,325    SH
Honda Motor LTD AMER SHS                       ADR                        438128308                       9           100    SH
Honeywell Inc.                                 Common Stock               438506107                   1,525        20,120    SH
Hong Kong Telecom Adr                          ADR                        438579203                     136         6,935    SH
Horace Mann Educators                          Common Stock               440327104                   1,631        70,320    SH
Horizon Group Properties Inc                   Common Stock               44041U102                       1           270    SH
Hormel Foods Corp.                             Common Stock               440452100                      79         2,230    SH
Hospital Staffing Svcs, Inc.                   Common Stock               440900108                       0            60    SH
Host Marriott Service Corp.                    Common Stock               440914109                       4           628    SH
Hospitality Properties Trust                   Common Stock               44106M102                     907        33,516    SH
Host Marriott Corp                             Common Stock               44107P104                     276        24,778    SH
Houghton Mifflin Co                            Common Stock               441560109                     599        12,768    SH
Household Capital Trust I 8.25% Cum PF         Preferred Stock            44180E208                      88         3,500    SH
Household Capital Trust IV 7.25% Cum T         Preferred Stock            44180R209                      34         1,360    SH
Household International Inc.                   Common Stock               441815107                     959        21,021    SH
Household International Inc. PFD $4.30         Preferred Stock            441815792                      37           450    SH
Houston Inds Inc. 7.00% Pfd                    Preferred Stock            442161204                      10            85    SH
Howmet International Inc.                      Common Stock               443208103                     424        29,605    SH
Hubbell Inc.  CL A                             Common Stock               443510102                     487        13,175    SH
Hubbell Inc.  CL B                             Common Stock               443510201                   2,175        54,375    SH
Hughes Supply Inc.                             Common Stock               444482103                     566        24,860    SH
Humana Inc.                                    Common Stock               444859102                     522        30,255    SH
Human Genome Sciences Inc.                     Common Stock               444903108                       3           100    SH
Huntington Bancshares Inc.                     Common Stock               446150104                     109         3,531    SH
Hussmann International Inc.                    Common Stock               448110106                      14           978    SH
Hutchinson Technology Inc.                     Common Stock               448407106                      62         2,500    SH
Hutchinson Whampoa - Unsp ADR                  ADR                        448415208                       6           150    SH
Hvide Marine Inc. Cl A                         Common Stock               448515106                      15         3,460    SH
ICN Pharmaceuticals Inc.                       Common Stock               448924100                   1,715        68,104    SH
IDT Corp.                                      Common Stock               448947101                      26         1,450    SH
IAC Capital Trust 8.25% Trust Orig Pfd         Preferred Stock            44919E206                      44         1,800    SH
IBP Inc.                                       Common Stock               449223106                       2           100    SH
ICF Kaiser International Inc.                  Common Stock               449244102                       0           200    SH
ICG Communications Inc.                        Common Stock               449246107                      31         1,553    SH
Icos Corp.                                     Common Stock               449295104                      47         1,400    SH
I.C.U. Med Inc.                                Common Stock               44930G107                      16         1,000    SH
IDEC Pharmaceutical Corp.                      Common Stock               449370105                      45           875    SH
IEM S A Amern Shs                              ADR                        449496207                       0            12    SH
IFR Sys Inc.                                   Common Stock               449507102                       0            82    SH
Igen International  Inc.                       Common Stock               449536101                      14           600    SH

Page Total:                                                                                          21,342

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Hollywood Entertainment Corp.                                X                                    0      1,200          0
Hollywood Park Incorporated                                  X                                    0      4,000          0
Hologic Inc.                                                 X                                    0      4,400          0
Home Depot Inc.                                              X                                    0    120,701          0
Home Properties of New York,                                 X                                    0      2,462          0
Homebase Inc.                                                X                                    0     56,035          0
Homestake Mining Co                                          X                                    0        345          0
HON Industries Inc.                                          X                                    0     36,325          0
Honda Motor LTD AMER SHS                                     X                                    0        100          0
Honeywell Inc.                                               X                                    0     20,120          0
Hong Kong Telecom Adr                                        X                                    0      6,935          0
Horace Mann Educators                                        X                                    0     70,320          0
Horizon Group Properties Inc                                 X                                    0        270          0
Hormel Foods Corp.                                           X                                    0      2,230          0
Hospital Staffing Svcs, Inc.                                 X                                    0         60          0
Host Marriott Service Corp.                                  X                                    0        628          0
Hospitality Properties Trust                                 X                                    0     33,516          0
Host Marriott Corp                                           X                                    0     24,778          0
Houghton Mifflin Co                                          X                                    0     12,768          0
Household Capital Trust I 8.25% Cum PF                       X                                    0      3,500          0
Household Capital Trust IV 7.25% Cum T                       X                                    0      1,360          0
Household International Inc.                                 X                                    0     21,021          0
Household International Inc. PFD $4.30                       X                                    0        450          0
Houston Inds Inc. 7.00% Pfd                                  X                                    0         85          0
Howmet International Inc.                                    X                                    0     29,605          0
Hubbell Inc.  CL A                                           X                                    0     13,175          0
Hubbell Inc.  CL B                                           X                                    0     54,375          0
Hughes Supply Inc.                                           X                                    0     24,860          0
Humana Inc.                                                  X                                    0     30,255          0
Human Genome Sciences Inc.                                   X                                    0        100          0
Huntington Bancshares Inc.                                   X                                    0      3,531          0
Hussmann International Inc.                                  X                                    0        978          0
Hutchinson Technology Inc.                                   X                                    0      2,500          0
Hutchinson Whampoa - Unsp ADR                                X                                    0        150          0
Hvide Marine Inc. Cl A                                       X                                    0      3,460          0
ICN Pharmaceuticals Inc.                                     X                                    0     68,104          0
IDT Corp.                                                    X                                    0      1,450          0
IAC Capital Trust 8.25% Trust Orig Pfd                       X                                    0      1,800          0
IBP Inc.                                                     X                                    0        100          0
ICF Kaiser International Inc.                                X                                    0        200          0
ICG Communications Inc.                                      X                                    0      1,553          0
Icos Corp.                                                   X                                    0      1,400          0
I.C.U. Med Inc.                                              X                                    0      1,000          0
IDEC Pharmaceutical Corp.                                    X                                    0        875          0
IEM S A Amern Shs                                            X                                    0         12          0
IFR Sys Inc.                                                 X                                    0         82          0
Igen International  Inc.                                     X                                    0        600          0
</TABLE>




<PAGE>
Page 28 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
IMC Global Inc.                                Common Stock               449669100                      69         3,375    SH
Imco Recycling Inc.                            Common Stock               449681105                       4           300    SH
I-Link Inc.                                    Common Stock               449927102                      11         4,300    SH
IMS Health Inc.                                Common Stock               449934108                   2,678        80,843    SH
IRT Property Co                                Common Stock               450058102                     171        19,360    SH
ITC Deltacom Inc.                              Common Stock               45031T104                     202         9,250    SH
ITT Educational Services Inc                   Common Stock               45068B109                      11           300    SH
IXC Communications Inc.                        Common Stock               450713102                       2            40    SH
I T T Industries Inc.                          Common Stock               450911102                     205         5,798    SH
Idacorp Inc                                    Common Stock               451107106                     297        10,114    SH
IDEX Corp.                                     Common Stock               45167R104                       1            60    SH
Idexx Laboratories Corp.                       Common Stock               45168D104                      28         1,150    SH
IKON Office Solutions Inc.                     Common Stock               451713101                     249        19,449    SH
Identix Inc.                                   Common Stock               451906101                      22         3,300    SH
Illinois Tool Works                            Common Stock               452308109                     239         3,860    SH
Illinova Corp.                                 Common Stock               452317100                      29         1,350    SH
Image Entertainment Inc. Com                   Common Stock               452439201                     112        19,110    SH
Imation Corp.                                  Common Stock               45245A107                       7           420    SH
Imclone Systems Inc                            Common Stock               45245W109                   1,374        81,450    SH
Immunex Corp.                                  Common Stock               452528102                     475         5,700    SH
Immunogen Inc.                                 Common Stock               45253H101                       0           100    SH
Imperial Chemical Inds Plc Adr                 ADR                        452704505                      11           300    SH
Immunomedics Inc.                              Common Stock               452907108                       2           600    SH
Inacom Corp.                                   Common Stock               45323G109                     129        16,680    SH
Independent Bank Corp.                         Common Stock               453836108                     302        22,043    SH
Independent Capital Trust I                    Preferred Stock            45384F206                     435        16,975    SH
Independent Energy Hldgs PLC ADR               ADR                        45384X108                      20         2,000    SH
The India Fund, Inc.                           Common Stock               454089103                     186        19,860    SH
Indiana Energy Inc.                            Common Stock               454707100                      23         1,200    SH
Indiana Mich Pwr co 7.60%                      Common Stock               454889791                      18           700    SH
Industr-Matematik Intl Corp.                   Common Stock               455792101                      11         5,400    SH
Industrial Bancorp Inc.                        Common Stock               455882100                      39         2,000    SH
Industrial Distribution Group                  Common Stock               456061100                       3           500    SH
Industrial Hldgs Inc.                          Common Stock               456160100                       2           250    SH
Indymac Mtg Hldgs Inc                          Common Stock               456607100                      30         2,799    SH
Infinity Broadcasting Corp.                    Common Stock               45662S102                      32         1,250    SH
Infodata Systems Inc. New                      Common Stock               456650209                       1           232    SH
Informix Corp.                                 Common Stock               456779107                     150        20,400    SH
Infoseek Corp.                                 Common Stock               45678M107                      17           225    SH
Ing Groep NV Spons ADR                         ADR                        456837103                     236         4,300    SH
Ingersoll-Rand Co                              Common Stock               456866102                     760        15,315    SH
Ingles Markets Inc.                            Common Stock               457030104                      22         1,900    SH
Ingram Micro Inc.                              Common Stock               457153104                     113         4,935    SH
Inktomi Corp                                   Common Stock               457277101                      26           300    SH
Inland Resources Inc/Wash                      Common Stock               457469203                       2         1,000    SH
Input/Output Inc.                              Common Stock               457652105                      41         6,500    SH
Inkeepers USA Trust                            Common Stock               4576J0104                      95        10,156    SH

Page Total:                                                                                           8,888

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
IMC Global Inc.                                              X                                    0      3,375          0
Imco Recycling Inc.                                          X                                    0        300          0
I-Link Inc.                                                  X                                    0      4,300          0
IMS Health Inc.                                              X                                    0     80,843          0
IRT Property Co                                              X                                    0     19,360          0
ITC Deltacom Inc.                                            X                                    0      9,250          0
ITT Educational Services Inc                                 X                                    0        300          0
IXC Communications Inc.                                      X                                    0         40          0
I T T Industries Inc.                                        X                                    0      5,798          0
Idacorp Inc                                                  X                                    0     10,114          0
IDEX Corp.                                                   X                                    0         60          0
Idexx Laboratories Corp.                                     X                                    0      1,150          0
IKON Office Solutions Inc.                                   X                                    0     19,449          0
Identix Inc.                                                 X                                    0      3,300          0
Illinois Tool Works                                          X                                    0      3,860          0
Illinova Corp.                                               X                                    0      1,350          0
Image Entertainment Inc. Com                                 X                                    0     19,110          0
Imation Corp.                                                X                                    0        420          0
Imclone Systems Inc                                          X                                    0     81,450          0
Immunex Corp.                                                X                                    0      5,700          0
Immunogen Inc.                                               X                                    0        100          0
Imperial Chemical Inds Plc Adr                               X                                    0        300          0
Immunomedics Inc.                                            X                                    0        600          0
Inacom Corp.                                                 X                                    0     16,680          0
Independent Bank Corp.                                       X                                    0     22,043          0
Independent Capital Trust I                                  X                                    0     16,975          0
Independent Energy Hldgs PLC ADR                             X                                    0      2,000          0
The India Fund, Inc.                                         X                                    0     19,860          0
Indiana Energy Inc.                                          X                                    0      1,200          0
Indiana Mich Pwr co 7.60%                                    X                                    0        700          0
Industr-Matematik Intl Corp.                                 X                                    0      5,400          0
Industrial Bancorp Inc.                                      X                                    0      2,000          0
Industrial Distribution Group                                X                                    0        500          0
Industrial Hldgs Inc.                                        X                                    0        250          0
Indymac Mtg Hldgs Inc                                        X                                    0      2,799          0
Infinity Broadcasting Corp.                                  X                                    0      1,250          0
Infodata Systems Inc. New                                    X                                    0        232          0
Informix Corp.                                               X                                    0     20,400          0
Infoseek Corp.                                               X                                    0        225          0
Ing Groep NV Spons ADR                                       X                                    0      4,300          0
Ingersoll-Rand Co                                            X                                    0     15,315          0
Ingles Markets Inc.                                          X                                    0      1,900          0
Ingram Micro Inc.                                            X                                    0      4,935          0
Inktomi Corp                                                 X                                    0        300          0
Inland Resources Inc/Wash                                    X                                    0      1,000          0
Input/Output Inc.                                            X                                    0      6,500          0
Inkeepers USA Trust                                          X                                    0     10,156          0
</TABLE>


<PAGE>
Page 29 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Insured Municipal Income Fund                  Common Stock               45809F104                     137         9,665    SH
Integrated Device Technology                   Common Stock               458118106                      12         2,200    SH
Integrated Health Services Inc.                Common Stock               45812C106                     434        78,908    SH
Intel Corp.                                    Common Stock               458140100                  22,667       190,277    SH
Intelidata Technologies Corp.                  Common Stock               45814T107                       0           100    SH
Inter Tel Incorporated                         Common Stock               458372109                      20         1,300    SH
Interface Inc.                                 Common Stock               458665106                      29         3,000    SH
Inter-Digital Communications Corp.             Common Stock               45866A105                       0            50    SH
Interim Services Inc.                          Common Stock               45868P100                       7           476    SH
Interlake Corp.                                Common Stock               458702982                       0         1,000    SH
Intermagnetics General Corp.                   Common Stock               458771102                       8         1,000    SH
Intermedia Communications Inc.                 Common Stock               458801107                      16           600    SH
Intermet Corp.                                 Common Stock               45881K104                      17         1,300    SH
International Business Machines                Common Stock               459200101                  18,373       103,654    SH
Intl Business Machine Corp 7.50% PFD A         Preferred Stock            459200309                      22           800    SH
International Flavors & Fragrances             Common Stock               459506101                     277         7,370    SH
International Gaming Mgmt                      Common Stock               459548103                       0         1,100    SH
International Home Foods Inc                   Common Stock               459655106                     310        19,275    SH
International Intergration Inc                 Common Stock               459698106                      18           550    SH
International Game Technology                  Common Stock               459902102                       7           450    SH
International Multifoods Corp.                 Common Stock               460043102                      71         3,040    SH
International Paper Cap TR III 7.875%          Preferred Stock            460140205                      43         1,700    SH
International Paper Co.                        Common Stock               460146103                     996        23,605    SH
Intl Rectifier Corp.                           Common Stock               460254105                      42         6,000    SH
International Shipholding Corp.                Common Stock               460321201                     167        13,389    SH
Intl Speedway Corp. Cl A                       Common Stock               460335201                      26           500    SH
Interneuron Pharmaceutical                     Common Stock               460573108                       3         1,200    SH
Interpublic Group Companies Inc.               Common Stock               460690100                     198         2,538    SH
Interstate Bakeries Corp.                      Common Stock               46072H108                      22         1,000    SH
Interstate Energy Corp - Wisc                  Common Stock               460845100                   3,082       116,317    SH
Intrawest Corp.                                Foreign Stock              460915200                      22         1,300    SH
Intertan Inc.                                  Common Stock               461120107                       2           160    SH
Intertechnology Solar Inc                      Common Stock               461126104                       0           300    SH
Intimate Brands Inc.                           Common Stock               461156101                      29           605    SH
Intuit Corp.                                   Common Stock               461202103                     127         1,250    SH
Invesco Global Health Sciences Fund            Common Stock               46128N109                     244        12,725    SH
Iomega Corp.                                   Common Stock               462030107                     127        24,753    SH
Ionics Inc.                                    Common Stock               462218108                      11           350    SH
Ipalco Enterprises Inc.                        Common Stock               462613100                     408        18,588    SH
Iron & Glass Bancorp                           Common Stock               462735101                      27         1,200    SH
Irvine Apartment Communities Inc               Common Stock               463606103                      16           500    SH
I C Isaacs & Co Inc.                           Common Stock               464192103                       1         1,050    SH
Ispat International NV                         ADR                        464899103                       4           600    SH
Isramco Inc                                    Common Stock               465141406                       0            30    SH
12 Technologies Inc.                           Common Stock               465754109                     203         7,650    SH
IVAX Corp.                                     Common Stock               465823102                     200        16,925    SH
Ivillage Inc.                                  Common Stock               46588H105                      50           500    SH

Page Total:                                                                                          48,476

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Insured Municipal Income Fund                                X                                    0      9,665          0
Integrated Device Technology                                 X                                    0      2,200          0
Integrated Health Services Inc.                              X                                    0     78,908          0
Intel Corp.                                                  X                                    0    190,277          0
Intelidata Technologies Corp.                                X                                    0        100          0
Inter Tel Incorporated                                       X                                    0      1,300          0
Interface Inc.                                               X                                    0      3,000          0
Inter-Digital Communications Corp.                           X                                    0         50          0
Interim Services Inc.                                        X                                    0        476          0
Interlake Corp.                                              X                                    0      1,000          0
Intermagnetics General Corp.                                 X                                    0      1,000          0
Intermedia Communications Inc.                               X                                    0        600          0
Intermet Corp.                                               X                                    0      1,300          0
International Business Machines                              X                                    0    103,654          0
Intl Business Machine Corp 7.50% PFD A                       X                                    0        800          0
International Flavors & Fragrances                           X                                    0      7,370          0
International Gaming Mgmt                                    X                                    0      1,100          0
International Home Foods Inc                                 X                                    0     19,275          0
International Intergration Inc                               X                                    0        550          0
International Game Technology                                X                                    0        450          0
International Multifoods Corp.                               X                                    0      3,040          0
International Paper Cap TR III 7.875%                        X                                    0      1,700          0
International Paper Co.                                      X                                    0     23,605          0
Intl Rectifier Corp.                                         X                                    0      6,000          0
International Shipholding Corp.                              X                                    0     13,389          0
Intl Speedway Corp. Cl A                                     X                                    0        500          0
Interneuron Pharmaceutical                                   X                                    0      1,200          0
Interpublic Group Companies Inc.                             X                                    0      2,538          0
Interstate Bakeries Corp.                                    X                                    0      1,000          0
Interstate Energy Corp - Wisc                                X                                    0    116,317          0
Intrawest Corp.                                              X                                    0      1,300          0
Intertan Inc.                                                X                                    0        160          0
Intertechnology Solar Inc                                    X                                    0        300          0
Intimate Brands Inc.                                         X                                    0        605          0
Intuit Corp.                                                 X                                    0      1,250          0
Invesco Global Health Sciences Fund                          X                                    0     12,725          0
Iomega Corp.                                                 X                                    0     24,753          0
Ionics Inc.                                                  X                                    0        350          0
Ipalco Enterprises Inc.                                      X                                    0     18,588          0
Iron & Glass Bancorp                                         X                                    0      1,200          0
Irvine Apartment Communities Inc                             X                                    0        500          0
I C Isaacs & Co Inc.                                         X                                    0      1,050          0
Ispat International NV                                       X                                    0        600          0
Isramco Inc                                                  X                                    0         30          0
12 Technologies Inc.                                         X                                    0      7,650          0
IVAX Corp.                                                   X                                    0     16,925          0
Ivillage Inc.                                                X                                    0        500          0
</TABLE>


<PAGE>
Page 30 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
JDN Realty Corp.                               Common Stock               465917102                     102         5,125    SH
JDN Realty Corp Pfd Ser A 9.375%               Preferred Stock            465917201                      20           800    SH
JPM Co                                         Common Stock               465933109                       5           500    SH
J Alexander Corp.                              Common Stock               466096104                     201        56,470    SH
JLG Industries Inc.                            Common Stock               466210101                     266        19,500    SH
Jameson Inns Inc                               Common Stock               470457102                       5           574    SH
The Japan Equity Fund, Inc.                    Common Stock               471057109                      60         7,000    SH
Jean Philippe Fragrances Inc.                  Common Stock               472154301                       3           455    SH
Jeffbanks Inc.                                 Common Stock               472317106                       7           350    SH
Jefferson-Pilot Corp.                          Common Stock               475070108                   1,174        17,330    SH
Jersey Central Power & Light Co                Preferred Stock            476556204                      14           200    SH
The John Nuveen Co Cl A                        Common Stock               478035108                      17           400    SH
Johnson & Johnson                              Common Stock               478160104                  10,343       110,397    SH
Johnson Controls Inc.                          Common Stock               478366107                     251         4,024    SH
Johnstown America Industries Inc.              Common Stock               479477101                       3           200    SH
Jones Apparel Group, Inc.                      Common Stock               480074103                       6           200    SH
Jones Lang Lasalle Inc                         Common Stock               48020Q107                       9           300    SH
Jos A Bank Clothiers Inc                       Common Stock               480838101                       3           500    SH
Jostens Inc.                                   Common Stock               481088102                     383        18,000    SH
Juniata Valley Finl Corp                       Common Stock               482016102                      12           350    SH
Juno Lighting Inc.                             Common Stock               482047107                      29         1,300    SH
Just For Feet, Inc.                            Common Stock               48213P106                      19         1,500    SH
Justin Industries Inc.                         Common Stock               482171105                      26         2,400    SH
KLA Tencor Corp.                               Common Stock               482480100                      10           200    SH
KLM Royal Dutch Airlines                       ADR                        482516101                     131         4,728    SH
K Mart Corp.                                   Common Stock               482584109                     377        22,430    SH
K N Energy Inc.                                Common Stock               482620101                      31         1,575    SH
KN Energy Inc - PFD Conv Premium Equit         Preferred Stock            482620507                      10           300    SH
K2 Inc.                                        Common Stock               482732104                      37         4,700    SH
Kaiser Aluminum Corp                           Common Stock               483007100                      11         2,000    SH
Kansas City Power & Light Co                   Common Stock               485134100                     337        13,700    SH
Kansas City Power & Light Co.                  Preferred Stock            485134506                       9           100    SH
Kansas City Pwr & Lt Co 4.50 Pfd               Preferred Stock            485134605                      19           200    SH
Kansas City Southern Ind Inc.                  Common Stock               485170104                   3,657        64,155    SH
Kaufman & Broad Home Corp.                     Common Stock               486168107                       7           300    SH
Kaydon Corp.                                   Common Stock               486587108                   2,056        71,045    SH
Keane, Inc.                                    Common Stock               486665102                     605        28,380    SH
Keebler Foods Co.                              Common Stock               487256109                     335         9,175    SH
Kellogg Co                                     Common Stock               487836108                     464        13,710    SH
Kellwood Co                                    Common Stock               488044108                       7           300    SH
Kemet Corp.                                    Common Stock               488360108                      52         4,500    SH
Kemper Intermed Govt Trust                     Common Stock               488413105                     161        22,200    SH
Kemper MultiMarket Income                      Common Stock               48842B106                      13         1,500    SH
Kennametal Inc.                                Common Stock               489170100                      40         2,300    SH
Kensey Nash Corp                               Common Stock               490057106                       2           200    SH
Kent Electronics Corp.                         Common Stock               490553104                       2           250    SH
Kerr-McGee Corp.                               Common Stock               492386107                     365        11,110    SH

Page Total:                                                                                          21,696

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
JDN Realty Corp.                                             X                                    0      5,125          0
JDN Realty Corp Pfd Ser A 9.375%                             X                                    0        800          0
JPM Co                                                       X                                    0        500          0
J Alexander Corp.                                            X                                    0     56,470          0
JLG Industries Inc.                                          X                                    0     19,500          0
Jameson Inns Inc                                             X                                    0        574          0
The Japan Equity Fund, Inc.                                  X                                    0      7,000          0
Jean Philippe Fragrances Inc.                                X                                    0        455          0
Jeffbanks Inc.                                               X                                    0        350          0
Jefferson-Pilot Corp.                                        X                                    0     17,330          0
Jersey Central Power & Light Co                              X                                    0        200          0
The John Nuveen Co Cl A                                      X                                    0        400          0
Johnson & Johnson                                            X                                    0    110,397          0
Johnson Controls Inc.                                        X                                    0      4,024          0
Johnstown America Industries Inc.                            X                                    0        200          0
Jones Apparel Group, Inc.                                    X                                    0        200          0
Jones Lang Lasalle Inc                                       X                                    0        300          0
Jos A Bank Clothiers Inc                                     X                                    0        500          0
Jostens Inc.                                                 X                                    0     18,000          0
Juniata Valley Finl Corp                                     X                                    0        350          0
Juno Lighting Inc.                                           X                                    0      1,300          0
Just For Feet, Inc.                                          X                                    0      1,500          0
Justin Industries Inc.                                       X                                    0      2,400          0
KLA Tencor Corp.                                             X                                    0        200          0
KLM Royal Dutch Airlines                                     X                                    0      4,728          0
K Mart Corp.                                                 X                                    0     22,430          0
K N Energy Inc.                                              X                                    0      1,575          0
KN Energy Inc - PFD Conv Premium Equit                       X                                    0        300          0
K2 Inc.                                                      X                                    0      4,700          0
Kaiser Aluminum Corp                                         X                                    0      2,000          0
Kansas City Power & Light Co                                 X                                    0     13,700          0
Kansas City Power & Light Co.                                X                                    0        100          0
Kansas City Pwr & Lt Co 4.50 Pfd                             X                                    0        200          0
Kansas City Southern Ind Inc.                                X                                    0     64,155          0
Kaufman & Broad Home Corp.                                   X                                    0        300          0
Kaydon Corp.                                                 X                                    0     71,045          0
Keane, Inc.                                                  X                                    0     28,380          0
Keebler Foods Co.                                            X                                    0      9,175          0
Kellogg Co                                                   X                                    0     13,710          0
Kellwood Co                                                  X                                    0        300          0
Kemet Corp.                                                  X                                    0      4,500          0
Kemper Intermed Govt Trust                                   X                                    0     22,200          0
Kemper MultiMarket Income                                    X                                    0      1,500          0
Kennametal Inc.                                              X                                    0      2,300          0
Kensey Nash Corp                                             X                                    0        200          0
Kent Electronics Corp.                                       X                                    0        250          0
Kerr-McGee Corp.                                             X                                    0     11,110          0
</TABLE>

<PAGE>
Page 31 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Key Energy Group Inc.                          Common Stock               492914106                       1           250    SH
Keycorp New                                    Common Stock               493267108                     230         7,587    SH
Keyspan Energy Corp.                           Common Stock               49337K106                     147         5,851    SH
Keystone Financial Inc.                        Common Stock               493482103                      17           541    SH
Kimberly-Clark Corp.                           Common Stock               494368103                   1,675        34,935    SH
KIMCO Realty Corp.                             Common Stock               49446R109                      41         1,100    SH
KIMCO Realty 8.5% Cumulative                   Preferred Stock            49446R505                      35         1,400    SH
Kimco Realty Cum Pfd                           Preferred Stock            49446R604                      25         1,000    SH
Kinder Morgan Energy Partners LP               Common Stock               494550106                     586        16,938    SH
Kish Bancorp                                   Common Stock               49771A101                      13           200    SH
KMart Financing I 7.75% Conv                   Preferred Stock            498778208                      16           265    SH
Knight-Ridder Inc.                             Common Stock               499040103                   1,544        30,880    SH
Koala Corp.                                    Common Stock               499866101                       3           150    SH
Koger Equity Inc.                              Common Stock               500228101                      24         1,800    SH
Kohls Corp. - Wisconsin                        Common Stock               500255104                     146         2,064    SH
Koninklijke Ahold NV-SP ADR                    ADR                        500467303                     134         3,510    SH
Koninklijke Philips Electronrics NV AD         ADR                        500472105                  12,302       149,233    SH
Koo Koo Roo Enterprises Inc                    Common Stock               500481106                       0           300    SH
Kranzco Realty Trust                           Common Stock               50076E103                     100         8,473    SH
Kroger Co.                                     Common Stock               501044101                     580         9,689    SH
Kronos Inc.                                    Common Stock               501052104                      13           522    SH
Krupp Insured Mtg LP                           Limited Partner            501120109                       0           937    SH
Kulicke & Soffa Ina Inc.                       Common Stock               501242101                      15           600    SH
Lasmo Plc 10% Ads Cum                          Preferred Stock            501730303                      20           900    SH
LCA-Vision Inc.                                Common Stock               501803209                       4           965    SH
LG & E Energy                                  Common Stock               501917108                     112         5,361    SH
The LTV Corp. (New)                            Common Stock               501921100                       3           518    SH
L S B Bancshares Inc.                          Common Stock               502158108                      42         2,158    SH
LSI Logic Corp.                                Common Stock               502161102                      34         1,100    SH
LTC Properties Inc.                            Common Stock               502175102                      94         7,645    SH
LTC Healthcare Inc.                            Common Stock               50217R104                       1           267    SH
Laquinta Inns Inc.                             Common Stock               504195991                       0         1,975    SH
Labor Ready Inc.                               Common Stock               505401208                      33         1,250    SH
Ladd Furniture Inc.                            Common Stock               505739201                       7           400    SH
Lafayette Bancorporation                       Common Stock               505893107                      32           788    SH
Laidlaw Inc. New                               Common Stock               50730K503                       4           700    SH
Lake Ariel Bancorp Inc.                        Common Stock               507467108                      12         1,157    SH
Lakehead Pipeline Partner - LP                 Common Stock               511557100                     175         3,895    SH
LAM Research Corp.                             Common Stock               512807108                      29         1,000    SH
Lamar Advertising Co                           Common Stock               512815101                      36         1,050    SH
Lamson & Sessions Co.                          Common Stock               513696104                       0           100    SH
Lancaster Colony Corp.                         Common Stock               513847103                     163         6,105    SH
Lance Inc.                                     Common Stock               514606102                      14           872    SH
Lancer Corp. - Tex                             Common Stock               514614106                     124        14,021    SH
Landamerica Financial Group                    Common Stock               514936103                       3           100    SH
Landry's Seafood Restaurants Inc.              Common Stock               51508L103                     379        59,225    SH
Larson Davis Inc.                              Common Stock               517310108                       0           400    SH

Page Total:                                                                                          18,969

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Key Energy Group Inc.                                        X                                    0        250          0
Keycorp New                                                  X                                    0      7,587          0
Keyspan Energy Corp.                                         X                                    0      5,851          0
Keystone Financial Inc.                                      X                                    0        541          0
Kimberly-Clark Corp.                                         X                                    0     34,935          0
KIMCO Realty Corp.                                           X                                    0      1,100          0
KIMCO Realty 8.5% Cumulative                                 X                                    0      1,400          0
Kimco Realty Cum Pfd                                         X                                    0      1,000          0
Kinder Morgan Energy Partners LP                             X                                    0     16,938          0
Kish Bancorp                                                 X                                    0        200          0
KMart Financing I 7.75% Conv                                 X                                    0        265          0
Knight-Ridder Inc.                                           X                                    0     30,880          0
Koala Corp.                                                  X                                    0        150          0
Koger Equity Inc.                                            X                                    0      1,800          0
Kohls Corp. - Wisconsin                                      X                                    0      2,064          0
Koninklijke Ahold NV-SP ADR                                  X                                    0      3,510          0
Koninklijke Philips Electronrics NV AD                       X                                    0    149,233          0
Koo Koo Roo Enterprises Inc                                  X                                    0        300          0
Kranzco Realty Trust                                         X                                    0      8,473          0
Kroger Co.                                                   X                                    0      9,689          0
Kronos Inc.                                                  X                                    0        522          0
Krupp Insured Mtg LP                                         X                                    0        937          0
Kulicke & Soffa Ina Inc.                                     X                                    0        600          0
Lasmo Plc 10% Ads Cum                                        X                                    0        900          0
LCA-Vision Inc.                                              X                                    0        965          0
LG & E Energy                                                X                                    0      5,361          0
The LTV Corp. (New)                                          X                                    0        518          0
L S B Bancshares Inc.                                        X                                    0      2,158          0
LSI Logic Corp.                                              X                                    0      1,100          0
LTC Properties Inc.                                          X                                    0      7,645          0
LTC Healthcare Inc.                                          X                                    0        267          0
Laquinta Inns Inc.                                           X                                    0      1,975          0
Labor Ready Inc.                                             X                                    0      1,250          0
Ladd Furniture Inc.                                          X                                    0        400          0
Lafayette Bancorporation                                     X                                    0        788          0
Laidlaw Inc. New                                             X                                    0        700          0
Lake Ariel Bancorp Inc.                                      X                                    0      1,157          0
Lakehead Pipeline Partner - LP                               X                                    0      3,895          0
LAM Research Corp.                                           X                                    0      1,000          0
Lamar Advertising Co                                         X                                    0      1,050          0
Lamson & Sessions Co.                                        X                                    0        100          0
Lancaster Colony Corp.                                       X                                    0      6,105          0
Lance Inc.                                                   X                                    0        872          0
Lancer Corp. - Tex                                           X                                    0     14,021          0
Landamerica Financial Group                                  X                                    0        100          0
Landry's Seafood Restaurants Inc.                            X                                    0     59,225          0
Larson Davis Inc.                                            X                                    0        400          0
</TABLE>


<PAGE>
Page 32 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Lasalle Hotel Properties SBI                   Common Stock               517942108                     400        30,175    SH
Laser Mortgage Management Inc.                 Common Stock               51806D100                      15         2,750    SH
Latin American Investment Fd Inc.              Common Stock               518279104                      10           962    SH
The Latin America Equity Fund, Inc.            Common Stock               51827T100                      13         1,461    SH
Estee Lauder Companies                         Common Stock               518439104                     229         2,425    SH
Lawson Products Inc.                           Common Stock               520776105                       2           100    SH
Leading Edge Ind Inc                           Common Stock               521707109                       0        30,000    SH
Leap Wireless International Inc.               Common Stock               521863100                       2           150    SH
Lear Corp.                                     Common Stock               521865105                       4           100    SH
Learning Co Inc.                               Common Stock               522008101                       7           240    SH
Lee Enterprises, Inc.                          Common Stock               523768109                   1,914        65,990    SH
Leeds Federal Bankshares Inc.                  Common Stock               524226107                       7           600    SH
Legato Systems Inc.                            Common Stock               524651106                       6           120    SH
Legend Properties Inc.                         Common Stock               52465P103                       0            40    SH
Leggett & Platt Inc.                           Common Stock               524660107                   1,113        55,655    SH
Legg Mason, Inc.                               Common Stock               524901105                   1,520        45,127    SH
Lehman Brothers Holdings                       Common Stock               524908100                     187         3,122    SH
Lehman Brothers Holdings 8.3%                  Preferred Stock            524908308                      74         2,900    SH
Lennar Corp.                                   Common Stock               526057104                      30         1,360    SH
Leucadia National                              Common Stock               527288104                     220         7,285    SH
Level One Communications,                      Common Stock               527295109                      78         1,600    SH
Level 3 Communications Inc.                    Common Stock               52729N100                     111         1,525    SH
Lexington Corp.orate Properties Trust          Common Stock               529043101                      11           950    SH
Lexmark Intl Group Inc. CL A                   Common Stock               529771107                      67           600    SH
Liberty All Star Growth Fd                     Common Stock               529900102                      26         2,425    SH
Liberty Corp.                                  Common Stock               530370105                      10           200    SH
Liberty Property Trust                         Common Stock               531172104                     317        15,291    SH
Liberty Property Tr 8.80% Ser A Cum PF         Preferred Stock            531172203                      35         1,500    SH
Life Re Corp.                                  Common Stock               532160108                      19           200    SH
Ligand Pharmaceuticals Inc.                    Common Stock               53220K207                       2           200    SH
Lilly (Eli) & Co.                              Common Stock               532457108                   5,936        69,937    SH
Lilly Industries Inc. - CL A                   Common Stock               532491107                   1,217        78,827    SH
Limited Inc.                                   Common Stock               532716107                       9           225    SH
Lincoln Elec Co Holdings Inc                   Common Stock               533900106                     305        16,400    SH
Lincoln Nat'l Cap I 8.75% CUM                  Preferred Stock            534177209                      52         2,000    SH
Lincoln National Corp.                         Common Stock               534187109                     595         6,016    SH
Lincorp Holdings Inc.                          Common Stock               535100101                       0           199    SH
Lindsay Mfg Co                                 Common Stock               535555106                      14           724    SH
Litton Industries                              Common Stock               538021106                      17           304    SH
Liz Claiborne Inc.                             Common Stock               539320101                     401        12,295    SH
Lo Jack Corp.                                  Common Stock               539451104                      15         2,000    SH
Lockheed Martin Corp.                          Common Stock               539830109                   2,673        70,928    SH
Lodgian Inc.                                   Common Stock               54021P106                       1           300    SH
Loews Corp.                                    Common Stock               540424108                     741         9,930    SH
Loewen Group Inc.                              Common Stock               54042L100                      22         5,389    SH
Lone Star Steakhouse Saloon                    Common Stock               542307103                     134        13,100    SH
Lone Star Technologies Inc.                    Common Stock               542312103                      11           875    SH

Page Total:                                                                                          18,574

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Lasalle Hotel Properties SBI                                 X                                    0     30,175          0
Laser Mortgage Management Inc.                               X                                    0      2,750          0
Latin American Investment Fd Inc.                            X                                    0        962          0
The Latin America Equity Fund, Inc.                          X                                    0      1,461          0
Estee Lauder Companies                                       X                                    0      2,425          0
Lawson Products Inc.                                         X                                    0        100          0
Leading Edge Ind Inc                                         X                                    0     30,000          0
Leap Wireless International Inc.                             X                                    0        150          0
Lear Corp.                                                   X                                    0        100          0
Learning Co Inc.                                             X                                    0        240          0
Lee Enterprises, Inc.                                        X                                    0     65,990          0
Leeds Federal Bankshares Inc.                                X                                    0        600          0
Legato Systems Inc.                                          X                                    0        120          0
Legend Properties Inc.                                       X                                    0         40          0
Leggett & Platt Inc.                                         X                                    0     55,655          0
Legg Mason, Inc.                                             X                                    0     45,127          0
Lehman Brothers Holdings                                     X                                    0      3,122          0
Lehman Brothers Holdings 8.3%                                X                                    0      2,900          0
Lennar Corp.                                                 X                                    0      1,360          0
Leucadia National                                            X                                    0      7,285          0
Level One Communications,                                    X                                    0      1,600          0
Level 3 Communications Inc.                                  X                                    0      1,525          0
Lexington Corp.orate Properties Trust                        X                                    0        950          0
Lexmark Intl Group Inc. CL A                                 X                                    0        600          0
Liberty All Star Growth Fd                                   X                                    0      2,425          0
Liberty Corp.                                                X                                    0        200          0
Liberty Property Trust                                       X                                    0     15,291          0
Liberty Property Tr 8.80% Ser A Cum PF                       X                                    0      1,500          0
Life Re Corp.                                                X                                    0        200          0
Ligand Pharmaceuticals Inc.                                  X                                    0        200          0
Lilly (Eli) & Co.                                            X                                    0     69,937          0
Lilly Industries Inc. - CL A                                 X                                    0     78,827          0
Limited Inc.                                                 X                                    0        225          0
Lincoln Elec Co Holdings Inc                                 X                                    0     16,400          0
Lincoln Nat'l Cap I 8.75% CUM                                X                                    0      2,000          0
Lincoln National Corp.                                       X                                    0      6,016          0
Lincorp Holdings Inc.                                        X                                    0        199          0
Lindsay Mfg Co                                               X                                    0        724          0
Litton Industries                                            X                                    0        304          0
Liz Claiborne Inc.                                           X                                    0     12,295          0
Lo Jack Corp.                                                X                                    0      2,000          0
Lockheed Martin Corp.                                        X                                    0     70,928          0
Lodgian Inc.                                                 X                                    0        300          0
Loews Corp.                                                  X                                    0      9,930          0
Loewen Group Inc.                                            X                                    0      5,389          0
Lone Star Steakhouse Saloon                                  X                                    0     13,100          0
Lone Star Technologies Inc.                                  X                                    0        875          0
</TABLE>



<PAGE>
Page 33 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Louisiana Pacific Corp.                        Common Stock               546347105                      25         1,330    SH
Lowe's Companies, Inc.                         Common Stock               548661107                   2,745        45,372    SH
Lubrizol Corp.                                 Common Stock               549271104                      15           675    SH
Lubys Cafeterias Inc.                          Common Stock               549282101                      29         1,700    SH
Lucasvarity PLC ADR                            ADR                        549395101                      20           425    SH
Lucasvarity PLC ADR                            ADR                        549395986                     210         4,547    SH
Lucent Technologies Inc.                       Common Stock               549463107                  15,409       143,005    SH
Lundin Oil AB-Spons GDR                        ADR                        550375109                      36        13,912    SH
Lycos Inc.                                     Common Stock               550818108                      26           300    SH
LYNX Therapeutics Inc.                         Common Stock               551812308                       0            16    SH
Lyondell Petrochemical Co                      Common Stock               552078107                      18         1,300    SH
M & T Bank Corp                                Common Stock               55261F104                      39            82    SH
MAF Bancorp                                    Common Stock               55261R108                      21           966    SH
MBIA, Inc.                                     Common Stock               55262C100                     619        10,680    SH
MBNA Corp.                                     Common Stock               55262L100                   1,712        71,706    SH
MBNA Corp. 7.50% Cum Pfd Ser A                 Preferred Stock            55262L209                       4           150    SH
MBNA Capital 8.25% PFD Ser C                   Preferred Stock            55263V206                      19           750    SH
M C N Corp.                                    Common Stock               55267J100                      66         4,110    SH
MCN Financing III 8.0% Conv Pfd                Preferred Stock            55267J308                       5           145    SH
MC Shippiing                                   Common Stock               55267Q104                       1         1,300    SH
MCI Capital I 8.00% Cum PFD Ser A              Preferred Stock            55267Y206                     152         6,000    SH
MCI Worldcom Inc.                              Common Stock               55268B106                  27,275       307,968    SH
MCN Michigan LP 9.375% Cum PFD Ser A           Preferred Stock            55268M201                      15           600    SH
M D U Resources Group, Inc.                    Common Stock               552690109                      46         2,025    SH
MCN Financing II - Tr 8.625% Pfd               Preferred Stock            55270G200                      15           600    SH
Memc Electronic Materials Inc.                 Common Stock               552715104                       4           700    SH
Mepc Intl Capital LP 9.125%                    Preferred Stock            55271M206                      13           500    SH
MFS Charter Income Trust                       Common Stock               552727109                     152        16,000    SH
MFS Multimarket Income Trust                   Common Stock               552737108                      34         5,231    SH
MFS Municipal Income Tr                        Common Stock               552738106                      43         5,000    SH
MGIC Investment Corp.                          Common Stock               552848103                     532        15,177    SH
MGI Properties                                 Common Stock               552885105                      35         1,275    SH
MFS Government Markets Income                  Common Stock               552939100                      46         7,150    SH
MGM Grand Inc.                                 Common Stock               552953101                     171         5,075    SH
MP&L Capital I 8.05% Cum Qrtly                 Preferred Stock            553134206                      63         2,500    SH
MSDW Capital Trust I                           Preferred Stock            553538208                      18           700    SH
Macdermid Ind                                  Common Stock               554273102                      43         1,200    SH
Macerich Co                                    Common Stock               554382101                       5           200    SH
Mack-Cali Realty Corp.                         Common Stock               554489104                      73         2,500    SH
Macromedia Inc.                                Common Stock               556100105                      23           511    SH
Magna International Inc.                       Foreign Stock              559222401                      92         1,600    SH
Magnetek Inc.                                  Common Stock               559424106                      49         5,800    SH
Main Street Bancorp Inc                        Common Stock               559906102                      36         2,282    SH
Mahoning National Bancorp                      Common Stock               560090102                      54         1,976    SH
Mail Well Inc.                                 Common Stock               560321200                      24         1,800    SH
Mallinckrodt Inc.                              Common Stock               561232109                      28         1,040    SH
Managed Municipals Portfolio Inc.              Common Stock               561662107                       7           609    SH

Page Total:                                                                                          50,066

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Louisiana Pacific Corp.                                      X                                    0      1,330          0
Lowe's Companies, Inc.                                       X                                    0     45,372          0
Lubrizol Corp.                                               X                                    0        675          0
Lubys Cafeterias Inc.                                        X                                    0      1,700          0
Lucasvarity PLC ADR                                          X                                    0        425          0
Lucasvarity PLC ADR                                          X                                    0      4,547          0
Lucent Technologies Inc.                                     X                                    0    143,005          0
Lundin Oil AB-Spons GDR                                      X                                    0     13,912          0
Lycos Inc.                                                   X                                    0        300          0
LYNX Therapeutics Inc.                                       X                                    0         16          0
Lyondell Petrochemical Co                                    X                                    0      1,300          0
M & T Bank Corp                                              X                                    0         82          0
MAF Bancorp                                                  X                                    0        966          0
MBIA, Inc.                                                   X                                    0     10,680          0
MBNA Corp.                                                   X                                    0     71,706          0
MBNA Corp. 7.50% Cum Pfd Ser A                               X                                    0        150          0
MBNA Capital 8.25% PFD Ser C                                 X                                    0        750          0
M C N Corp.                                                  X                                    0      4,110          0
MCN Financing III 8.0% Conv Pfd                              X                                    0        145          0
MC Shippiing                                                 X                                    0      1,300          0
MCI Capital I 8.00% Cum PFD Ser A                            X                                    0      6,000          0
MCI Worldcom Inc.                                            X                                    0    307,968          0
MCN Michigan LP 9.375% Cum PFD Ser A                         X                                    0        600          0
M D U Resources Group, Inc.                                  X                                    0      2,025          0
MCN Financing II - Tr 8.625% Pfd                             X                                    0        600          0
Memc Electronic Materials Inc.                               X                                    0        700          0
Mepc Intl Capital LP 9.125%                                  X                                    0        500          0
MFS Charter Income Trust                                     X                                    0     16,000          0
MFS Multimarket Income Trust                                 X                                    0      5,231          0
MFS Municipal Income Tr                                      X                                    0      5,000          0
MGIC Investment Corp.                                        X                                    0     15,177          0
MGI Properties                                               X                                    0      1,275          0
MFS Government Markets Income                                X                                    0      7,150          0
MGM Grand Inc.                                               X                                    0      5,075          0
MP&L Capital I 8.05% Cum Qrtly                               X                                    0      2,500          0
MSDW Capital Trust I                                         X                                    0        700          0
Macdermid Ind                                                X                                    0      1,200          0
Macerich Co                                                  X                                    0        200          0
Mack-Cali Realty Corp.                                       X                                    0      2,500          0
Macromedia Inc.                                              X                                    0        511          0
Magna International Inc.                                     X                                    0      1,600          0
Magnetek Inc.                                                X                                    0      5,800          0
Main Street Bancorp Inc                                      X                                    0      2,282          0
Mahoning National Bancorp                                    X                                    0      1,976          0
Mail Well Inc.                                               X                                    0      1,800          0
Mallinckrodt Inc.                                            X                                    0      1,040          0
Managed Municipals Portfolio Inc.                            X                                    0        609          0
</TABLE>



<PAGE>
Page 34 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Managed High Income Portfolio                  Common Stock               56166C105                      42         4,000    SH
Mannatech Inc.                                 Common Stock               563771104                      17         1,000    SH
Mannesmann AG Sponsored ADR                    ADR                        563775303                     330         2,580    SH
Manpower Inc.                                  Common Stock               56418H100                     803        34,360    SH
Manugistics Group                              Common Stock               565011103                      35         5,310    SH
Markel Corp.                                   Common Stock               570535104                       9            50    SH
Marks & Spencer Ltd Sponsored                  ADR                        570697607                       4           100    SH
Marquette Savings Bank - Wisc                  Common Stock               571604107                       2           200    SH
Marsh & McLennan                               Common Stock               571748102                     333         4,484    SH
Marshall & Ilsley Corp.                        Common Stock               571834100                     166         3,000    SH
Marriott International Cl A                    Common Stock               571903202                     506        15,036    SH
Martek Biosciences Corp.                       Common Stock               572901106                      10         1,700    SH
Martin Marietta Materials                      Common Stock               573284106                   1,066        18,688    SH
Masco Corp.                                    Common Stock               574599106                      37         1,325    SH
Mascotech Inc.                                 Common Stock               574670105                       5           300    SH
Mason Dixon Cap Trust $2.5175 Cum Pfd          Preferred Stock            57520R200                      15           500    SH
Massbank Corp.                                 Common Stock               576152102                      15           400    SH
Mastec Inc                                     Common Stock               576323109                      35         1,500    SH
Mastech Corp.                                  Common Stock               57632N105                      28         2,150    SH
Material Sciences Corp.                        Common Stock               576674105                     144        22,630    SH
Matria Healthcare Inc.                         Common Stock               576817100                      16         5,800    SH
Matlak Systems Inc.                            Common Stock               576901102                       1           127    SH
Mattel Inc.                                    Common Stock               577081102                   2,798       112,473    SH
Maxon Industries Inc.                          Common Stock               577725104                       0            27    SH
Maxtor Corp.                                   Common Stock               577729205                       4           500    SH
Maxim Integrated Products Inc                  Common Stock               57772K101                       3            50    SH
May Department Stores                          Common Stock               577778103                   1,413        36,103    SH
Maxxam Inc.                                    Common Stock               577913106                      11           210    SH
Maverick Tube Corp.                            Common Stock               577914104                      67         9,500    SH
Maytag Corp.                                   Common Stock               578592107                     534         8,850    SH
McCormick & Co Non Voting                      Common Stock               579780206                     657        22,643    SH
McDermott International Inc.                   Common Stock               580037109                      48         1,900    SH
McDonalds Corp.                                Common Stock               580135101                   8,323       183,686    SH
McDonalds Corp. 7.5% Sub Defer                 Preferred Stock            580135804                      76         3,000    SH
McDonald's Corp. 7.5% Sub Def                  Preferred Stock            580135887                     434        17,150    SH
McGraw-Hill Companies Inc.                     Common Stock               580645109                     171         3,130    SH
Mckesson HBOC Inc.                             Common Stock               58155Q103                   1,838        27,841    SH
McMoran Exploration Co                         Common Stock               582411104                       2            98    SH
McWhorter Technologies                         Common Stock               582803102                      14         1,000    SH
Mead Corp.                                     Common Stock               582834107                     139         4,530    SH
Mecon Inc.                                     Common Stock               58400M105                       4           500    SH
Medaphis Corp.                                 Common Stock               584028104                      71        29,050    SH
Media General Inc. Class A                     Common Stock               584404107                     494        10,565    SH
MediaOne Group Inc.                            Common Stock               58440J104                   2,321        36,544    SH
Mediaone Finance Tr III PFD 9.04 12313         Preferred Stock            584458202                      56         2,200    SH
Medical Advisory Systems Inc.                  Common Stock               58449P101                      13           700    SH
Medical Manager Corp.                          Common Stock               58461C103                      20           850    SH

Page Total:                                                                                          23,123

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Managed High Income Portfolio                                X                                    0      4,000          0
Mannatech Inc.                                               X                                    0      1,000          0
Mannesmann AG Sponsored ADR                                  X                                    0      2,580          0
Manpower Inc.                                                X                                    0     34,360          0
Manugistics Group                                            X                                    0      5,310          0
Markel Corp.                                                 X                                    0         50          0
Marks & Spencer Ltd Sponsored                                X                                    0        100          0
Marquette Savings Bank - Wisc                                X                                    0        200          0
Marsh & McLennan                                             X                                    0      4,484          0
Marshall & Ilsley Corp.                                      X                                    0      3,000          0
Marriott International Cl A                                  X                                    0     15,036          0
Martek Biosciences Corp.                                     X                                    0      1,700          0
Martin Marietta Materials                                    X                                    0     18,688          0
Masco Corp.                                                  X                                    0      1,325          0
Mascotech Inc.                                               X                                    0        300          0
Mason Dixon Cap Trust $2.5175 Cum Pfd                        X                                    0        500          0
Massbank Corp.                                               X                                    0        400          0
Mastec Inc                                                   X                                    0      1,500          0
Mastech Corp.                                                X                                    0      2,150          0
Material Sciences Corp.                                      X                                    0     22,630          0
Matria Healthcare Inc.                                       X                                    0      5,800          0
Matlak Systems Inc.                                          X                                    0        127          0
Mattel Inc.                                                  X                                    0    112,473          0
Maxon Industries Inc.                                        X                                    0         27          0
Maxtor Corp.                                                 X                                    0        500          0
Maxim Integrated Products Inc                                X                                    0         50          0
May Department Stores                                        X                                    0     36,103          0
Maxxam Inc.                                                  X                                    0        210          0
Maverick Tube Corp.                                          X                                    0      9,500          0
Maytag Corp.                                                 X                                    0      8,850          0
McCormick & Co Non Voting                                    X                                    0     22,643          0
McDermott International Inc.                                 X                                    0      1,900          0
McDonalds Corp.                                              X                                    0    183,686          0
McDonalds Corp. 7.5% Sub Defer                               X                                    0      3,000          0
McDonald's Corp. 7.5% Sub Def                                X                                    0     17,150          0
McGraw-Hill Companies Inc.                                   X                                    0      3,130          0
Mckesson HBOC Inc.                                           X                                    0     27,841          0
McMoran Exploration Co                                       X                                    0         98          0
McWhorter Technologies                                       X                                    0      1,000          0
Mead Corp.                                                   X                                    0      4,530          0
Mecon Inc.                                                   X                                    0        500          0
Medaphis Corp.                                               X                                    0     29,050          0
Media General Inc. Class A                                   X                                    0     10,565          0
MediaOne Group Inc.                                          X                                    0     36,544          0
Mediaone Finance Tr III PFD 9.04 12313                       X                                    0      2,200          0
Medical Advisory Systems Inc.                                X                                    0        700          0
Medical Manager Corp.                                        X                                    0        850          0
</TABLE>



<PAGE>
Page 35 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Medical Resources                              Common Stock               58461Q409                       0            45    SH
Medical Technology System Inc.                 Common Stock               58462R505                       0         1,000    SH
Medicis Pharmaceutical Cl A                    Common Stock               584690309                      32         1,050    SH
Medimmune Inc.                                 Common Stock               584699102                     136         2,300    SH
Medquist Inc                                   Common Stock               584949101                       0             3    SH
Meditrust Corp. (Paired CTF)                   Common Stock               58501T306                     141        11,356    SH
MedPartners, Inc.                              Common Stock               58503X107                       7         1,450    SH
Medtronic Inc.                                 Common Stock               585055106                   3,415        47,599    SH
Mellon Bank Corp.                              Common Stock               585509102                   2,871        40,795    SH
Mentor Income Fund Inc.                        Common Stock               587204108                       8         1,000    SH
Merant Plc Sponsored ADR                       ADR                        587336108                       4           460    SH
Mercantile Bancorporation                      Common Stock               587342106                     430         9,045    SH
Mercantile Bankshares Corp.                    Common Stock               587405101                   1,389        37,530    SH
Merck & Co Inc.                                Common Stock               589331107                  25,569       318,858    SH
Mercury Finance Co                             Common Stock               589395102                       0           500    SH
Meredith Corp.                                 Common Stock               589433101                      35         1,100    SH
Meridian Medical Tech Inc.                     Common Stock               589658103                      27         5,000    SH
Merisel Inc.                                   Common Stock               589849108                       1         1,000    SH
Meristar Hospitality Corp                      Common Stock               58984Y103                     625        34,341    SH
Meritor Svgs Bk PA in Receivership             Common Stock               590007100                       3         1,100    SH
Meritor Automotive, Inc.                       Common Stock               59000G100                       9           559    SH
Merrill Lynch & Co                             Common Stock               590188108                   3,724        42,110    SH
Merrill Lynch Capt Trust II                    Preferred Stock            59021C203                      53         2,000    SH
Merrimac Inds Inc.                             Common Stock               590262101                       0            15    SH
Merry Land Properties Inc                      Common Stock               590441101                       1           223    SH
Mesa Air Group Inc.                            Common Stock               590479101                       6         1,000    SH
Mesa Royalty Trust                             Common Stock               590660106                      70         1,600    SH
Mesabi Trust                                   Common Stock               590672101                       1           200    SH
MESSAGEMEDIA Inc                               Common Stock               590787107                       1           100    SH
Metamor Worldwide Inc                          Common Stock               59133P100                      70         5,000    SH
Metricom Inc.                                  Common Stock               591596101                       1           200    SH
Metris Companies Inc.                          Common Stock               591598107                       4            95    SH
Metro Information Services Inc.                Common Stock               59162P104                     124         6,835    SH
Metrocorp Banchares Inc.                       Common Stock               591650106                     183        18,912    SH
Metromedia Intl Group Inc.                     Common Stock               591695101                      26         5,400    SH
Mettler-Toledo International                   Common Stock               592688105                       2           100    SH
Mexico Fund                                    Common Stock               592835102                       3           200    SH
Metzler Group Inc                              Common Stock               592903108                     100         3,200    SH
Fred Meyer Inc.                                Common Stock               592907109                     236         4,015    SH
Michaels Stores Inc.                           Common Stock               594087108                     165         6,700    SH
Micros Systems Inc.                            Common Stock               594901100                     146         4,430    SH
Microsoft Corp.                                Common Stock               594918104                  19,254       214,824    SH
Microsoft Corp. Conv Pfd Ser A                 Preferred Stock            594918203                     108         1,100    SH
Micro Age                                      Common Stock               594928103                      30         5,650    SH
Microvision Inc - Wash                         Common Stock               594960106                       2           100    SH
Microstrategy Inc.                             Common Stock               594972101                      42         2,200    SH
Micro Therapeutics Inc.                        Common Stock               59500W100                       7         1,000    SH

Page Total:                                                                                          59,063

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Medical Resources                                            X                                    0         45          0
Medical Technology System Inc.                               X                                    0      1,000          0
Medicis Pharmaceutical Cl A                                  X                                    0      1,050          0
Medimmune Inc.                                               X                                    0      2,300          0
Medquist Inc                                                 X                                    0          3          0
Meditrust Corp. (Paired CTF)                                 X                                    0     11,356          0
MedPartners, Inc.                                            X                                    0      1,450          0
Medtronic Inc.                                               X                                    0     47,599          0
Mellon Bank Corp.                                            X                                    0     40,795          0
Mentor Income Fund Inc.                                      X                                    0      1,000          0
Merant Plc Sponsored ADR                                     X                                    0        460          0
Mercantile Bancorporation                                    X                                    0      9,045          0
Mercantile Bankshares Corp.                                  X                                    0     37,530          0
Merck & Co Inc.                                              X                                    0    318,858          0
Mercury Finance Co                                           X                                    0        500          0
Meredith Corp.                                               X                                    0      1,100          0
Meridian Medical Tech Inc.                                   X                                    0      5,000          0
Merisel Inc.                                                 X                                    0      1,000          0
Meristar Hospitality Corp                                    X                                    0     34,341          0
Meritor Svgs Bk PA in Receivership                           X                                    0      1,100          0
Meritor Automotive, Inc.                                     X                                    0        559          0
Merrill Lynch & Co                                           X                                    0     42,110          0
Merrill Lynch Capt Trust II                                  X                                    0      2,000          0
Merrimac Inds Inc.                                           X                                    0         15          0
Merry Land Properties Inc                                    X                                    0        223          0
Mesa Air Group Inc.                                          X                                    0      1,000          0
Mesa Royalty Trust                                           X                                    0      1,600          0
Mesabi Trust                                                 X                                    0        200          0
MESSAGEMEDIA Inc                                             X                                    0        100          0
Metamor Worldwide Inc                                        X                                    0      5,000          0
Metricom Inc.                                                X                                    0        200          0
Metris Companies Inc.                                        X                                    0         95          0
Metro Information Services Inc.                              X                                    0      6,835          0
Metrocorp Banchares Inc.                                     X                                    0     18,912          0
Metromedia Intl Group Inc.                                   X                                    0      5,400          0
Mettler-Toledo International                                 X                                    0        100          0
Mexico Fund                                                  X                                    0        200          0
Metzler Group Inc                                            X                                    0      3,200          0
Fred Meyer Inc.                                              X                                    0      4,015          0
Michaels Stores Inc.                                         X                                    0      6,700          0
Micros Systems Inc.                                          X                                    0      4,430          0
Microsoft Corp.                                              X                                    0    214,824          0
Microsoft Corp. Conv Pfd Ser A                               X                                    0      1,100          0
Micro Age                                                    X                                    0      5,650          0
Microvision Inc - Wash                                       X                                    0        100          0
Microstrategy Inc.                                           X                                    0      2,200          0
Micro Therapeutics Inc.                                      X                                    0      1,000          0
</TABLE>


<PAGE>
Page 36 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Micro Warehouse Inc.                           Common Stock               59501B105                       2           100    SH
Microcomputer Memories Inc.                    Common Stock               595028101                       0         1,000    SH
Micromuse Inc.                                 Common Stock               595094103                     300         6,525    SH
Micron Technology Inc.                         Common Stock               595112103                     173         3,585    SH
Mid-America Apartment Communities, Inc         Common Stock               59522J103                      14           664    SH
Mid-America Apartment Communities 9.37         Preferred Stock            59522J400                      27         1,200    SH
Mid Atlantic Realty Trust                      Common Stock               595232109                     195        18,984    SH
Mid Atlantic Med Services Inc.                 Common Stock               59523C107                      23         2,300    SH
Midas Inc.                                     Common Stock               595626102                      11           326    SH
Midamerican Energy Financing I Quips           Preferred Stock            59562U208                      91         3,600    SH
Midamerican Energy Holdings                    Common Stock               59562V107                   1,080        38,580    SH
Midway Airlines Corp.                          Common Stock               598126100                      24         2,081    SH
Migent Software Corp.                          Common Stock               59862H105                       0         1,000    SH
Mikasa Inc.                                    Common Stock               59862T109                       7           990    SH
Milacron Inc                                   Common Stock               598709103                      44         2,775    SH
Millenium Chemicals Inc.                       Common Stock               599903101                       8           405    SH
Miller Herman Inc.                             Common Stock               600544100                       9           500    SH
Miller Industries Inc.                         Common Stock               600551105                       4           800    SH
Millipore Corp.                                Common Stock               601073109                      72         2,975    SH
The Mills Corp.                                Common Stock               601148109                     163         9,113    SH
Mindspring Enterprises Inc                     Common Stock               602683104                      28           324    SH
Minimed Inc                                    Common Stock               60365K108                       3            25    SH
Miniscribe Corp.                               Common Stock               603669102                       0           300    SH
Minnesota Mining & Manufacturing Co.           Common Stock               604059105                   3,927        55,509    SH
Minnesota Pwr & Light                          Common Stock               604110106                      26         1,300    SH
Mirage Resorts Inc.                            Common Stock               60462E104                   1,636        76,980    SH
Mission Capital LP 8.5% Cum Monthly            Preferred Stock            605034305                      52         2,000    SH
Mitcham Industries Inc                         Common Stock               606501104                       9         2,000    SH
Mobil Corp.                                    Common Stock               607059102                   6,604        75,049    SH
Mobilemedia Corp.                              Common Stock               607415106                       1         2,850    SH
Modis Professional Services                    Common Stock               607830106                     104        11,471    SH
Mohawk Industries                              Common Stock               608190104                       3           115    SH
Molex Inc.                                     Common Stock               608554101                     196         6,675    SH
Molex Inc. Cl A                                Common Stock               608554200                     721        27,859    SH
Molten Metal Technology                        Common Stock               608712105                       0           100    SH
Momentum Business Applications Inc Cl          Common Stock               60877P108                       1            67    SH
Robert Mondavi Corp. Cl A                      Common Stock               609200100                      29           800    SH
Monongahela Power Co                           Preferred Stock            610202400                       4            50    SH
Monsanto Co.                                   Common Stock               611662107                   6,601       143,684    SH
Montana Power Co                               Common Stock               612085100                     755        10,260    SH
Monterey Pasta Company                         Common Stock               612570101                       6         2,500    SH
Montgomery Street Income Securities In         Common Stock               614115103                       4           200    SH
Mony Group Inc.                                Common Stock               615337102                      24           961    SH
J P Morgan & Co.                               Common Stock               616880100                   3,417        27,693    SH
Morgan JP & Co Inc. Adj Rate                   Preferred Stock            616880209                      77           850    SH
Morgan Stanley Finance PLC 7.8% Cap Ut         Preferred Stock            616906400                      37         1,500    SH
Morgan Grenfell Smallcap Fund Inc.             Common Stock               617357108                       5           602    SH

Page Total:                                                                                          26,515

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Micro Warehouse Inc.                                         X                                    0        100          0
Microcomputer Memories Inc.                                  X                                    0      1,000          0
Micromuse Inc.                                               X                                    0      6,525          0
Micron Technology Inc.                                       X                                    0      3,585          0
Mid-America Apartment Communities, Inc                       X                                    0        664          0
Mid-America Apartment Communities 9.37                       X                                    0      1,200          0
Mid Atlantic Realty Trust                                    X                                    0     18,984          0
Mid Atlantic Med Services Inc.                               X                                    0      2,300          0
Midas Inc.                                                   X                                    0        326          0
Midamerican Energy Financing I Quips                         X                                    0      3,600          0
Midamerican Energy Holdings                                  X                                    0     38,580          0
Midway Airlines Corp.                                        X                                    0      2,081          0
Migent Software Corp.                                        X                                    0      1,000          0
Mikasa Inc.                                                  X                                    0        990          0
Milacron Inc                                                 X                                    0      2,775          0
Millenium Chemicals Inc.                                     X                                    0        405          0
Miller Herman Inc.                                           X                                    0        500          0
Miller Industries Inc.                                       X                                    0        800          0
Millipore Corp.                                              X                                    0      2,975          0
The Mills Corp.                                              X                                    0      9,113          0
Mindspring Enterprises Inc                                   X                                    0        324          0
Minimed Inc                                                  X                                    0         25          0
Miniscribe Corp.                                             X                                    0        300          0
Minnesota Mining & Manufacturing Co.                         X                                    0     55,509          0
Minnesota Pwr & Light                                        X                                    0      1,300          0
Mirage Resorts Inc.                                          X                                    0     76,980          0
Mission Capital LP 8.5% Cum Monthly                          X                                    0      2,000          0
Mitcham Industries Inc                                       X                                    0      2,000          0
Mobil Corp.                                                  X                                    0     75,049          0
Mobilemedia Corp.                                            X                                    0      2,850          0
Modis Professional Services                                  X                                    0     11,471          0
Mohawk Industries                                            X                                    0        115          0
Molex Inc.                                                   X                                    0      6,675          0
Molex Inc. Cl A                                              X                                    0     27,859          0
Molten Metal Technology                                      X                                    0        100          0
Momentum Business Applications Inc Cl                        X                                    0         67          0
Robert Mondavi Corp. Cl A                                    X                                    0        800          0
Monongahela Power Co                                         X                                    0         50          0
Monsanto Co.                                                 X                                    0    143,684          0
Montana Power Co                                             X                                    0     10,260          0
Monterey Pasta Company                                       X                                    0      2,500          0
Montgomery Street Income Securities In                       X                                    0        200          0
Mony Group Inc.                                              X                                    0        961          0
J P Morgan & Co.                                             X                                    0     27,693          0
Morgan JP & Co Inc. Adj Rate                                 X                                    0        850          0
Morgan Stanley Finance PLC 7.8% Cap Ut                       X                                    0      1,500          0
Morgan Grenfell Smallcap Fund Inc.                           X                                    0        602          0
</TABLE>




<PAGE>
Page 37 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Morgan Keegan Inc.                             Common Stock               617410105                     307        18,550    SH
Morgan St Dean Witter Discover & Co            Common Stock               617446448                     813         8,139    SH
Morgan Stanley Global Oppty Bd                 Common Stock               61744R103                      18         2,000    SH
Morgan Stanley India Fund                      Common Stock               61745C105                      17         1,900    SH
Dean Witter Government Income                  Common Stock               61745P106                      10         1,100    SH
Morgan Stanley Dean Witter High Inc Tr         Common Stock               61745P205                      25         5,100    SH
Morrison Health Care Inc.                      Common Stock               61841L108                       2           100    SH
Morton Intl Inc. New                           Common Stock               619335102                      99         2,694    SH
Morton Intl Inc                                Common Stock               619335995                     129         3,602    SH
Motorola Capital Trust I 6.68% Pfd             Preferred Stock            620074203                      74         3,100    SH
Motorola Inc.                                  Common Stock               620076109                   5,544        75,682    SH
Mueller Inds Inc.                              Common Stock               624756102                     105         4,690    SH
Municipal Mortgage & Equity                    Common Stock               62624B101                     699        37,521    SH
Muniyield Quality Fund Inc.                    Common Stock               626302103                      25         1,700    SH
Muniyield Insured Fund Inc.                    Common Stock               62630E107                      24         1,602    SH
Murphy Oil Co.                                 Common Stock               626717102                      29           700    SH
Musicland Stores Corporation                   Common Stock               62758B109                       4           400    SH
Mutual Risk Mgmt LTD                           Common Stock               628351108                       9           240    SH
Myers Inds Inc.                                Common Stock               628464109                  12,494       581,100    SH
Mylan Laboratories Inc.                        Common Stock               628530107                     418        15,225    SH
NABI Inc.                                      Common Stock               628716102                       9         2,950    SH
NB Capital Corp Dep Shs Repstg                 Preferred Stock            62874N607                      42         1,600    SH
NBT Bancorp Inc.                               Common Stock               628778102                     458        21,961    SH
NCH Corporation                                Common Stock               628850109                       5           100    SH
NCR Corp.                                      Common Stock               62886E108                     110         2,192    SH
NCT Group Inc                                  Common Stock               62888Q109                       0           500    SH
NB Capital TrustT I 7.84% Trust                Preferred Stock            628956203                      38         1,500    SH
Nipsco Industries Inc.                         Common Stock               629140104                     317        11,730    SH
NUI Corp.                                      Common Stock               629430109                       8           350    SH
NVP CAPTL I 8.2% Cum Qtly Inc.                 Preferred Stock            62944M209                      23           900    SH
N V R Incorporated                             Common Stock               62944T105                      25           600    SH
Nabisco Hldgs Corp.                            Common Stock               629526104                      40           953    SH
Nabors Industries Inc.                         Common Stock               629568106                     149         8,210    SH
Nalco Chemical Co                              Common Stock               629853102                   2,133        80,300    SH
Namibian Minerals Corp.                        Foreign Stock              629913104                      13         5,000    SH
Nasdaq 100 Shares                              Common Stock               631100104                      25           240    SH
National Australia Bank 7.875%                 Preferred Stock            632525309                       9           300    SH
National Beverage Corp.                        Common Stock               635017106                       9         1,200    SH
National City Corp.                            Common Stock               635405103                   1,867        28,134    SH
National Comm BanCorp.                         Common Stock               635449101                      11           500    SH
National Data Corp.                            Common Stock               635621105                      72         1,725    SH
National Diagnostics Inc.                      Common Stock               635641103                       2         4,000    SH
National Health Realty Inc.                    Common Stock               635905102                       3           230    SH
National Healthcare Corp.                      Common Stock               635906100                       2           230    SH
National Fuel Gas Co.                          Common Stock               636180101                       8           200    SH
National Golf Properties Inc.                  Common Stock               63623G109                     183         8,307    SH
National Health Invs Inc.                      Common Stock               63633D104                     206         9,595    SH

Page Total:                                                                                          26,612

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Morgan Keegan Inc.                                           X                                    0     18,550          0
Morgan St Dean Witter Discover & Co                          X                                    0      8,139          0
Morgan Stanley Global Oppty Bd                               X                                    0      2,000          0
Morgan Stanley India Fund                                    X                                    0      1,900          0
Dean Witter Government Income                                X                                    0      1,100          0
Morgan Stanley Dean Witter High Inc Tr                       X                                    0      5,100          0
Morrison Health Care Inc.                                    X                                    0        100          0
Morton Intl Inc. New                                         X                                    0      2,694          0
Morton Intl Inc                                              X                                    0      3,602          0
Motorola Capital Trust I 6.68% Pfd                           X                                    0      3,100          0
Motorola Inc.                                                X                                    0     75,682          0
Mueller Inds Inc.                                            X                                    0      4,690          0
Municipal Mortgage & Equity                                  X                                    0     37,521          0
Muniyield Quality Fund Inc.                                  X                                    0      1,700          0
Muniyield Insured Fund Inc.                                  X                                    0      1,602          0
Murphy Oil Co.                                               X                                    0        700          0
Musicland Stores Corporation                                 X                                    0        400          0
Mutual Risk Mgmt LTD                                         X                                    0        240          0
Myers Inds Inc.                                              X                                    0    581,100          0
Mylan Laboratories Inc.                                      X                                    0     15,225          0
NABI Inc.                                                    X                                    0      2,950          0
NB Capital Corp Dep Shs Repstg                               X                                    0      1,600          0
NBT Bancorp Inc.                                             X                                    0     21,961          0
NCH Corporation                                              X                                    0        100          0
NCR Corp.                                                    X                                    0      2,192          0
NCT Group Inc                                                X                                    0        500          0
NB Capital TrustT I 7.84% Trust                              X                                    0      1,500          0
Nipsco Industries Inc.                                       X                                    0     11,730          0
NUI Corp.                                                    X                                    0        350          0
NVP CAPTL I 8.2% Cum Qtly Inc.                               X                                    0        900          0
N V R Incorporated                                           X                                    0        600          0
Nabisco Hldgs Corp.                                          X                                    0        953          0
Nabors Industries Inc.                                       X                                    0      8,210          0
Nalco Chemical Co                                            X                                    0     80,300          0
Namibian Minerals Corp.                                      X                                    0      5,000          0
Nasdaq 100 Shares                                            X                                    0        240          0
National Australia Bank 7.875%                               X                                    0        300          0
National Beverage Corp.                                      X                                    0      1,200          0
National City Corp.                                          X                                    0     28,134          0
National Comm BanCorp.                                       X                                    0        500          0
National Data Corp.                                          X                                    0      1,725          0
National Diagnostics Inc.                                    X                                    0      4,000          0
National Health Realty Inc.                                  X                                    0        230          0
National Healthcare Corp.                                    X                                    0        230          0
National Fuel Gas Co.                                        X                                    0        200          0
National Golf Properties Inc.                                X                                    0      8,307          0
National Health Invs Inc.                                    X                                    0      9,595          0

</TABLE>

<PAGE>
Page 38 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
National Health Investors                      Preferred Stock            63633D203                       2           100    SH
National Instruments Corp                      Common Stock               636518102                     157         5,500    SH
National Power ADR FINAL INS                   ADR                        637194408                       2            60    SH
National Presto Industries Incorporate         Common Stock               637215104                      18           500    SH
National Propane Partners LP                   Limited Partner            637250101                       7         1,000    SH
National R V Holdings Inc.                     Common Stock               637277104                      22         1,000    SH
National Rural Utilities                       Preferred Stock            637432204                      51         2,000    SH
National Semiconductor Inc.                    Common Stock               637640103                      98        10,576    SH
National Service Industries Inc.               Common Stock               637657107                      25           725    SH
National Westminster Bank PLC                  Preferred Stock            638539700                      24           900    SH
National Westminster Bank PLC                  Preferred Stock            638539809                      78         3,000    SH
National Westminster Bank PLC                  Preferred Stock            638539882                      39         1,500    SH
Nationwide Financial Services, Inc.            Common Stock               638612101                     112         2,675    SH
Nationwide Financial Svcs Cap Tr               Preferred Stock            63861E204                      10           400    SH
Nationwide Health Properties Inc.              Common Stock               638620104                      75         3,970    SH
Nautica Enterprises Inc.                       Common Stock               639089101                       7           650    SH
Navigant International Inc.                    Common Stock               63935R108                       5         1,000    SH
Neiman-Marcus Groups Inc.                      Common Stock               640204103                       6           275    SH
Neomagic Corp.                                 Common Stock               640497103                       2           200    SH
Neoprobe Corp.                                 Common Stock               640518106                       2         1,700    SH
Neopharm Inc.                                  Common Stock               640919106                      10           500    SH
Networks Associates Inc.                       Common Stock               640938106                     619        20,181    SH
Nestle SA Sponsored ADR                        ADR                        641069406                     842         9,265    SH
Netmanage Inc.                                 Common Stock               641144100                       0           200    SH
Network Appliance Inc                          Common Stock               64120L104                      61         1,200    SH
Network Solutions Inc. - Cl A                  Common Stock               64121Q102                      85           800    SH
Neurogen Corp.                                 Common Stock               64124E106                      36         3,400    SH
Nevada Power Co                                Common Stock               641423108                      38         1,525    SH
New Century Financial Corp.                    Common Stock               64352D101                      12         1,000    SH
New Century Energies Inc.                      Common Stock               64352U103                     498        14,616    SH
New England Electric System                    Common Stock               644001109                      40           829    SH
New Germany Fund Inc.                          Common Stock               644465106                       9           751    SH
New Jersey Resources Corp.                     Common Stock               646025106                      11           300    SH
New PLan Excel Realty Trust                    Common Stock               648053106                     678        35,350    SH
New Plan Excel Realty Tr Inc 8.625% PF         Preferred Stock            648053502                      75         3,000    SH
New South Capital Tr I Tr Pfd Sec 8.5%         Preferred Stock            648910206                       9           900    SH
New York Times Co.                             Common Stock               650111107                     188         6,588    SH
New York Times Co  Conv CL B                   Common Stock               650111404                       3           120    SH
Newbridge Networks Corp.                       Common Stock               650901101                      87         2,800    SH
Newell Rubbermaid Inc.                         Common Stock               651229106                  14,590       307,162    SH
Newfield Exploration Co                        Common Stock               651290108                      20           900    SH
Newmil Bancorp Inc                             Common Stock               651633109                      12         1,000    SH
Newmont Mining Corp.                           Common Stock               651639106                      59         3,387    SH
Newpark Resources Inc. Com Par $0.01           Common Stock               651718504                       3           400    SH
Newport News and Shipbuilding                  Common Stock               652228107                      96         3,036    SH
The News Corp. Limited                         ADR                        652487703                      13           450    SH
The News Corp. Ltd                             Preferred Stock            652487802                      13           460    SH

Page Total:                                                                                          18,850

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
National Health Investors                                    X                                    0        100          0
National Instruments Corp                                    X                                    0      5,500          0
National Power ADR FINAL INS                                 X                                    0         60          0
National Presto Industries Incorporate                       X                                    0        500          0
National Propane Partners LP                                 X                                    0      1,000          0
National R V Holdings Inc.                                   X                                    0      1,000          0
National Rural Utilities                                     X                                    0      2,000          0
National Semiconductor Inc.                                  X                                    0     10,576          0
National Service Industries Inc.                             X                                    0        725          0
National Westminster Bank PLC                                X                                    0        900          0
National Westminster Bank PLC                                X                                    0      3,000          0
National Westminster Bank PLC                                X                                    0      1,500          0
Nationwide Financial Services, Inc.                          X                                    0      2,675          0
Nationwide Financial Svcs Cap Tr                             X                                    0        400          0
Nationwide Health Properties Inc.                            X                                    0      3,970          0
Nautica Enterprises Inc.                                     X                                    0        650          0
Navigant International Inc.                                  X                                    0      1,000          0
Neiman-Marcus Groups Inc.                                    X                                    0        275          0
Neomagic Corp.                                               X                                    0        200          0
Neoprobe Corp.                                               X                                    0      1,700          0
Neopharm Inc.                                                X                                    0        500          0
Networks Associates Inc.                                     X                                    0     20,181          0
Nestle SA Sponsored ADR                                      X                                    0      9,265          0
Netmanage Inc.                                               X                                    0        200          0
Network Appliance Inc                                        X                                    0      1,200          0
Network Solutions Inc. - Cl A                                X                                    0        800          0
Neurogen Corp.                                               X                                    0      3,400          0
Nevada Power Co                                              X                                    0      1,525          0
New Century Financial Corp.                                  X                                    0      1,000          0
New Century Energies Inc.                                    X                                    0     14,616          0
New England Electric System                                  X                                    0        829          0
New Germany Fund Inc.                                        X                                    0        751          0
New Jersey Resources Corp.                                   X                                    0        300          0
New PLan Excel Realty Trust                                  X                                    0     35,350          0
New Plan Excel Realty Tr Inc 8.625% PF                       X                                    0      3,000          0
New South Capital Tr I Tr Pfd Sec 8.5%                       X                                    0        900          0
New York Times Co.                                           X                                    0      6,588          0
New York Times Co  Conv CL B                                 X                                    0        120          0
Newbridge Networks Corp.                                     X                                    0      2,800          0
Newell Rubbermaid Inc.                                       X                                    0    307,162          0
Newfield Exploration Co                                      X                                    0        900          0
Newmil Bancorp Inc                                           X                                    0      1,000          0
Newmont Mining Corp.                                         X                                    0      3,387          0
Newpark Resources Inc. Com Par $0.01                         X                                    0        400          0
Newport News and Shipbuilding                                X                                    0      3,036          0
The News Corp. Limited                                       X                                    0        450          0
The News Corp. Ltd                                           X                                    0        460          0
</TABLE>


<PAGE>
Page 39 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Nextel Communications Inc.                     Common Stock               65332V103                   4,923       134,430    SH
Niagara Corp. - Del                            Common Stock               653349100                       3           450    SH
Niagara Mohawk Holdings Inc.                   Common Stock               653520106                     314        23,370    SH
Niagara Mohawk Power 3.40% Pfd                 Preferred Stock            653522201                      24           400    SH
Niagara Mohawk Power 3.60% PFD                 Preferred Stock            653522300                      56           900    SH
Niagara Mohawk Power 3.90% Pfd                 Preferred Stock            653522409                      76         1,130    SH
Niagara Mohawk Power 4.10% Pfd                 Preferred Stock            653522508                      61           850    SH
Niagara Mhwk Pwr                               Preferred Stock            653522607                     133         1,600    SH
Niagara Mohawk Power 5.25% PFD                 Preferred Stock            653522706                      82           900    SH
Nichols Research Corp.                         Common Stock               653818104                     274        14,520    SH
Nielsen Media Research                         Common Stock               653929307                      14           580    SH
Nicor Inc.                                     Common Stock               654086107                      59         1,636    SH
Nike Inc.                                      Common Stock               654106103                     941        16,311    SH
Nimbus International Inc.                      Common Stock               654390103                       9           800    SH
Nipsco Capital Markets Inc. 7.75%              Preferred Stock            654638105                      30         1,215    SH
Nissan Motor Co Ltd Sponsored                  ADR                        654744408                       4           500    SH
Nobility Homes Inc.                            Common Stock               654892108                       8           825    SH
Noble Affiliates Inc.                          Common Stock               654894104                      73         2,500    SH
Nokia Corp. Sponsored ADR                      ADR                        654902204                     241         1,550    SH
Noble Drilling Corp.                           Common Stock               655042109                      29         1,650    SH
Nord Res Corp.                                 Common Stock               655555100                       0           600    SH
Nordstrom Inc.                                 Common Stock               655664100                     137         3,350    SH
Norfolk Southern Corp.                         Common Stock               655844108                   1,064        40,356    SH
Norfolk Southern Railway Co.                   Preferred Stock            655855203                      15           320    SH
Norrel Corp.                                   Common Stock               656301108                     168        12,885    SH
Norsk Hydro As Adr                             ADR                        656531605                       1            30    SH
North American Advanced Materials Corp         Common Stock               656911302                       0         1,000    SH
North Atlantic Technologies Inc New            Common Stock               657335204                       0           266    SH
North Carolina Natural Gas Corp.               Common Stock               658221106                   8,399       276,497    SH
North Fork Bancorp, Inc.-NY                    Common Stock               659424105                   2,494       118,042    SH
North Pittsburgh Sys Inc.                      Common Stock               661562108                     347        25,240    SH
Northeast Pennsylvania Financial Corp          Common Stock               663905107                       5           450    SH
Northeast Utilities                            Common Stock               664397106                     412        29,715    SH
Northern Border Partnership LP                 Limited Partner            664785102                      28           900    SH
Northern Ind Pub                               Preferred Stock            665262879                      15           310    SH
Northern States Power Co                       Common Stock               665772109                     112         4,836    SH
Northern States                                Preferred Stock            665772208                      25           400    SH
Northern Telecom Ltd.                          Common Stock               665815106                     278         4,480    SH
Northern Trust Corp.                           Common Stock               665859104                     243         2,741    SH
Northland Crandbarries Inc-A                   Common Stock               666499108                       0           300    SH
Northrop Grumman Corp.                         Common Stock               666807102                     558         9,324    SH
Northwest Natural Gas Co                       Common Stock               667655104                       7           300    SH
Nova Chemicals Corp. 9.50% Tr Pfd              Preferred Stock            66977W208                      23           900    SH
Nova Chemicals Corp. 9.04% PFD                 Preferred Stock            66977W307                      73         2,900    SH
Novartis AG-ADR                                ADR                        66987V109                     412         5,075    SH
Novacare Inc.                                  Common Stock               669930109                       9         5,000    SH
Novavax Inc.                                   Common Stock               670002104                       4         1,178    SH

Page Total:                                                                                          22,182

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Nextel Communications Inc.                                   X                                    0    134,430          0
Niagara Corp. - Del                                          X                                    0        450          0
Niagara Mohawk Holdings Inc.                                 X                                    0     23,370          0
Niagara Mohawk Power 3.40% Pfd                               X                                    0        400          0
Niagara Mohawk Power 3.60% PFD                               X                                    0        900          0
Niagara Mohawk Power 3.90% Pfd                               X                                    0      1,130          0
Niagara Mohawk Power 4.10% Pfd                               X                                    0        850          0
Niagara Mhwk Pwr                                             X                                    0      1,600          0
Niagara Mohawk Power 5.25% PFD                               X                                    0        900          0
Nichols Research Corp.                                       X                                    0     14,520          0
Nielsen Media Research                                       X                                    0        580          0
Nicor Inc.                                                   X                                    0      1,636          0
Nike Inc.                                                    X                                    0     16,311          0
Nimbus International Inc.                                    X                                    0        800          0
Nipsco Capital Markets Inc. 7.75%                            X                                    0      1,215          0
Nissan Motor Co Ltd Sponsored                                X                                    0        500          0
Nobility Homes Inc.                                          X                                    0        825          0
Noble Affiliates Inc.                                        X                                    0      2,500          0
Nokia Corp. Sponsored ADR                                    X                                    0      1,550          0
Noble Drilling Corp.                                         X                                    0      1,650          0
Nord Res Corp.                                               X                                    0        600          0
Nordstrom Inc.                                               X                                    0      3,350          0
Norfolk Southern Corp.                                       X                                    0     40,356          0
Norfolk Southern Railway Co.                                 X                                    0        320          0
Norrel Corp.                                                 X                                    0     12,885          0
Norsk Hydro As Adr                                           X                                    0         30          0
North American Advanced Materials Corp                       X                                    0      1,000          0
North Atlantic Technologies Inc New                          X                                    0        266          0
North Carolina Natural Gas Corp.                             X                                    0    276,497          0
North Fork Bancorp, Inc.-NY                                  X                                    0    118,042          0
North Pittsburgh Sys Inc.                                    X                                    0     25,240          0
Northeast Pennsylvania Financial Corp                        X                                    0        450          0
Northeast Utilities                                          X                                    0     29,715          0
Northern Border Partnership LP                               X                                    0        900          0
Northern Ind Pub                                             X                                    0        310          0
Northern States Power Co                                     X                                    0      4,836          0
Northern States                                              X                                    0        400          0
Northern Telecom Ltd.                                        X                                    0      4,480          0
Northern Trust Corp.                                         X                                    0      2,741          0
Northland Crandbarries Inc-A                                 X                                    0        300          0
Northrop Grumman Corp.                                       X                                    0      9,324          0
Northwest Natural Gas Co                                     X                                    0        300          0
Nova Chemicals Corp. 9.50% Tr Pfd                            X                                    0        900          0
Nova Chemicals Corp. 9.04% PFD                               X                                    0      2,900          0
Novartis AG-ADR                                              X                                    0      5,075          0
Novacare Inc.                                                X                                    0      5,000          0
Novavax Inc.                                                 X                                    0      1,178          0
</TABLE>


<PAGE>
Page 40 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Novell, Inc.                                   Common Stock               670006105                     378        15,002    SH
Nstor Technologies Inc.                        Common Stock               67018N108                       4         2,000    SH
NU Skin Asia Pacific Inc. - A                  Common Stock               67018T105                       9           400    SH
Nucor Corp.                                    Common Stock               670346105                   1,453        32,975    SH
Numerex Corp. NY Cl A                          Common Stock               67053A102                      94        25,615    SH
Nuveen Connecticut Premium                     Common Stock               67060D107                      17         1,000    SH
Nuveen Select Maturities                       Common Stock               67061T101                      58         4,900    SH
Nuveen Investment Quality Municipal            Common Stock               67062E103                      59         3,700    SH
Nuveen Municipal Income Fund                   Common Stock               67062J102                      34         2,750    SH
Nuveen Select Tax-Free Income                  Common Stock               67063X100                      43         2,800    SH
Nuveen Virginia Premium Income                 Common Stock               67064R102                      79         4,764    SH
Nvest LP Units Ltd Partnership Int             Common Stock               67065F107                      85         3,500    SH
OEA Inc                                        Common Stock               670826106                      63         7,590    SH
OAO Technology Solutions Inc                   Common Stock               67082B105                       0            80    SH
OGE Energy Corp.                               Common Stock               670837103                      90         3,982    SH
Olas Inc.                                      Common Stock               670867100                       0         1,000    SH
Nuveen Florida Investment                      Common Stock               670970102                      57         3,300    SH
Nuveen California Select                       Common Stock               670975101                      27         1,600    SH
Nuveen Quality Income                          Common Stock               670977107                     103         6,293    SH
Nuveen Florida Quality Income Municipa         Common Stock               670978105                      16         1,000    SH
Nuveen Ohio Quality Income                     Common Stock               670980101                       6           300    SH
Nuveen New York Quality Income Fd              Common Stock               670986108                      13           800    SH
Nuveen Premier Insured                         Common Stock               670987106                      16         1,000    SH
Nuveen Premier Municipal                       Common Stock               670988104                      34         2,103    SH
Oakley Inc.                                    Common Stock               673662102                       6           900    SH
Oakwood Homes Corp.                            Common Stock               674098108                   8,313       591,108    SH
Objective Communications Inc.                  Common Stock               674421102                       1         1,000    SH
Occidental Petroleum Corp.                     Common Stock               674599105                     338        18,754    SH
Ocean Energy Inc                               Common Stock               67481E106                      39         5,649    SH
Ocenaeering  Inc.                              Common Stock               675232102                      12           800    SH
Octel Corp.                                    Common Stock               675727101                       1            50    SH
Odwalla Inc.                                   Common Stock               676111107                       1           100    SH
Office Depot Inc.                              Common Stock               676220106                      44         1,200    SH
Officemax Inc.                                 Common Stock               67622M108                     166        19,260    SH
Offshore Logistics Inc.                        Common Stock               676255102                     234        20,120    SH
Ogden Corp.                                    Common Stock               676346109                     319        13,260    SH
Ohio Casualty Corp.                            Common Stock               677240103                     697        17,875    SH
Ohio Power Co 7.375%                           Common Stock               677415762                      27         1,100    SH
Old Guard Group Inc.                           Common Stock               679783100                     229        18,050    SH
Old Kent Financial Corp.                       Common Stock               679833103                     600        14,195    SH
Old Point Financial Corp.                      Common Stock               680194107                      46         1,600    SH
Old Republic International Corp.               Common Stock               680223104                     687        37,650    SH
Olin Corp.                                     Common Stock               680665205                      14         1,400    SH
Omnicom Group Inc.                             Common Stock               681919106                     496         6,206    SH
Omega Healthcare Investors, Inc.               Common Stock               681936100                   1,336        58,262    SH
Omega Financial Corp.                          Common Stock               682092101                      71         2,145    SH
Omega Worldwide Inc.                           Common Stock               68210B108                       5         1,308    SH

Page Total:                                                                                          16,419

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Novell, Inc.                                                 X                                    0     15,002          0
Nstor Technologies Inc.                                      X                                    0      2,000          0
NU Skin Asia Pacific Inc. - A                                X                                    0        400          0
Nucor Corp.                                                  X                                    0     32,975          0
Numerex Corp. NY Cl A                                        X                                    0     25,615          0
Nuveen Connecticut Premium                                   X                                    0      1,000          0
Nuveen Select Maturities                                     X                                    0      4,900          0
Nuveen Investment Quality Municipal                          X                                    0      3,700          0
Nuveen Municipal Income Fund                                 X                                    0      2,750          0
Nuveen Select Tax-Free Income                                X                                    0      2,800          0
Nuveen Virginia Premium Income                               X                                    0      4,764          0
Nvest LP Units Ltd Partnership Int                           X                                    0      3,500          0
OEA Inc                                                      X                                    0      7,590          0
OAO Technology Solutions Inc                                 X                                    0         80          0
OGE Energy Corp.                                             X                                    0      3,982          0
Olas Inc.                                                    X                                    0      1,000          0
Nuveen Florida Investment                                    X                                    0      3,300          0
Nuveen California Select                                     X                                    0      1,600          0
Nuveen Quality Income                                        X                                    0      6,293          0
Nuveen Florida Quality Income Municipa                       X                                    0      1,000          0
Nuveen Ohio Quality Income                                   X                                    0        300          0
Nuveen New York Quality Income Fd                            X                                    0        800          0
Nuveen Premier Insured                                       X                                    0      1,000          0
Nuveen Premier Municipal                                     X                                    0      2,103          0
Oakley Inc.                                                  X                                    0        900          0
Oakwood Homes Corp.                                          X                                    0    591,108          0
Objective Communications Inc.                                X                                    0      1,000          0
Occidental Petroleum Corp.                                   X                                    0     18,754          0
Ocean Energy Inc                                             X                                    0      5,649          0
Ocenaeering  Inc.                                            X                                    0        800          0
Octel Corp.                                                  X                                    0         50          0
Odwalla Inc.                                                 X                                    0        100          0
Office Depot Inc.                                            X                                    0      1,200          0
Officemax Inc.                                               X                                    0     19,260          0
Offshore Logistics Inc.                                      X                                    0     20,120          0
Ogden Corp.                                                  X                                    0     13,260          0
Ohio Casualty Corp.                                          X                                    0     17,875          0
Ohio Power Co 7.375%                                         X                                    0      1,100          0
Old Guard Group Inc.                                         X                                    0     18,050          0
Old Kent Financial Corp.                                     X                                    0     14,195          0
Old Point Financial Corp.                                    X                                    0      1,600          0
Old Republic International Corp.                             X                                    0     37,650          0
Olin Corp.                                                   X                                    0      1,400          0
Omnicom Group Inc.                                           X                                    0      6,206          0
Omega Healthcare Investors, Inc.                             X                                    0     58,262          0
Omega Financial Corp.                                        X                                    0      2,145          0
Omega Worldwide Inc.                                         X                                    0      1,308          0
</TABLE>



<PAGE>
Page 41 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Omnipoint Corp.                                Common Stock               68212D102                      32         2,200    SH
One Valley Bancorp Inc.                        Common Stock               682419106                     448        12,836    SH
Onemain.Com Inc.                               Common Stock               68267P109                      11           300    SH
Oneok Inc.                                     Common Stock               682680103                       5           200    SH
Onsale Inc                                     Common Stock               682838107                      10           300    SH
Open Plan Systems Inc.                         Common Stock               683709109                       6         2,240    SH
Open Market Incorporated                       Common Stock               68370M100                       4           300    SH
Open Jt Stk Co Vimpel                          ADR                        68370R109                       5           300    SH
Open Text Corp.                                Common Stock               683715106                      20           650    SH
Oppenheimer Inds Inc.                          Common Stock               683800106                       0         2,500    SH
Optelcom Inc.                                  Common Stock               683818207                       4         1,350    SH
Optical Cable Corp.                            Common Stock               683827109                       9         1,000    SH
Oracle Systems Corp.                           Common Stock               68389X105                   3,586       135,969    SH
Optimark Data Systems Inc.                     Common Stock               683951107                       2        23,000    SH
Oralabs Holding Corp                           Common Stock               684029101                       3         1,000    SH
Orange & Rockland                              Common Stock               684065105                     149         2,600    SH
Orbital Sciences Corp.                         Common Stock               685564106                      44         1,550    SH
Organogenesis Inc.                             Common Stock               685906109                      23         1,952    SH
Orion Capital Corp.                            Common Stock               686268103                     114         3,650    SH
Orthodontic Centers of America                 Common Stock               68750P103                      32         2,000    SH
Orthalliance Inc.  CL A                        Common Stock               687913103                      19         2,500    SH
Osicom Technologies Inc.                       Common Stock               688271501                       0             6    SH
Otter Tail Power Co                            Common Stock               689648103                      14           360    SH
Outback Steakhouse Inc.                        Common Stock               689899102                      56         1,720    SH
Overland Data Inc                              Common Stock               690213103                      11         1,500    SH
Owens & Minor Inc. New                         Common Stock               690732102                       7           675    SH
Owens Corning                                  Common Stock               69073F103                      85         2,666    SH
Owosso Corp.                                   Common Stock               691217103                      18         4,500    SH
Oxford Health Plans Inc.                       Common Stock               691471106                      55         3,500    SH
Oxford Tax Exempt Fund II LP                   Limited Partner            69181P100                       5           200    SH
Oxigene Inc.                                   Common Stock               691828107                       8         1,000    SH
Oxy Capital Trust I 8.16% PFD                  Preferred Stock            692070204                      30         1,200    SH
PC Connection Inc.                             Common Stock               69318J100                      73         4,220    SH
PC Docs Group International                    Common Stock               69318L105                      11         2,600    SH
PECO Energy Capital L P 9%                     Preferred Stock            693303208                       8           334    SH
Peco Energy Co                                 Common Stock               693304107                     234         5,050    SH
PECO Energy Co $3.80 Pfd                       Preferred Stock            693304206                       7           100    SH
PECO Energy Co $4.30 Pfd                       Preferred Stock            693304305                       8           100    SH
Peco Energy Co $4.40 Pfd                       Preferred Stock            693304404                      47           600    SH
P G & E Corp.                                  Common Stock               69331C108                     240         7,724    SH
PHP Healthcare Corp.                           Common Stock               693344103                       0         1,000    SH
PLC Capital LLC 9% Cum Ser A                   Preferred Stock            693405201                       5           200    SH
PLM Equipment Growth Fund Dep Units            Common Stock               693413106                       7         2,239    SH
PLC Systems Inc.                               Common Stock               69341D104                       4         1,600    SH
Plm Equipment Growth Fund VI                   Common Stock               69341H303                       0           350    SH
PLM Equipment Growth Fund V                    Common Stock               69341H402                       4         1,250    SH
PMC Capital Inc.                               Common Stock               693430100                       5           600    SH

Page Total:                                                                                           5,466

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Omnipoint Corp.                                              X                                    0      2,200          0
One Valley Bancorp Inc.                                      X                                    0     12,836          0
Onemain.Com Inc.                                             X                                    0        300          0
Oneok Inc.                                                   X                                    0        200          0
Onsale Inc                                                   X                                    0        300          0
Open Plan Systems Inc.                                       X                                    0      2,240          0
Open Market Incorporated                                     X                                    0        300          0
Open Jt Stk Co Vimpel                                        X                                    0        300          0
Open Text Corp.                                              X                                    0        650          0
Oppenheimer Inds Inc.                                        X                                    0      2,500          0
Optelcom Inc.                                                X                                    0      1,350          0
Optical Cable Corp.                                          X                                    0      1,000          0
Oracle Systems Corp.                                         X                                    0    135,969          0
Optimark Data Systems Inc.                                   X                                    0     23,000          0
Oralabs Holding Corp                                         X                                    0      1,000          0
Orange & Rockland                                            X                                    0      2,600          0
Orbital Sciences Corp.                                       X                                    0      1,550          0
Organogenesis Inc.                                           X                                    0      1,952          0
Orion Capital Corp.                                          X                                    0      3,650          0
Orthodontic Centers of America                               X                                    0      2,000          0
Orthalliance Inc.  CL A                                      X                                    0      2,500          0
Osicom Technologies Inc.                                     X                                    0          6          0
Otter Tail Power Co                                          X                                    0        360          0
Outback Steakhouse Inc.                                      X                                    0      1,720          0
Overland Data Inc                                            X                                    0      1,500          0
Owens & Minor Inc. New                                       X                                    0        675          0
Owens Corning                                                X                                    0      2,666          0
Owosso Corp.                                                 X                                    0      4,500          0
Oxford Health Plans Inc.                                     X                                    0      3,500          0
Oxford Tax Exempt Fund II LP                                 X                                    0        200          0
Oxigene Inc.                                                 X                                    0      1,000          0
Oxy Capital Trust I 8.16% PFD                                X                                    0      1,200          0
PC Connection Inc.                                           X                                    0      4,220          0
PC Docs Group International                                  X                                    0      2,600          0
PECO Energy Capital L P 9%                                   X                                    0        334          0
Peco Energy Co                                               X                                    0      5,050          0
PECO Energy Co $3.80 Pfd                                     X                                    0        100          0
PECO Energy Co $4.30 Pfd                                     X                                    0        100          0
Peco Energy Co $4.40 Pfd                                     X                                    0        600          0
P G & E Corp.                                                X                                    0      7,724          0
PHP Healthcare Corp.                                         X                                    0      1,000          0
PLC Capital LLC 9% Cum Ser A                                 X                                    0        200          0
PLM Equipment Growth Fund Dep Units                          X                                    0      2,239          0
PLC Systems Inc.                                             X                                    0      1,600          0
Plm Equipment Growth Fund VI                                 X                                    0        350          0
PLM Equipment Growth Fund V                                  X                                    0      1,250          0
PMC Capital Inc.                                             X                                    0        600          0
</TABLE>



<PAGE>
Page 42 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
PMI Group Inc.                                 Common Stock               69344M101                       4            85    SH
P N C Financial Corp.                          Common Stock               693475105                   4,632        83,373    SH
PP&L Capt Trust 8.2% Trust                     Preferred Stock            693497208                      79         3,100    SH
P P & L Resources, Inc.                        Common Stock               693499105                     461        18,633    SH
PP&L Inc Preferred Ser B 4.50%                 Preferred Stock            69349X409                      80         1,025    SH
PPG Industries, Inc.                           Common Stock               693506107                     648        12,652    SH
PRI Automation Inc.                            Common Stock               69357H106                       6           300    SH
PSE&G  Capt Trust II 8.125% Pfd Ser B          Preferred Stock            69361T203                      13           500    SH
PS Group Holdings Inc.                         Common Stock               693622102                       5           600    SH
PWG Capital Trust I Cum Trust                  Preferred Stock            69366E201                      26         1,000    SH
PWG Capital Trust II 8.08% Pfd                 Preferred Stock            69366F208                      20           800    SH
Paccar Inc.                                    Common Stock               693718108                     118         2,874    SH
PSE&G Capt Trust I 8.625% Cum                  Preferred Stock            693941205                       8           300    SH
Pacific Century Financial Corp.                Common Stock               694058108                      10           500    SH
Pacific Gas & Elec                             Preferred Stock            694308206                      29         1,200    SH
Pacific Gulf Properties Inc.                   Common Stock               694396102                      31         1,700    SH
Pacific Telesis Finance TOPRS                  Preferred Stock            694887209                      22           883    SH
Pacific Telesis Finance II                     Preferred Stock            694889205                      52         2,000    SH
Pacific Research & Engineering Corp            Common Stock               694932104                       2         2,500    SH
Pacificorp                                     Common Stock               695114108                     101         5,837    SH
Pacificorp Capt I 8.25% Cum                    Preferred Stock            695115204                       5           200    SH
Paging Network, Inc.                           Common Stock               695542100                     111        23,750    SH
Paine Webber Group                             Common Stock               695629105                      62         1,550    SH
Pairgain Technologies Inc.                     Common Stock               695934109                      40         4,100    SH
Pall Corp.                                     Common Stock               696429307                       7           425    SH
Palmetto Bancshares Inc                        Common Stock               697062107                       0           240    SH
Papa Johns International Inc.                  Common Stock               698813102                       9           200    SH
Parametric Technology Corp.                    Common Stock               699173100                      28         1,400    SH
Park Place Entertainment Corp.                 Common Stock               700690100                     476        62,943    SH
Parker Drilling Co                             Common Stock               701081101                       4         1,200    SH
Parker Hannifin Corp.                          Common Stock               701094104                     212         6,199    SH
Parkvale Financial Corp.                       Common Stock               701492100                     367        17,379    SH
Party City Corporation                         Common Stock               702145103                       4         1,050    SH
Patrick Industries Inc.                        Common Stock               703343103                      10           750    SH
Patriot American Hospitality Inc.              Common Stock               703352203                       8         1,622    SH
Patriot American Hospitality Inc.              Preferred Stock            703352401                       0            10    SH
Patriot Bank Corporation PA                    Common Stock               70335P103                       9         1,000    SH
Patterson Dental Co                            Common Stock               703412106                      83         1,922    SH
Paxson Communications Corp.                    Common Stock               704231109                      21         2,505    SH
Paychex Inc.                                   Common Stock               704326107                     102         2,160    SH
Payless Shoesource Inc.                        Common Stock               704379106                      15           316    SH
Penn Star Oil Corp.                            Common Stock               707630109                       0            17    SH
The Penn Traffic Co                            Common Stock               707832101                       0           500    SH
Penn Virginia Corp.                            Common Stock               707882106                     417        23,770    SH
PennCorp Financial Group Inc.                  Common Stock               708094107                       9        15,850    SH
Penney (J C) Co Inc.                           Common Stock               708160106                   2,280        56,295    SH
Pennsylvania Enterprises Inc.                  Common Stock               708720107                      85         3,535    SH

Page Total:                                                                                          10,714

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
PMI Group Inc.                                               X                                    0         85          0
P N C Financial Corp.                                        X                                    0     83,373          0
PP&L Capt Trust 8.2% Trust                                   X                                    0      3,100          0
P P & L Resources, Inc.                                      X                                    0     18,633          0
PP&L Inc Preferred Ser B 4.50%                               X                                    0      1,025          0
PPG Industries, Inc.                                         X                                    0     12,652          0
PRI Automation Inc.                                          X                                    0        300          0
PSE&G  Capt Trust II 8.125% Pfd Ser B                        X                                    0        500          0
PS Group Holdings Inc.                                       X                                    0        600          0
PWG Capital Trust I Cum Trust                                X                                    0      1,000          0
PWG Capital Trust II 8.08% Pfd                               X                                    0        800          0
Paccar Inc.                                                  X                                    0      2,874          0
PSE&G Capt Trust I 8.625% Cum                                X                                    0        300          0
Pacific Century Financial Corp.                              X                                    0        500          0
Pacific Gas & Elec                                           X                                    0      1,200          0
Pacific Gulf Properties Inc.                                 X                                    0      1,700          0
Pacific Telesis Finance TOPRS                                X                                    0        883          0
Pacific Telesis Finance II                                   X                                    0      2,000          0
Pacific Research & Engineering Corp                          X                                    0      2,500          0
Pacificorp                                                   X                                    0      5,837          0
Pacificorp Capt I 8.25% Cum                                  X                                    0        200          0
Paging Network, Inc.                                         X                                    0     23,750          0
Paine Webber Group                                           X                                    0      1,550          0
Pairgain Technologies Inc.                                   X                                    0      4,100          0
Pall Corp.                                                   X                                    0        425          0
Palmetto Bancshares Inc                                      X                                    0        240          0
Papa Johns International Inc.                                X                                    0        200          0
Parametric Technology Corp.                                  X                                    0      1,400          0
Park Place Entertainment Corp.                               X                                    0     62,943          0
Parker Drilling Co                                           X                                    0      1,200          0
Parker Hannifin Corp.                                        X                                    0      6,199          0
Parkvale Financial Corp.                                     X                                    0     17,379          0
Party City Corporation                                       X                                    0      1,050          0
Patrick Industries Inc.                                      X                                    0        750          0
Patriot American Hospitality Inc.                            X                                    0      1,622          0
Patriot American Hospitality Inc.                            X                                    0         10          0
Patriot Bank Corporation PA                                  X                                    0      1,000          0
Patterson Dental Co                                          X                                    0      1,922          0
Paxson Communications Corp.                                  X                                    0      2,505          0
Paychex Inc.                                                 X                                    0      2,160          0
Payless Shoesource Inc.                                      X                                    0        316          0
Penn Star Oil Corp.                                          X                                    0         17          0
The Penn Traffic Co                                          X                                    0        500          0
Penn Virginia Corp.                                          X                                    0     23,770          0
PennCorp Financial Group Inc.                                X                                    0     15,850          0
Penney (J C) Co Inc.                                         X                                    0     56,295          0
Pennsylvania Enterprises Inc.                                X                                    0      3,535          0
</TABLE>



<PAGE>
Page 43 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Pennsylvania Power Co. 4.24% Pfd               Preferred Stock            709068100                      19           300    SH
Pennsylvania Real Estate Tr SBI                Common Stock               709102107                      62         3,294    SH
Pennzenergy Co.                                Common Stock               70931Q109                      16         1,491    SH
Pennzoil-Quaker State Co.                      Common Stock               709323109                     134        10,804    SH
Penseco Financial Services Corp                Common Stock               709570105                       2            40    SH
Penton Media Inc.                              Common Stock               709668107                       7           300    SH
Peoples Bancorp Inc.                           Common Stock               709909105                      37         3,700    SH
Peoples Energy Corp.                           Common Stock               711030106                      29           883    SH
Peoples Heritage Financial Group Inc.          Common Stock               711147108                     540        29,974    SH
PeopleSoft Inc.                                Common Stock               712713106                      84         5,770    SH
Pep Boys - Manny, Moe & Jack                   Common Stock               713278109                   1,203        78,892    SH
PepsiCo, Inc.                                  Common Stock               713448108                   9,065       231,327    SH
Perkin Elmer Corp.                             Common Stock               714041100                     162         1,670    SH
Perot Systems Corp. Cl A                       Common Stock               714265105                       3           100    SH
Personnel Group of America Inc.                Common Stock               715338109                      17         2,350    SH
Petro-Canada                                   Common Stock               71644E102                       6           500    SH
Petroleum & Resources Corp.                    Common Stock               716549100                      24           728    SH
Petroleo Brasileiro SA - Sponsored ADR         ADR                        71654V101                      56         4,000    SH
Petroleum Geo Services A/S SPONS ADR           ADR                        716597109                      26         1,700    SH
Petsmart, Inc.                                 Common Stock               716768106                     314        39,110    SH
Pharmacia & UpJohn Inc.                        Common Stock               716941109                   2,108        33,789    SH
Pfizer Inc.                                    Common Stock               717081103                   8,971        64,653    SH
Pharmaceutical Product Development             Common Stock               717124101                      10           300    SH
Pharmerica Inc.                                Common Stock               717135107                       3           500    SH
Pharmacopeia Inc.                              Common Stock               71713B104                      32         4,400    SH
Phelps Dodge                                   Common Stock               717265102                     116         2,352    SH
Philadelphia Suburban                          Common Stock               718009608                      53         2,316    SH
Philip Morris Companies Inc.                   Common Stock               718154107                  10,368       294,634    SH
Philip Services Corp.                          Common Stock               71819M103                       8        31,522    SH
Philips International Realty Corp.             Common Stock               718333107                       0            27    SH
Phillips Petroleum Co.                         Common Stock               718507106                   2,650        56,090    SH
Phoenix Investment Partners                    Common Stock               719085102                      17         2,000    SH
Phycor Inc.                                    Common Stock               71940F100                      84        17,605    SH
Piccadilly Cafeterias Inc.                     Common Stock               719567109                      15         1,374    SH
Piedmont Natural Gas Co                        Common Stock               720186105                     164         4,699    SH
Pier 1 Imports Inc.                            Common Stock               720279108                      39         4,800    SH
Pilgrim America Prime Rate TR (NEW)            Common Stock               72146W103                     113        12,000    SH
Pinnacle Bancshares Inc                        Common Stock               722903101                       2           200    SH
Pinnacle Bankshares Corp.                      Common Stock               72345E102                      25           822    SH
Pinnacle West Capital Corp.                    Common Stock               723484101                      33           917    SH
Pioneer Hi Bred                                Common Stock               723686101                      11           300    SH
Pioneer Interest Shares Inc.                   Common Stock               723703104                       4           300    SH
Pioneer Natural Resources Co                   Common Stock               723787107                      16         2,100    SH
Pioneer Standard                               Common Stock               723877106                     157        23,900    SH
Pitney-Bowes, Inc.                             Common Stock               724479100                     486         7,620    SH
Pittsburgh & West Virginia RR                  Common Stock               724819107                       1           150    SH
Pittsburgh Home Financial Cr                   Common Stock               725149108                      14         1,000    SH

Page Total:                                                                                          37,301

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Pennsylvania Power Co. 4.24% Pfd                             X                                    0        300          0
Pennsylvania Real Estate Tr SBI                              X                                    0      3,294          0
Pennzenergy Co.                                              X                                    0      1,491          0
Pennzoil-Quaker State Co.                                    X                                    0     10,804          0
Penseco Financial Services Corp                              X                                    0         40          0
Penton Media Inc.                                            X                                    0        300          0
Peoples Bancorp Inc.                                         X                                    0      3,700          0
Peoples Energy Corp.                                         X                                    0        883          0
Peoples Heritage Financial Group Inc.                        X                                    0     29,974          0
PeopleSoft Inc.                                              X                                    0      5,770          0
Pep Boys - Manny, Moe & Jack                                 X                                    0     78,892          0
PepsiCo, Inc.                                                X                                    0    231,327          0
Perkin Elmer Corp.                                           X                                    0      1,670          0
Perot Systems Corp. Cl A                                     X                                    0        100          0
Personnel Group of America Inc.                              X                                    0      2,350          0
Petro-Canada                                                 X                                    0        500          0
Petroleum & Resources Corp.                                  X                                    0        728          0
Petroleo Brasileiro SA - Sponsored ADR                       X                                    0      4,000          0
Petroleum Geo Services A/S SPONS ADR                         X                                    0      1,700          0
Petsmart, Inc.                                               X                                    0     39,110          0
Pharmacia & UpJohn Inc.                                      X                                    0     33,789          0
Pfizer Inc.                                                  X                                    0     64,653          0
Pharmaceutical Product Development                           X                                    0        300          0
Pharmerica Inc.                                              X                                    0        500          0
Pharmacopeia Inc.                                            X                                    0      4,400          0
Phelps Dodge                                                 X                                    0      2,352          0
Philadelphia Suburban                                        X                                    0      2,316          0
Philip Morris Companies Inc.                                 X                                    0    294,634          0
Philip Services Corp.                                        X                                    0     31,522          0
Philips International Realty Corp.                           X                                    0         27          0
Phillips Petroleum Co.                                       X                                    0     56,090          0
Phoenix Investment Partners                                  X                                    0      2,000          0
Phycor Inc.                                                  X                                    0     17,605          0
Piccadilly Cafeterias Inc.                                   X                                    0      1,374          0
Piedmont Natural Gas Co                                      X                                    0      4,699          0
Pier 1 Imports Inc.                                          X                                    0      4,800          0
Pilgrim America Prime Rate TR (NEW)                          X                                    0     12,000          0
Pinnacle Bancshares Inc                                      X                                    0        200          0
Pinnacle Bankshares Corp.                                    X                                    0        822          0
Pinnacle West Capital Corp.                                  X                                    0        917          0
Pioneer Hi Bred                                              X                                    0        300          0
Pioneer Interest Shares Inc.                                 X                                    0        300          0
Pioneer Natural Resources Co                                 X                                    0      2,100          0
Pioneer Standard                                             X                                    0     23,900          0
Pitney-Bowes, Inc.                                           X                                    0      7,620          0
Pittsburgh & West Virginia RR                                X                                    0        150          0
Pittsburgh Home Financial Cr                                 X                                    0      1,000          0
</TABLE>


<PAGE>
Page 44 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Pittston Brink's Group                         Common Stock               725701106                      19           800    SH
Pittway Corp. Class A                          Common Stock               725790208                      16           600    SH
PIXAR Inc.                                     Common Stock               725811103                      53         1,350    SH
Placer Dome Inc 8.625% Ser A Cum Coprs         Preferred Stock            725906200                      35         1,500    SH
Planet Hollywood International, Inc.           Common Stock               727025108                       0           200    SH
Platinum Technology Inc.                       Common Stock               72764T101                      86         3,375    SH
Playboy Enterprise Inc.                        Common Stock               728117300                      20           906    SH
Playtex Products Inc.                          Common Stock               72813P100                     922        60,935    SH
Plexus Corporation                             Common Stock               729132100                       9           325    SH
Plum Creek Timber Co L P                       Common Stock               729237107                      76         2,650    SH
Pogo Producing                                 Common Stock               730448107                       0            25    SH
Polaris Industries Inc.                        Common Stock               731068102                      16           500    SH
Polaroid Corp.                                 Common Stock               731095105                     278        13,840    SH
Policy Management Systems                      Common Stock               731108106                     948        30,940    SH
Polo Ralph Lauren Corp. Cl A                   Common Stock               731572103                      24         1,225    SH
Polymer Group Inc                              Common Stock               731745105                      69         7,450    SH
Ponder Industries Inc                          Common Stock               732378203                       0           600    SH
Pool Energy Services Co                        Common Stock               732788104                      16         1,050    SH
Popular Inc.                                   Common Stock               733174106                     662        21,455    SH
Porta Systems Corp.                            Common Stock               735647307                       5         1,514    SH
Post Properties Inc.                           Common Stock               737464107                     108         3,000    SH
Potash Corp. of Saskatchewan                   Foreign Stock              73755L107                   1,269        23,718    SH
Potlach Corp.                                  Common Stock               737628107                       1            20    SH
Potomac Edison Co                              Preferred Stock            737662106                      16           248    SH
Potomac Electric Power Co                      Common Stock               737679100                     821        35,415    SH
Powell Industries Inc                          Common Stock               739128106                       4           500    SH
Powertel Inc                                   Common Stock               73936C109                       4           250    SH
Preferred Networks Inc.                        Common Stock               739905107                       0           500    SH
Praxair Inc.                                   Common Stock               74005P104                      66         1,834    SH
Pre Paid Legal Services Inc.                   Common Stock               740065107                       2           100    SH
Precision Castparts Corp.                      Common Stock               740189105                      81         2,010    SH
Precision Drilling Corp.                       Common Stock               74022D100                       1           100    SH
Precision Response Corp.                       Common Stock               740314109                      36        11,000    SH
Preferred Income Management Fund, Inc.         Common Stock               74037Q104                      12         1,000    SH
Premark International                          Common Stock               740459102                     278         8,442    SH
Premier Farnell PLC Sponsored ADR              ADR                        74050U107                       1           126    SH
Premier Farnell PLC Sponsored ADR              Foreign Stock              74050U206                       2           102    SH
Premier Laser System Inc CL A                  Common Stock               740522107                       2           700    SH
Premiere Technologies Inc.                     Common Stock               74058F102                     118        10,400    SH
Presstek Inc.                                  Common Stock               741113104                      31         3,900    SH
Prestige Bancorp Inc.                          Common Stock               741115109                      38         3,018    SH
Preview Travel Inc.                            Common Stock               74137R101                       6           300    SH
T. Rowe Price Assoc. Inc.                      Common Stock               741477103                     158         4,590    SH
Prime Retail Inc.                              Common Stock               741570105                     458        52,292    SH
Prime Retail Inc. 8.50% Ser B PFD Conv         Preferred Stock            741570303                      47         2,955    SH
Prime Bancshares Inc.                          Common Stock               74157H108                     105         7,400    SH
Prime Group Realty Trust 9.0%                  Preferred Stock            74158J202                      77         4,250    SH

Page Total:                                                                                           6,994

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Pittston Brink's Group                                       X                                    0        800          0
Pittway Corp. Class A                                        X                                    0        600          0
PIXAR Inc.                                                   X                                    0      1,350          0
Placer Dome Inc 8.625% Ser A Cum Coprs                       X                                    0      1,500          0
Planet Hollywood International, Inc.                         X                                    0        200          0
Platinum Technology Inc.                                     X                                    0      3,375          0
Playboy Enterprise Inc.                                      X                                    0        906          0
Playtex Products Inc.                                        X                                    0     60,935          0
Plexus Corporation                                           X                                    0        325          0
Plum Creek Timber Co L P                                     X                                    0      2,650          0
Pogo Producing                                               X                                    0         25          0
Polaris Industries Inc.                                      X                                    0        500          0
Polaroid Corp.                                               X                                    0     13,840          0
Policy Management Systems                                    X                                    0     30,940          0
Polo Ralph Lauren Corp. Cl A                                 X                                    0      1,225          0
Polymer Group Inc                                            X                                    0      7,450          0
Ponder Industries Inc                                        X                                    0        600          0
Pool Energy Services Co                                      X                                    0      1,050          0
Popular Inc.                                                 X                                    0     21,455          0
Porta Systems Corp.                                          X                                    0      1,514          0
Post Properties Inc.                                         X                                    0      3,000          0
Potash Corp. of Saskatchewan                                 X                                    0     23,718          0
Potlach Corp.                                                X                                    0         20          0
Potomac Edison Co                                            X                                    0        248          0
Potomac Electric Power Co                                    X                                    0     35,415          0
Powell Industries Inc                                        X                                    0        500          0
Powertel Inc                                                 X                                    0        250          0
Preferred Networks Inc.                                      X                                    0        500          0
Praxair Inc.                                                 X                                    0      1,834          0
Pre Paid Legal Services Inc.                                 X                                    0        100          0
Precision Castparts Corp.                                    X                                    0      2,010          0
Precision Drilling Corp.                                     X                                    0        100          0
Precision Response Corp.                                     X                                    0     11,000          0
Preferred Income Management Fund, Inc.                       X                                    0      1,000          0
Premark International                                        X                                    0      8,442          0
Premier Farnell PLC Sponsored ADR                            X                                    0        126          0
Premier Farnell PLC Sponsored ADR                            X                                    0        102          0
Premier Laser System Inc CL A                                X                                    0        700          0
Premiere Technologies Inc.                                   X                                    0     10,400          0
Presstek Inc.                                                X                                    0      3,900          0
Prestige Bancorp Inc.                                        X                                    0      3,018          0
Preview Travel Inc.                                          X                                    0        300          0
T. Rowe Price Assoc. Inc.                                    X                                    0      4,590          0
Prime Retail Inc.                                            X                                    0     52,292          0
Prime Retail Inc. 8.50% Ser B PFD Conv                       X                                    0      2,955          0
Prime Bancshares Inc.                                        X                                    0      7,400          0
Prime Group Realty Trust 9.0%                                X                                    0      4,250          0
</TABLE>




<PAGE>
Page 45 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Primark Corp.                                  Common Stock               741903108                      31         1,470    SH
Prime Bancorp Inc.                             Common Stock               741914105                      53         2,128    SH
Primus Telecommunications Group Inc.           Common Stock               741929103                      60         5,925    SH
Pride International Inc.                       Common Stock               741932107                       4           500    SH
Princeton Video Image Inc.                     Common Stock               742476104                       3           500    SH
Prison Realty Corp                             Common Stock               74264N105                   1,038        59,527    SH
Prison Realty Corp 8% Cum PFD Sr A             Preferred Stock            74264N204                     176        10,000    SH
Priority Healthare Corp.                       Common Stock               74264T201                       5           119    SH
Procter & Gamble Co.                           Common Stock               742718109                  10,830       110,581    SH
Professional Detailing Inc.                    Common Stock               74312N107                      13           500    SH
Progenics Pharmaceutals Inc.                   Common Stock               743187106                       8           500    SH
Progressive Corp.                              Common Stock               743315103                      50           350    SH
Progressive Savings & Loan LTD                 Common Stock               74337P103                       0         8,775    SH
Prologis Trust                                 Common Stock               743410102                      87         4,220    SH
Prologis Trust Pfd Sh Ben Int Ser A            Preferred Stock            743410201                      60         2,450    SH
Prologis Trust PFD SH BEN INT SER E            Preferred Stock            743410607                      40         1,700    SH
Promus Hotel Corp. (Holding Co)                Common Stock               74342P106                      78         2,157    SH
Property Capital Trust                         Common Stock               743437105                       0           500    SH
Protein Design Labs Inc.                       Common Stock               74369L103                       2           100    SH
Provident Bankshares Corp.                     Common Stock               743859100                     797        30,507    SH
Provident Companies Inc.                       Common Stock               743862104                      30           880    SH
Providian Financial Corp.                      Common Stock               74406A102                   1,282        11,651    SH
PSINet Inc.                                    Common Stock               74437C101                     198         4,645    SH
Public Service Co of North                     Common Stock               744516105                     286        10,083    SH
Public Service Elec & Gas Co. 4.08% Pf         Preferred Stock            744567306                       8           100    SH
Public Service Electric & Gas Co.              Preferred Stock            744567405                       8           100    SH
Public Service Electric & Gas                  Preferred Stock            744567728                      10           400    SH
Public Service Enterprise Group                Common Stock               744573106                     991        25,945    SH
Public Storage Inc.                            Common Stock               74460D109                   1,456        58,221    SH
Public Storage Inc                             Preferred Stock            74460D307                       3           100    SH
Public Storage Inc. 10% Ser E                  Preferred Stock            74460D703                      44         1,600    SH
Public Storage Inc. 8.00% Dep Shs Each         Preferred Stock            74460D828                      18           700    SH
Public Storgae Inc 8.625% Cum                  Preferred Stock            74460D844                       5           200    SH
Public Storage Inc. 8.45%                      Preferred Stock            74460D869                      73         2,900    SH
Public Storage Inc. 8.875%                     Preferred Stock            74460D885                      28         1,100    SH
Puget Sound Power & Light                      Common Stock               745332106                      24         1,062    SH
Pulte Corp.                                    Common Stock               745867101                       8           400    SH
Putnam Managed High Yield                      Common Stock               746819101                     158        11,475    SH
Putnam Master Intermediate                     Common Stock               746909100                     369        50,414    SH
Putnam Tax-Free Health Care                    Common Stock               746920107                      56         3,650    SH
QLT Phototherapeutics Inc.                     Common Stock               746927102                       4           100    SH
QMax Tech Group                                Common Stock               74726E107                       0         3,500    SH
Q M S Inc.                                     Common Stock               74726G102                     156        49,950    SH
QSound Lab Inc.                                Common Stock               74728C109                       4         1,500    SH
Quadrex Corp.                                  Common Stock               747309102                       0           100    SH
Quaker Chemical Corp.                          Common Stock               747316107                      13           900    SH
Quaker Oats                                    Common Stock               747402105                     512         8,190    SH

Page Total:                                                                                          19,075

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Primark Corp.                                                X                                    0      1,470          0
Prime Bancorp Inc.                                           X                                    0      2,128          0
Primus Telecommunications Group Inc.                         X                                    0      5,925          0
Pride International Inc.                                     X                                    0        500          0
Princeton Video Image Inc.                                   X                                    0        500          0
Prison Realty Corp                                           X                                    0     59,527          0
Prison Realty Corp 8% Cum PFD Sr A                           X                                    0     10,000          0
Priority Healthare Corp.                                     X                                    0        119          0
Procter & Gamble Co.                                         X                                    0    110,581          0
Professional Detailing Inc.                                  X                                    0        500          0
Progenics Pharmaceutals Inc.                                 X                                    0        500          0
Progressive Corp.                                            X                                    0        350          0
Progressive Savings & Loan LTD                               X                                    0      8,775          0
Prologis Trust                                               X                                    0      4,220          0
Prologis Trust Pfd Sh Ben Int Ser A                          X                                    0      2,450          0
Prologis Trust PFD SH BEN INT SER E                          X                                    0      1,700          0
Promus Hotel Corp. (Holding Co)                              X                                    0      2,157          0
Property Capital Trust                                       X                                    0        500          0
Protein Design Labs Inc.                                     X                                    0        100          0
Provident Bankshares Corp.                                   X                                    0     30,507          0
Provident Companies Inc.                                     X                                    0        880          0
Providian Financial Corp.                                    X                                    0     11,651          0
PSINet Inc.                                                  X                                    0      4,645          0
Public Service Co of North                                   X                                    0     10,083          0
Public Service Elec & Gas Co. 4.08% Pf                       X                                    0        100          0
Public Service Electric & Gas Co.                            X                                    0        100          0
Public Service Electric & Gas                                X                                    0        400          0
Public Service Enterprise Group                              X                                    0     25,945          0
Public Storage Inc.                                          X                                    0     58,221          0
Public Storage Inc                                           X                                    0        100          0
Public Storage Inc. 10% Ser E                                X                                    0      1,600          0
Public Storage Inc. 8.00% Dep Shs Each                       X                                    0        700          0
Public Storgae Inc 8.625% Cum                                X                                    0        200          0
Public Storage Inc. 8.45%                                    X                                    0      2,900          0
Public Storage Inc. 8.875%                                   X                                    0      1,100          0
Puget Sound Power & Light                                    X                                    0      1,062          0
Pulte Corp.                                                  X                                    0        400          0
Putnam Managed High Yield                                    X                                    0     11,475          0
Putnam Master Intermediate                                   X                                    0     50,414          0
Putnam Tax-Free Health Care                                  X                                    0      3,650          0
QLT Phototherapeutics Inc.                                   X                                    0        100          0
QMax Tech Group                                              X                                    0      3,500          0
Q M S Inc.                                                   X                                    0     49,950          0
QSound Lab Inc.                                              X                                    0      1,500          0
Quadrex Corp.                                                X                                    0        100          0
Quaker Chemical Corp.                                        X                                    0        900          0
Quaker Oats                                                  X                                    0      8,190          0
</TABLE>


<PAGE>
Page 46 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Qualcomm Inc.                                  Common Stock               747525103                     585         4,700    SH
Quantum Corp.                                  Common Stock               747906105                     260        14,465    SH
Quest Diagnostics Inc.                         Common Stock               74834L100                      30         1,336    SH
Questar Corp.                                  Common Stock               748356102                      14           800    SH
Quest Education Corporation                    Common Stock               74835F102                     134        14,700    SH
Quigley Corp. New                              Common Stock               74838L304                       5         1,000    SH
Quilmes Industrial Quins - ADR                 ADR                        74838Y108                       2           250    SH
Quinenco SA Sponsored ADR                      ADR                        748718103                       4           400    SH
Quintiles Transitional Corp.                   Common Stock               748767100                     353         9,342    SH
Quorum Health Group                            Common Stock               749084109                     292        29,150    SH
Qwest Communications Intl                      Common Stock               749121109                     781        10,835    SH
R & B Falcon Corp.                             Common Stock               74912E101                     204        23,192    SH
RBI Capital Trust I 9.1% Cum Trust PFD         Preferred Stock            749257200                      44         4,400    SH
RCN Corp.                                      Common Stock               749361101                      10           300    SH
R.H. Donnelly Corp.                            Common Stock               74955W307                       4           232    SH
RJR Nabisco Holdings Corp.                     Common Stock               74960K876                     399        15,955    SH
RJR Nabisco Holding 10% Tr Pfd Secs            Preferred Stock            74961M202                     361        14,400    SH
RJR Nabisco Hldgs Cap Tr II                    Preferred Stock            74961V202                     384        14,280    SH
RPM Inc. - Ohio                                Common Stock               749685103                     347        26,029    SH
RTI International Metals Inc                   Common Stock               74973W107                      36         3,600    SH
RF Micro Divices Inc.                          Common Stock               749941100                     106         1,103    SH
Railamerica Inc.                               Common Stock               750753105                       9         1,000    SH
Rambus Inc.                                    Common Stock               750917106                      24           375    SH
Ralcorp Holdings Inc.                          Common Stock               751028101                       7           350    SH
Ralston-Ralston Purina Group                   Common Stock               751277302                     145         5,450    SH
Rare Hospitality Intl Inc.                     Common Stock               753820109                      11           770    SH
Rational Software Corp. Com New                Common Stock               75409P202                     103         3,841    SH
Raychem Corp.                                  Common Stock               754603108                      80         3,525    SH
Raymond James Financial Inc.                   Common Stock               754730109                     201        10,177    SH
Rayonier Inc.                                  Common Stock               754907103                     283         7,052    SH
Raytheon Co- Cl A                              Common Stock               755111309                     852        14,745    SH
Raytheon Co-Cl B                               Common Stock               755111408                     186         3,166    SH
Readers' Digest Automatic Com Exchange         Common Stock               755271202                      10           300    SH
Realty Income Corp.                            Common Stock               756109104                      11           500    SH
Realty Parking Properties LP II-Units          Limited Partner            756124202                       0           800    SH
Reckson Service Industries Inc.                Common Stock               75621J109                       3           648    SH
Reckson Associates Realty Corp.                Common Stock               75621K106                     144         7,000    SH
Redox Technology Corp.                         Common Stock               757722103                       0           500    SH
Reed Systems Inc New                           Common Stock               757901301                       0           120    SH
Reebok International Ltd                       Common Stock               758110100                      18         1,150    SH
Regal - Beloit Corp.                           Common Stock               758750103                     210        11,614    SH
Regency Realty Corporation                     Common Stock               758939102                      17           900    SH
Regions Financial Corp.                        Common Stock               758940100                     554        15,988    SH
Reliance Group Holdings Inc.                   Common Stock               759464100                      95        12,579    SH
Reliastar Financing II 8.10% Cum PFD           Preferred Stock            75952F205                      51         2,000    SH
Reliant Energy Inc                             Common Stock               75952J108                     334        12,805    SH
Reliastar Financial Corp.                      Common Stock               75952U103                     539        12,653    SH

Page Total:                                                                                           8,237

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Qualcomm Inc.                                                X                                    0      4,700          0
Quantum Corp.                                                X                                    0     14,465          0
Quest Diagnostics Inc.                                       X                                    0      1,336          0
Questar Corp.                                                X                                    0        800          0
Quest Education Corporation                                  X                                    0     14,700          0
Quigley Corp. New                                            X                                    0      1,000          0
Quilmes Industrial Quins - ADR                               X                                    0        250          0
Quinenco SA Sponsored ADR                                    X                                    0        400          0
Quintiles Transitional Corp.                                 X                                    0      9,342          0
Quorum Health Group                                          X                                    0     29,150          0
Qwest Communications Intl                                    X                                    0     10,835          0
R & B Falcon Corp.                                           X                                    0     23,192          0
RBI Capital Trust I 9.1% Cum Trust PFD                       X                                    0      4,400          0
RCN Corp.                                                    X                                    0        300          0
R.H. Donnelly Corp.                                          X                                    0        232          0
RJR Nabisco Holdings Corp.                                   X                                    0     15,955          0
RJR Nabisco Holding 10% Tr Pfd Secs                          X                                    0     14,400          0
RJR Nabisco Hldgs Cap Tr II                                  X                                    0     14,280          0
RPM Inc. - Ohio                                              X                                    0     26,029          0
RTI International Metals Inc                                 X                                    0      3,600          0
RF Micro Divices Inc.                                        X                                    0      1,103          0
Railamerica Inc.                                             X                                    0      1,000          0
Rambus Inc.                                                  X                                    0        375          0
Ralcorp Holdings Inc.                                        X                                    0        350          0
Ralston-Ralston Purina Group                                 X                                    0      5,450          0
Rare Hospitality Intl Inc.                                   X                                    0        770          0
Rational Software Corp. Com New                              X                                    0      3,841          0
Raychem Corp.                                                X                                    0      3,525          0
Raymond James Financial Inc.                                 X                                    0     10,177          0
Rayonier Inc.                                                X                                    0      7,052          0
Raytheon Co- Cl A                                            X                                    0     14,745          0
Raytheon Co-Cl B                                             X                                    0      3,166          0
Readers' Digest Automatic Com Exchange                       X                                    0        300          0
Realty Income Corp.                                          X                                    0        500          0
Realty Parking Properties LP II-Units                        X                                    0        800          0
Reckson Service Industries Inc.                              X                                    0        648          0
Reckson Associates Realty Corp.                              X                                    0      7,000          0
Redox Technology Corp.                                       X                                    0        500          0
Reed Systems Inc New                                         X                                    0        120          0
Reebok International Ltd                                     X                                    0      1,150          0
Regal - Beloit Corp.                                         X                                    0     11,614          0
Regency Realty Corporation                                   X                                    0        900          0
Regions Financial Corp.                                      X                                    0     15,988          0
Reliance Group Holdings Inc.                                 X                                    0     12,579          0
Reliastar Financing II 8.10% Cum PFD                         X                                    0      2,000          0
Reliant Energy Inc                                           X                                    0     12,805          0
Reliastar Financial Corp.                                    X                                    0     12,653          0
</TABLE>




<PAGE>
Page 47 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Reliability Inc.                               Common Stock               759903107                       9         2,300    SH
Repligen Corp                                  Common Stock               759916109                      16         5,165    SH
Rental Service Corp                            Common Stock               76009V102                     200        11,450    SH
Repsol S.A. ADR                                ADR                        76026T205                      49           955    SH
Republic Industries Inc.                       Common Stock               760516104                     198        16,040    SH
Republic New York Group                        Common Stock               760719104                     113         2,450    SH
Republic Services Inc                          Common Stock               760759100                      10           630    SH
Res-Care Inc.                                  Common Stock               760943100                       2           100    SH
Resmed Inc.                                    Common Stock               761152107                       6           200    SH
Resorts World Berhad Spons ADR                 ADR                        761191105                      15         3,000    SH
Reunion Industries Inc.                        Common Stock               761312107                     112        23,028    SH
Reuters Holdings PLC Spon ADR                  ADR                        76132M102                     436         5,015    SH
Revlon Inc.                                    Common Stock               761525500                      22         1,100    SH
Rexall Sundown Inc.                            Common Stock               761648104                      85         4,455    SH
Reynolds & Reynolds Co CL A                    Common Stock               761695105                      57         3,000    SH
Reynolds Metals Co                             Common Stock               761763101                     621        12,852    SH
Rhone-Poulenc SA - Spons ADR                   ADR                        762426609                     125         2,850    SH
RIBI Immunochem                                Common Stock               762553105                       2         1,000    SH
Richfood Holdings Inc.                         Common Stock               763408101                     490        22,735    SH
Riggs National Corp.                           Common Stock               766570105                       7           388    SH
Rio Algom Ltd 9.375% Pfd Secs Due              Preferred Stock            766889877                       8           400    SH
Rite Aid Corp.                                 Common Stock               767754104                   1,056        42,230    SH
Robert Half Intl Inc.                          Common Stock               770323103                      83         2,537    SH
Roberts Pharmaceutical Corp                    Common Stock               770491108                      10           500    SH
Robroy Inds Inc. Cl A                          Common Stock               771078102                       1           120    SH
Roche Holdings Ltd Spons ADR                   ADR                        771195104                     424         3,475    SH
Rockwell International Corp.                   Common Stock               773903109                     246         5,786    SH
Rogers Cantel Mobile Commn Inc.                Common Stock               775102205                      18         1,000    SH
Rohm & Haas                                    Common Stock               775371107                      11           336    SH
Rohn Industries Inc.                           Common Stock               775381106                      16         7,100    SH
Rollins Inc.                                   Common Stock               775711104                      15           900    SH
Roper Industries Inc. New                      Common Stock               776696106                       5           200    SH
Roslyn Bancorp Inc.                            Common Stock               778162107                      49         2,908    SH
Ross Stores Inc.                               Common Stock               778296103                     252         5,745    SH
Rouse Capital 9.25% Cum Qtrly PFD Quip         Preferred Stock            779272202                     282        11,500    SH
Rouse Co                                       Common Stock               779273101                     148         6,650    SH
Rouse Co-Conv Pfd Ser B                        Preferred Stock            779273309                      19           500    SH
Rowan Bancorp Inc                              Common Stock               779379106                       7           300    SH
Rowan Companies Inc.                           Common Stock               779382100                      35         2,775    SH
Royal Group Technologies Ltd                   Common Stock               779915107                      85         3,450    SH
The Royal Bank of Scotland                     Preferred Stock            780097408                      34         1,320    SH
The Royal Bank of Scotland Grp Plc Pfd         Preferred Stock            780097507                      77         2,883    SH
Royal Bank Of Scotland Group PLC Ser D         Preferred Stock            780097606                       5           200    SH
Royal Bank of Scotland Group                   Preferred Stock            780097804                      32         1,200    SH
Royal Bank Of Scotland GRP PLC                 Preferred Stock            780097887                      12           500    SH
Royal Dutch Petroleum Co ADR                   ADR                        780257804                   4,408        84,768    SH
Royce Value Tr Inc.                            Common Stock               780910105                     547        48,382    SH

Page Total:                                                                                          10,461

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Reliability Inc.                                             X                                    0      2,300          0
Repligen Corp                                                X                                    0      5,165          0
Rental Service Corp                                          X                                    0     11,450          0
Repsol S.A. ADR                                              X                                    0        955          0
Republic Industries Inc.                                     X                                    0     16,040          0
Republic New York Group                                      X                                    0      2,450          0
Republic Services Inc                                        X                                    0        630          0
Res-Care Inc.                                                X                                    0        100          0
Resmed Inc.                                                  X                                    0        200          0
Resorts World Berhad Spons ADR                               X                                    0      3,000          0
Reunion Industries Inc.                                      X                                    0     23,028          0
Reuters Holdings PLC Spon ADR                                X                                    0      5,015          0
Revlon Inc.                                                  X                                    0      1,100          0
Rexall Sundown Inc.                                          X                                    0      4,455          0
Reynolds & Reynolds Co CL A                                  X                                    0      3,000          0
Reynolds Metals Co                                           X                                    0     12,852          0
Rhone-Poulenc SA - Spons ADR                                 X                                    0      2,850          0
RIBI Immunochem                                              X                                    0      1,000          0
Richfood Holdings Inc.                                       X                                    0     22,735          0
Riggs National Corp.                                         X                                    0        388          0
Rio Algom Ltd 9.375% Pfd Secs Due                            X                                    0        400          0
Rite Aid Corp.                                               X                                    0     42,230          0
Robert Half Intl Inc.                                        X                                    0      2,537          0
Roberts Pharmaceutical Corp                                  X                                    0        500          0
Robroy Inds Inc. Cl A                                        X                                    0        120          0
Roche Holdings Ltd Spons ADR                                 X                                    0      3,475          0
Rockwell International Corp.                                 X                                    0      5,786          0
Rogers Cantel Mobile Commn Inc.                              X                                    0      1,000          0
Rohm & Haas                                                  X                                    0        336          0
Rohn Industries Inc.                                         X                                    0      7,100          0
Rollins Inc.                                                 X                                    0        900          0
Roper Industries Inc. New                                    X                                    0        200          0
Roslyn Bancorp Inc.                                          X                                    0      2,908          0
Ross Stores Inc.                                             X                                    0      5,745          0
Rouse Capital 9.25% Cum Qtrly PFD Quip                       X                                    0     11,500          0
Rouse Co                                                     X                                    0      6,650          0
Rouse Co-Conv Pfd Ser B                                      X                                    0        500          0
Rowan Bancorp Inc                                            X                                    0        300          0
Rowan Companies Inc.                                         X                                    0      2,775          0
Royal Group Technologies Ltd                                 X                                    0      3,450          0
The Royal Bank of Scotland                                   X                                    0      1,320          0
The Royal Bank of Scotland Grp Plc Pfd                       X                                    0      2,883          0
Royal Bank Of Scotland Group PLC Ser D                       X                                    0        200          0
Royal Bank of Scotland Group                                 X                                    0      1,200          0
Royal Bank Of Scotland GRP PLC                               X                                    0        500          0
Royal Dutch Petroleum Co ADR                                 X                                    0     84,768          0
Royce Value Tr Inc.                                          X                                    0     48,382          0
</TABLE>



<PAGE>
Page 48 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Royce Micro Cap Trust Inc.                     Common Stock               780915104                      46         6,191    SH
Ruby Tuesday Inc.                              Common Stock               781182100                       3           200    SH
Ruddick Corp.                                  Common Stock               781258108                      20         1,000    SH
Ryder System Inc.                              Common Stock               783549108                     231         8,350    SH
Ryland Group Inc.                              Common Stock               783764103                      13           500    SH
SBE Inc                                        Common Stock               783873201                       8         1,700    SH
SBC Communications Inc.                        Common Stock               78387G103                   2,636        55,926    SH
SBS Technologies Inc.                          Common Stock               78387P103                       7           373    SH
S C I Systems Inc.                             Common Stock               783890106                     119         4,030    SH
SI Technologies Inc                            Common Stock               783978109                       7         2,142    SH
SDL Inc.                                       Common Stock               784076101                      25           275    SH
Si Handling Systems Inc.                       Common Stock               784255101                      10           750    SH
SL Green Realty Corp.                          Common Stock               78440X101                      24         1,300    SH
S L Industries Inc.                            Common Stock               784413106                       6           500    SH
SLM Holding Corp.                              Common Stock               78442A109                   1,068        25,589    SH
SLI Inc                                        Common Stock               78442T108                     165         7,875    SH
SM&A Corporation                               Common Stock               784432106                      24         2,130    SH
SPS Technologies Inc.                          Common Stock               784626103                      24           600    SH
Standard & Poors DEP Receipts                  Common Stock               78462F103                     667         5,189    SH
SPSS Inc.                                      Common Stock               78462K102                      23         1,400    SH
SPG Properties Inc                             Preferred Stock            78462M207                      21           837    SH
SSBH Capital I-7.20% Cum Trust Pfd             Preferred Stock            784646200                     275        11,100    SH
SRS Labs Inc                                   Common Stock               78464M106                       9         3,000    SH
STM Wireless Inc Cl A                          Common Stock               784776106                       2           700    SH
S3 Inc.                                        Common Stock               784849101                      12         1,600    SH
SVB Cap I Tr Pfd Secs                          Preferred Stock            784868200                      56         2,450    SH
Sabre Group Holdings Inc.                      Common Stock               785905100                      27           590    SH
Safeco Corp.                                   Common Stock               786429100                     425        10,515    SH
Safeguard Scientifics Inc.                     Common Stock               786449108                     265         3,915    SH
Safeskin Corp.                                 Common Stock               786454108                       7         1,000    SH
Safeway Inc.                                   Common Stock               786514208                   2,348        45,764    SH
Saga Communications Inc Cl- A                  Common Stock               786598102                      22         1,250    SH
St Joe Corp.                                   Common Stock               790148100                      91         3,745    SH
St. John Knits, Inc.                           Common Stock               790289102                      26         1,000    SH
St Jude Medical Inc.                           Common Stock               790849103                     127         5,200    SH
St Jude Medical Inc.-Cash Tender Offer         Common Stock               790849996                       5           125    SH
St. Jude Resource LTD                          Foreign Stock              79085J100                       1         2,000    SH
St. Mary Land & Exploration                    Common Stock               792228108                     471        27,100    SH
St. Paul Companies Inc.                        Common Stock               792860108                     316        10,176    SH
Saks Incorporated                              Common Stock               79377W108                     290        11,140    SH
Salant Corp.                                   Common Stock               793897109                       0         3,300    SH
Salomon Brothers Worldwide                     Common Stock               79548T109                      25         2,400    SH
Salomon Inc.                                   Common Stock               79549B107                      11           200    SH
Sanchez Computer Associates                    Common Stock               799702105                      47         2,000    SH
Sandy Spring Bancorp Inc                       Common Stock               800363103                       2            90    SH
Sanmina Corp.                                  Common Stock               800907107                      49           769    SH
The Santa Cruz Operation Inc.                  Common Stock               801833104                       3           500    SH

Page Total:                                                                                          10,060

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Royce Micro Cap Trust Inc.                                   X                                    0      6,191          0
Ruby Tuesday Inc.                                            X                                    0        200          0
Ruddick Corp.                                                X                                    0      1,000          0
Ryder System Inc.                                            X                                    0      8,350          0
Ryland Group Inc.                                            X                                    0        500          0
SBE Inc                                                      X                                    0      1,700          0
SBC Communications Inc.                                      X                                    0     55,926          0
SBS Technologies Inc.                                        X                                    0        373          0
S C I Systems Inc.                                           X                                    0      4,030          0
SI Technologies Inc                                          X                                    0      2,142          0
SDL Inc.                                                     X                                    0        275          0
Si Handling Systems Inc.                                     X                                    0        750          0
SL Green Realty Corp.                                        X                                    0      1,300          0
S L Industries Inc.                                          X                                    0        500          0
SLM Holding Corp.                                            X                                    0     25,589          0
SLI Inc                                                      X                                    0      7,875          0
SM&A Corporation                                             X                                    0      2,130          0
SPS Technologies Inc.                                        X                                    0        600          0
Standard & Poors DEP Receipts                                X                                    0      5,189          0
SPSS Inc.                                                    X                                    0      1,400          0
SPG Properties Inc                                           X                                    0        837          0
SSBH Capital I-7.20% Cum Trust Pfd                           X                                    0     11,100          0
SRS Labs Inc                                                 X                                    0      3,000          0
STM Wireless Inc Cl A                                        X                                    0        700          0
S3 Inc.                                                      X                                    0      1,600          0
SVB Cap I Tr Pfd Secs                                        X                                    0      2,450          0
Sabre Group Holdings Inc.                                    X                                    0        590          0
Safeco Corp.                                                 X                                    0     10,515          0
Safeguard Scientifics Inc.                                   X                                    0      3,915          0
Safeskin Corp.                                               X                                    0      1,000          0
Safeway Inc.                                                 X                                    0     45,764          0
Saga Communications Inc Cl- A                                X                                    0      1,250          0
St Joe Corp.                                                 X                                    0      3,745          0
St. John Knits, Inc.                                         X                                    0      1,000          0
St Jude Medical Inc.                                         X                                    0      5,200          0
St Jude Medical Inc.-Cash Tender Offer                       X                                    0        125          0
St. Jude Resource LTD                                        X                                    0      2,000          0
St. Mary Land & Exploration                                  X                                    0     27,100          0
St. Paul Companies Inc.                                      X                                    0     10,176          0
Saks Incorporated                                            X                                    0     11,140          0
Salant Corp.                                                 X                                    0      3,300          0
Salomon Brothers Worldwide                                   X                                    0      2,400          0
Salomon Inc.                                                 X                                    0        200          0
Sanchez Computer Associates                                  X                                    0      2,000          0
Sandy Spring Bancorp Inc                                     X                                    0         90          0
Sanmina Corp.                                                X                                    0        769          0
The Santa Cruz Operation Inc.                                X                                    0        500          0

</TABLE>


<PAGE>
Page 49 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Santa Fe Energy Resources Inc                  Common Stock               802012104                      61         8,300    SH
SAP AG Sponsored ADR                           ADR                        803054204                      36         1,385    SH
Sara Lee Corp.                                 Common Stock               803111103                   2,309        93,305    SH
Saul Centers                                   Common Stock               804395101                      22         1,507    SH
Saville Systems Ireland Ltd                    ADR                        805174109                      69         5,650    SH
Say Yes Foods Inc.                             Common Stock               805644101                       1         1,300    SH
Sbarro Inc.                                    Common Stock               805844107                       1            50    SH
Scan Optic Inc.                                Common Stock               805894102                       1           300    SH
Scana Corp.                                    Common Stock               805898103                     195         8,969    SH
Henry Schein Inc.                              Common Stock               806407102                     972        38,500    SH
Schering-Plough Corp.                          Common Stock               806605101                   9,980       180,420    SH
Schick Technologies Inc.                       Common Stock               806683108                       2           400    SH
Schlotzkys Inc                                 Common Stock               806832101                       1           100    SH
Schlumberger Limited                           Common Stock               806857108                   7,726       128,372    SH
Schulman Inc.                                  Common Stock               808194104                       4           300    SH
Schwab Charles Corp.                           Common Stock               808513105                   1,324        13,777    SH
Schweitzer-Mauduit Intl                        Common Stock               808541106                       0            35    SH
Scientific-Atlanta Inc.                        Common Stock               808655104                      48         1,770    SH
Scott Technologies Inc                         Common Stock               810022301                     276        15,862    SH
The Scotts Co Class A                          Common Stock               810186106                      36           950    SH
Scudder New Europe Fd                          Common Stock               810905109                      29         1,500    SH
Scudder New Asia Fund Inc.                     Common Stock               811183102                       4           400    SH
Sea Containers Cl B                            Common Stock               811371103                     140         4,896    SH
Sea Containers Ltd Cl A                        Common Stock               811371707                     515        17,846    SH
Seacoast Banking Corp. FLA                     Common Stock               811707108                      37         1,400    SH
Seacost Finl Services Corp                     Common Stock               81170Q106                      38         3,831    SH
Seagate Technology, Inc.                       Common Stock               811804103                     435        14,710    SH
Jos E. Seagram & Sons Inc SR                   Preferred Stock            811845205                     169         6,700    SH
Sealed Air Corp.                               Common Stock               81211K100                     123         2,492    SH
Sealed Air Corp - $2 Conv Pfd Ser A            Preferred Stock            81211K209                      31           626    SH
Sears Roebuck & Co                             Common Stock               812387108                   1,378        30,494    SH
Sears Roebuck Accept Corp                      Preferred Stock            812404309                      10           400    SH
Security Dynamics Tech Inc.                    Common Stock               814208104                       2           100    SH
Security First Technologies                    Common Stock               814279105                      74         1,000    SH
Seitel Inc. New                                Common Stock               816074306                      34         2,450    SH
Seligman Quality Municipal Fund, Inc.          Common Stock               816343107                      14         1,000    SH
Semtech Corp.                                  Common Stock               816850101                      13           400    SH
Sempra Energy                                  Common Stock               816851109                      91         4,767    SH
Sensormatic Electronics Corp.                  Common Stock               817265101                      26         2,700    SH
Sepracor Inc.                                  Common Stock               817315104                      90           800    SH
Septima Enterprises Inc.                       Common Stock               817319304                       0        18,800    SH
Sequent Computer Sys Inc.                      Common Stock               817338106                      36         4,000    SH
Service Corp. International                    Common Stock               817565104                   1,773       124,399    SH
Servicemaster Co                               Common Stock               81760N109                     115         5,678    SH
7th Level Inc.                                 Common Stock               817916109                       4           600    SH
Shaw Industries Inc.                           Common Stock               820286102                      24         1,305    SH
Shaw Communication 8.45% Ser A PFD             Preferred Stock            82028K606                      39         1,600    SH

Page Total:                                                                                          28,308

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Santa Fe Energy Resources Inc                                X                                    0      8,300          0
SAP AG Sponsored ADR                                         X                                    0      1,385          0
Sara Lee Corp.                                               X                                    0     93,305          0
Saul Centers                                                 X                                    0      1,507          0
Saville Systems Ireland Ltd                                  X                                    0      5,650          0
Say Yes Foods Inc.                                           X                                    0      1,300          0
Sbarro Inc.                                                  X                                    0         50          0
Scan Optic Inc.                                              X                                    0        300          0
Scana Corp.                                                  X                                    0      8,969          0
Henry Schein Inc.                                            X                                    0     38,500          0
Schering-Plough Corp.                                        X                                    0    180,420          0
Schick Technologies Inc.                                     X                                    0        400          0
Schlotzkys Inc                                               X                                    0        100          0
Schlumberger Limited                                         X                                    0    128,372          0
Schulman Inc.                                                X                                    0        300          0
Schwab Charles Corp.                                         X                                    0     13,777          0
Schweitzer-Mauduit Intl                                      X                                    0         35          0
Scientific-Atlanta Inc.                                      X                                    0      1,770          0
Scott Technologies Inc                                       X                                    0     15,862          0
The Scotts Co Class A                                        X                                    0        950          0
Scudder New Europe Fd                                        X                                    0      1,500          0
Scudder New Asia Fund Inc.                                   X                                    0        400          0
Sea Containers Cl B                                          X                                    0      4,896          0
Sea Containers Ltd Cl A                                      X                                    0     17,846          0
Seacoast Banking Corp. FLA                                   X                                    0      1,400          0
Seacost Finl Services Corp                                   X                                    0      3,831          0
Seagate Technology, Inc.                                     X                                    0     14,710          0
Jos E. Seagram & Sons Inc SR                                 X                                    0      6,700          0
Sealed Air Corp.                                             X                                    0      2,492          0
Sealed Air Corp - $2 Conv Pfd Ser A                          X                                    0        626          0
Sears Roebuck & Co                                           X                                    0     30,494          0
Sears Roebuck Accept Corp                                    X                                    0        400          0
Security Dynamics Tech Inc.                                  X                                    0        100          0
Security First Technologies                                  X                                    0      1,000          0
Seitel Inc. New                                              X                                    0      2,450          0
Seligman Quality Municipal Fund, Inc.                        X                                    0      1,000          0
Semtech Corp.                                                X                                    0        400          0
Sempra Energy                                                X                                    0      4,767          0
Sensormatic Electronics Corp.                                X                                    0      2,700          0
Sepracor Inc.                                                X                                    0        800          0
Septima Enterprises Inc.                                     X                                    0     18,800          0
Sequent Computer Sys Inc.                                    X                                    0      4,000          0
Service Corp. International                                  X                                    0    124,399          0
Servicemaster Co                                             X                                    0      5,678          0
7th Level Inc.                                               X                                    0        600          0
Shaw Industries Inc.                                         X                                    0      1,305          0
Shaw Communication 8.45% Ser A PFD                           X                                    0      1,600          0
</TABLE>



<PAGE>
Page 50 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Shaw Communications Inc Pfd 8.50%              Preferred Stock            82028K705                      71         2,850    SH
Shearson Lehman Sr Inc Fd LP-Dep Units         Limited Partner            820930105                       0           500    SH
Shell Transport & Trading PLC                  ADR                        822703609                      71         1,746    SH
Sherwin Williams Corp.                         Common Stock               824348106                   5,512       195,970    SH
Shopko Stores, Inc.                            Common Stock               824911101                       6           200    SH
Sholodge, Inc.                                 Common Stock               825034101                       5         1,100    SH
Shoney's Inc.                                  Common Stock               825039100                       3         1,000    SH
Shore Bancshares Inc.                          Common Stock               825107105                     282         9,400    SH
Shurgard Storage Centers Inc., CL A            Common Stock               82567D104                      89         3,511    SH
Shurgard Storage Center Inc 8.80% Ser          Preferred Stock            82567D203                      13           500    SH
Shurgard Storage Centers Inc. 8.70% PF         Preferred Stock            82567D302                      13           500    SH
Siemens AG ADR New                             ADR                        826197402                      15           225    SH
Sierra Health Services, Inc.                   Common Stock               826322109                       5           400    SH
Sierra Pacific Resources                       Common Stock               826425100                     290         8,245    SH
Sigma-Aldrich Corp.                            Common Stock               826552101                   2,887        98,717    SH
Sigma Design                                   Common Stock               826565103                       6         1,000    SH
Silicon Graphics Inc.                          Common Stock               827056102                     209        12,525    SH
Silverleaf Resorts Inc.                        Common Stock               828395103                      21         2,600    SH
Simione Central Holdings Inc New               Common Stock               828654202                      18        10,500    SH
Simon Property Group Inc                       Common Stock               828806109                     679        24,737    SH
Simpson Inds Inc.                              Common Stock               829060102                       4           400    SH
Sinclair Broadcast Group Inc.                  Common Stock               829226109                      15         1,000    SH
The Singer Co N.V.                             Common Stock               82930F109                      20         5,125    SH
Sizeler Property Investors, Inc.               Common Stock               830137105                       2           300    SH
Skyline Corp.                                  Common Stock               830830105                      11           400    SH
SkyMall Inc.                                   Common Stock               830859104                       3           212    SH
Skytel Communications Inc                      Common Stock               83087Q104                       2           100    SH
Smartalk Teleservices Inc.                     Common Stock               83169A100                       2        12,250    SH
Smith A O Corp.                                Common Stock               831865209                      90         4,762    SH
Smith International Inc.                       Common Stock               832110100                      12           300    SH
Charles E. Smith Residential                   Common Stock               832197107                     270         8,755    SH
Smithfield Foods                               Common Stock               832248108                     197         8,693    SH
SmithKline Beecham Spons ADR                   ADR                        832378301                   1,012        14,159    SH
J M Smucker Co.                                Common Stock               832696108                      38         1,700    SH
Smurfit-Stone Container Corp.                  Common Stock               832727101                      14           742    SH
Snyder Communications Inc.                     Common Stock               832914105                      14           500    SH
Snyder Oil Corp                                Common Stock               833482102                      15         1,025    SH
Societe Generale France SP ADR                 ADR                        83364L109                       3            90    SH
Sodak Gaming Inc.                              Common Stock               833777105                       1           140    SH
Sodexho Marriott Services                      Common Stock               833793102                      31         1,413    SH
Solar Satellite Communication Inc.             Common Stock               833953300                       0         1,000    SH
Softnet Systems Inc.                           Common Stock               833964109                      76         2,075    SH
Software AG Systems Inc New                    Common Stock               834025108                   1,081       129,090    SH
Solectron Corp.                                Common Stock               834182107                      63         1,288    SH
Solutia Inc.                                   Common Stock               834376105                     137         7,908    SH
Sonat Inc.                                     Common Stock               835415100                     487        16,225    SH
Sonex Research Inc.                            Common Stock               835448101                       6        11,600    SH

Page Total:                                                                                          13,800


<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Shaw Communications Inc Pfd 8.50%                            X                                    0      2,850          0
Shearson Lehman Sr Inc Fd LP-Dep Units                       X                                    0        500          0
Shell Transport & Trading PLC                                X                                    0      1,746          0
Sherwin Williams Corp.                                       X                                    0    195,970          0
Shopko Stores, Inc.                                          X                                    0        200          0
Sholodge, Inc.                                               X                                    0      1,100          0
Shoney's Inc.                                                X                                    0      1,000          0
Shore Bancshares Inc.                                        X                                    0      9,400          0
Shurgard Storage Centers Inc., CL A                          X                                    0      3,511          0
Shurgard Storage Center Inc 8.80% Ser                        X                                    0        500          0
Shurgard Storage Centers Inc. 8.70% PF                       X                                    0        500          0
Siemens AG ADR New                                           X                                    0        225          0
Sierra Health Services, Inc.                                 X                                    0        400          0
Sierra Pacific Resources                                     X                                    0      8,245          0
Sigma-Aldrich Corp.                                          X                                    0     98,717          0
Sigma Design                                                 X                                    0      1,000          0
Silicon Graphics Inc.                                        X                                    0     12,525          0
Silverleaf Resorts Inc.                                      X                                    0      2,600          0
Simione Central Holdings Inc New                             X                                    0     10,500          0
Simon Property Group Inc                                     X                                    0     24,737          0
Simpson Inds Inc.                                            X                                    0        400          0
Sinclair Broadcast Group Inc.                                X                                    0      1,000          0
The Singer Co N.V.                                           X                                    0      5,125          0
Sizeler Property Investors, Inc.                             X                                    0        300          0
Skyline Corp.                                                X                                    0        400          0
SkyMall Inc.                                                 X                                    0        212          0
Skytel Communications Inc                                    X                                    0        100          0
Smartalk Teleservices Inc.                                   X                                    0     12,250          0
Smith A O Corp.                                              X                                    0      4,762          0
Smith International Inc.                                     X                                    0        300          0
Charles E. Smith Residential                                 X                                    0      8,755          0
Smithfield Foods                                             X                                    0      8,693          0
SmithKline Beecham Spons ADR                                 X                                    0     14,159          0
J M Smucker Co.                                              X                                    0      1,700          0
Smurfit-Stone Container Corp.                                X                                    0        742          0
Snyder Communications Inc.                                   X                                    0        500          0
Snyder Oil Corp                                              X                                    0      1,025          0
Societe Generale France SP ADR                               X                                    0         90          0
Sodak Gaming Inc.                                            X                                    0        140          0
Sodexho Marriott Services                                    X                                    0      1,413          0
Solar Satellite Communication Inc.                           X                                    0      1,000          0
Softnet Systems Inc.                                         X                                    0      2,075          0
Software AG Systems Inc New                                  X                                    0    129,090          0
Solectron Corp.                                              X                                    0      1,288          0
Solutia Inc.                                                 X                                    0      7,908          0
Sonat Inc.                                                   X                                    0     16,225          0
Sonex Research Inc.                                          X                                    0     11,600          0
</TABLE>

<PAGE>
Page 51 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Sonoco Products Co                             Common Stock               835495102                     251        10,905    SH
Sonosight Inc                                  Common Stock               83568G104                       5           399    SH
Sony Corp. ADR                                 ADR                        835699307                     415         4,540    SH
Sothebys Holdings Inc. - Cl A Ltd Vtg          Common Stock               835898107                      29           900    SH
Source One Mtg Svc Corp. 8.42%                 Preferred Stock            836154203                      26         1,000    SH
South Carolina Elec & Gas Co 5% Pfd            Preferred Stock            837004308                      18           400    SH
South Jersey Industries Inc.                   Common Stock               838518108                       8           369    SH
South Street Financial Corp.                   Common Stock               840468102                      72         9,500    SH
Southdown, Inc.                                Common Stock               841297104                      85         1,592    SH
Southern California                            Preferred Stock            842400301                      21         1,000    SH
Southern Co                                    Common Stock               842587107                     652        27,962    SH
Southern Energy Homes Incorporated             Common Stock               842814105                       8         1,405    SH
Southern Union Co New                          Common Stock               844030106                     706        37,410    SH
Southern Union Financing TOPRS                 Preferred Stock            844038208                      54         2,100    SH
South Trust Corp.                              Common Stock               844730101                     247         6,617    SH
Southwest Airlines Co                          Common Stock               844741108                     865        28,579    SH
Southwest Bancorporation of Texas Inc.         Common Stock               84476R109                     285        23,166    SH
Southwest Gas Corp.                            Common Stock               844895102                      44         1,615    SH
Southwest Securities Grp Inc.                  Common Stock               845224104                      12           428    SH
Southwestern Bell Telephone Co.                Preferred Stock            845335108                      65         2,600    SH
Sovereign Bancorp Inc.                         Common Stock               845905108                     178        14,540    SH
Spacehab Inc.                                  Common Stock               846243103                       2           300    SH
Spectra Vision Inc. Cl B                       Common Stock               847607108                       0         3,050    SH
Speedway Motorsports Inc.                      Common Stock               847788106                      13           310    SH
Speizman Industries Inc.                       Common Stock               847805108                      11         3,000    SH
Spelling Entertainment Group                   Common Stock               847807104                       0            28    SH
Spieker Properties, Inc.                       Common Stock               848497103                      10           275    SH
Spieker Properties Inc 9.45% PFD Ser B         Preferred Stock            848497202                      10           400    SH
Spieker Properties Inc 7.85%                   Preferred Stock            848497301                      34         1,400    SH
Splash Technology Holdings Inc.                Common Stock               848623104                       4           600    SH
Sport Supply Group Inc.                        Common Stock               848915104                       2           300    SH
Sport Haley Inc.                               Common Stock               848925103                      28         3,400    SH
Springs Industries Inc.                        Common Stock               851783100                     380        14,050    SH
Sprint Corp. (FON Group)                       Common Stock               852061100                   1,483        15,111    SH
Sprint Corp. (PCS Group)                       Common Stock               852061506                     313         7,074    SH
Spyglass Inc.                                  Common Stock               852192103                      10         1,110    SH
Staff Leasing Inc.                             Common Stock               852381102                     160        11,150    SH
Standard Commcl Corp.                          Common Stock               853258101                       0             1    SH
Standard Microsystems Corp.                    Common Stock               853626109                       6           800    SH
Standard Motor Prods                           Common Stock               853666105                       8           400    SH
Standard-Pacific Corp.                         Common Stock               85375C101                      26         2,000    SH
Standex Intl Corp.                             Common Stock               854231107                       2           100    SH
Stanley Furniture Co,                          Common Stock               854305208                      39         2,002    SH
Stanford Telecommunications                    Common Stock               854402104                      72         4,670    SH
Stanley Works                                  Common Stock               854616109                      42         1,640    SH
Staples Inc.                                   Common Stock               855030102                     209         6,369    SH
Star Gas Partners L P                          Common Stock               85512C105                       7           500    SH

Page Total:                                                                                           6,917

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Sonoco Products Co                                           X                                    0     10,905          0
Sonosight Inc                                                X                                    0        399          0
Sony Corp. ADR                                               X                                    0      4,540          0
Sothebys Holdings Inc. - Cl A Ltd Vtg                        X                                    0        900          0
Source One Mtg Svc Corp. 8.42%                               X                                    0      1,000          0
South Carolina Elec & Gas Co 5% Pfd                          X                                    0        400          0
South Jersey Industries Inc.                                 X                                    0        369          0
South Street Financial Corp.                                 X                                    0      9,500          0
Southdown, Inc.                                              X                                    0      1,592          0
Southern California                                          X                                    0      1,000          0
Southern Co                                                  X                                    0     27,962          0
Southern Energy Homes Incorporated                           X                                    0      1,405          0
Southern Union Co New                                        X                                    0     37,410          0
Southern Union Financing TOPRS                               X                                    0      2,100          0
South Trust Corp.                                            X                                    0      6,617          0
Southwest Airlines Co                                        X                                    0     28,579          0
Southwest Bancorporation of Texas Inc.                       X                                    0     23,166          0
Southwest Gas Corp.                                          X                                    0      1,615          0
Southwest Securities Grp Inc.                                X                                    0        428          0
Southwestern Bell Telephone Co.                              X                                    0      2,600          0
Sovereign Bancorp Inc.                                       X                                    0     14,540          0
Spacehab Inc.                                                X                                    0        300          0
Spectra Vision Inc. Cl B                                     X                                    0      3,050          0
Speedway Motorsports Inc.                                    X                                    0        310          0
Speizman Industries Inc.                                     X                                    0      3,000          0
Spelling Entertainment Group                                 X                                    0         28          0
Spieker Properties, Inc.                                     X                                    0        275          0
Spieker Properties Inc 9.45% PFD Ser B                       X                                    0        400          0
Spieker Properties Inc 7.85%                                 X                                    0      1,400          0
Splash Technology Holdings Inc.                              X                                    0        600          0
Sport Supply Group Inc.                                      X                                    0        300          0
Sport Haley Inc.                                             X                                    0      3,400          0
Springs Industries Inc.                                      X                                    0     14,050          0
Sprint Corp. (FON Group)                                     X                                    0     15,111          0
Sprint Corp. (PCS Group)                                     X                                    0      7,074          0
Spyglass Inc.                                                X                                    0      1,110          0
Staff Leasing Inc.                                           X                                    0     11,150          0
Standard Commcl Corp.                                        X                                    0          1          0
Standard Microsystems Corp.                                  X                                    0        800          0
Standard Motor Prods                                         X                                    0        400          0
Standard-Pacific Corp.                                       X                                    0      2,000          0
Standex Intl Corp.                                           X                                    0        100          0
Stanley Furniture Co,                                        X                                    0      2,002          0
Stanford Telecommunications                                  X                                    0      4,670          0
Stanley Works                                                X                                    0      1,640          0
Staples Inc.                                                 X                                    0      6,369          0
Star Gas Partners L P                                        X                                    0        500          0
</TABLE>



<PAGE>
Page 52 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Star Technologies Inc.                         Common Stock               855193108                       1         3,000    SH
Starbucks Corp.                                Common Stock               855244109                      83         2,970    SH
Starter Corporation                            Common Stock               855684106                       8         3,000    SH
Startec Global Communications                  Common Stock               85569E103                       4           500    SH
Starwood Hotels & Resorts Worldwide In         Common Stock               85590A203                     549        19,219    SH
State Street Corp.                             Common Stock               857477103                   2,661        32,382    SH
Stein Mart Inc.                                Common Stock               858375108                     249        24,850    SH
Steinway Musical Instruments                   Common Stock               858495104                     164         7,400    SH
Sterling Bancshares Inc.                       Common Stock               858907108                      23         2,250    SH
Stericycle Inc                                 Common Stock               858912108                      13         1,000    SH
Sterling Bancshares Capital                    Preferred Stock            858917206                      71         2,750    SH
Sterling Capital                               Common Stock               859160103                       1           150    SH
Sterling Commerce Inc.                         Common Stock               859205106                     606        19,700    SH
Stewart & Stevenson                            Common Stock               860342104                      36         4,684    SH
Stewart Enterprises CL A                       Common Stock               860370105                   1,295        80,634    SH
Stillwater Mining Co                           Common Stock               86074Q102                      26         1,000    SH
Stmicroelectronics NV - NY Shares              Foreign Stock              861012102                      27           275    SH
Stolt Comex Seaway                             ADR                        861567105                       2           200    SH
Stone Energy Corp.                             Common Stock               861642106                      16           500    SH
Storage USA, Inc.                              Common Stock               861907103                   1,635        57,634    SH
Storage Technology Corp.                       Common Stock               862111200                     725        26,020    SH
Stratosphere Corp.                             Common Stock               863106100                       0           200    SH
Strayer Education Inc.                         Common Stock               863236105                     688        18,592    SH
Stryker Corp.                                  Common Stock               863667101                   1,262        25,025    SH
Sturm Ruger & Co                               Common Stock               864159108                     381        38,130    SH
Suburban Propane Partners LP                   Limited Partner            864482104                      42         2,300    SH
Sugen Inc.                                     Common Stock               865041107                       2           100    SH
Suiza Foods Corp.                              Common Stock               865077101                     713        21,170    SH
Summitt Bancorp                                Common Stock               866005101                     390        10,004    SH
Summit Properties Inc.                         Common Stock               866239106                     168        10,062    SH
Summit Technology Inc.                         Common Stock               86627E101                      13         1,150    SH
Sun Communities Inc.                           Common Stock               866674104                       2            75    SH
Sun Microsystems Inc.                          Common Stock               866810104                   7,061        56,517    SH
Suburst Hospitality Corp.                      Common Stock               866948102                       1           300    SH
SunAmerica Capt Trust III                      Preferred Stock            86702N208                      31         1,200    SH
Sunbeam Corp.                                  Common Stock               867071102                      81        14,600    SH
Suncor Energy Inc PFD Secs                     Preferred Stock            867229601                      63         2,500    SH
Sundstrand Corp.                               Common Stock               867323107                   2,340        33,676    SH
Sungard Data Systems                           Common Stock               867363103                      16           400    SH
Sunoco Inc                                     Common Stock               86764P109                     161         4,458    SH
Sunquest Information Systems                   Common Stock               867654105                      72         6,100    SH
Sunrise Assisted Living Inc.                   Common Stock               86768K106                      32           700    SH
Sunrise Medical Inc.                           Common Stock               867910101                      21         3,400    SH
Suntrust Banks Inc.                            Common Stock               867914103                   3,957        63,571    SH
Superconductor Tech Inc.                       Common Stock               867931107                       4         1,200    SH
Sunstone Hotel Investors Inc.                  Common Stock               867933103                      19         2,700    SH
Sunsource Inc                                  Common Stock               867948101                      10           700    SH

Page Total:                                                                                          25,729

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Star Technologies Inc.                                       X                                    0      3,000          0
Starbucks Corp.                                              X                                    0      2,970          0
Starter Corporation                                          X                                    0      3,000          0
Startec Global Communications                                X                                    0        500          0
Starwood Hotels & Resorts Worldwide In                       X                                    0     19,219          0
State Street Corp.                                           X                                    0     32,382          0
Stein Mart Inc.                                              X                                    0     24,850          0
Steinway Musical Instruments                                 X                                    0      7,400          0
Sterling Bancshares Inc.                                     X                                    0      2,250          0
Stericycle Inc                                               X                                    0      1,000          0
Sterling Bancshares Capital                                  X                                    0      2,750          0
Sterling Capital                                             X                                    0        150          0
Sterling Commerce Inc.                                       X                                    0     19,700          0
Stewart & Stevenson                                          X                                    0      4,684          0
Stewart Enterprises CL A                                     X                                    0     80,634          0
Stillwater Mining Co                                         X                                    0      1,000          0
Stmicroelectronics NV - NY Shares                            X                                    0        275          0
Stolt Comex Seaway                                           X                                    0        200          0
Stone Energy Corp.                                           X                                    0        500          0
Storage USA, Inc.                                            X                                    0     57,634          0
Storage Technology Corp.                                     X                                    0     26,020          0
Stratosphere Corp.                                           X                                    0        200          0
Strayer Education Inc.                                       X                                    0     18,592          0
Stryker Corp.                                                X                                    0     25,025          0
Sturm Ruger & Co                                             X                                    0     38,130          0
Suburban Propane Partners LP                                 X                                    0      2,300          0
Sugen Inc.                                                   X                                    0        100          0
Suiza Foods Corp.                                            X                                    0     21,170          0
Summitt Bancorp                                              X                                    0     10,004          0
Summit Properties Inc.                                       X                                    0     10,062          0
Summit Technology Inc.                                       X                                    0      1,150          0
Sun Communities Inc.                                         X                                    0         75          0
Sun Microsystems Inc.                                        X                                    0     56,517          0
Suburst Hospitality Corp.                                    X                                    0        300          0
SunAmerica Capt Trust III                                    X                                    0      1,200          0
Sunbeam Corp.                                                X                                    0     14,600          0
Suncor Energy Inc PFD Secs                                   X                                    0      2,500          0
Sundstrand Corp.                                             X                                    0     33,676          0
Sungard Data Systems                                         X                                    0        400          0
Sunoco Inc                                                   X                                    0      4,458          0
Sunquest Information Systems                                 X                                    0      6,100          0
Sunrise Assisted Living Inc.                                 X                                    0        700          0
Sunrise Medical Inc.                                         X                                    0      3,400          0
Suntrust Banks Inc.                                          X                                    0     63,571          0
Superconductor Tech Inc.                                     X                                    0      1,200          0
Sunstone Hotel Investors Inc.                                X                                    0      2,700          0
Sunsource Inc                                                X                                    0        700          0
</TABLE>



<PAGE>
Page 53 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Sunsource Capital Trust 11.6% Tr PFD           Preferred Stock            867949208                      18           656    SH
Superior Energy Services Inc.                  Common Stock               868157108                       1           300    SH
Superior Industries Intl Inc.                  Common Stock               868168105                     513        22,065    SH
Superior Services Inc.                         Common Stock               868316100                       4           200    SH
Supervalue Inc.                                Common Stock               868536103                      69         3,340    SH
Supreme Industries Inc.                        Common Stock               868607102                      36         4,861    SH
Surgical Laser Tech Inc                        Common Stock               868819202                       2         1,220    SH
Susquehanna Bancshares Inc.                    Common Stock               869099101                     778        42,350    SH
Swift Energy Co                                Common Stock               870738101                      48         5,660    SH
Swiss Chalet Inc.                              Common Stock               870853108                       3           400    SH
Sybase Inc.                                    Common Stock               871130100                      69         8,750    SH
Sybron International Corp. Wis                 Common Stock               87114F106                   2,149        85,975    SH
Sykes Enterprises Inc.                         Common Stock               871237103                       6           200    SH
Sylvan Learning Systems Inc.                   Common Stock               871399101                     196         7,147    SH
Symantec Corp.                                 Common Stock               871503108                     147         8,700    SH
Symbol Technologies Inc.                       Common Stock               871508107                      40           892    SH
Syncor Intl Inc.                               Common Stock               87157J106                       6           200    SH
Synopsys Inc.                                  Common Stock               871607107                      49           910    SH
Synetic Inc.                                   Common Stock               87160F109                       8           144    SH
Synovus Financial Corp.                        Common Stock               87161C105                      15           750    SH
Syquest Technology Inc.                        Common Stock               871660106                       0         4,200    SH
Sysco Corp.                                    Common Stock               871829107                     477        18,131    SH
System Software Associates Incorporate         Common Stock               871839106                       3         1,200    SH
T & W Financial Corp                           Common Stock               87215N107                       3           300    SH
T B C Corp.                                    Common Stock               872180104                       2           400    SH
TCF Financial Corp.                            Common Stock               872275102                      78         2,988    SH
TCI Communic Financing I 8.72% PFD             Preferred Stock            872285200                     185         7,100    SH
TCI Communications Financing II 10% PF         Preferred Stock            872286208                      60         2,200    SH
TCI Satellite Entertainment                    Common Stock               872298104                       0            79    SH
TCW Convertible Securities Fd                  Common Stock               872340104                     428        43,350    SH
TCW/DW Term Trust 2002 Beneficial              Common Stock               87234T101                       9           900    SH
TDS Capital II 8.04% Trust Org PFD             Preferred Stock            87235R203                     118         4,700    SH
TDS Capital I-8.50% Trust Originated           Preferred Stock            87235W202                      13           500    SH
Teco Energy Inc.                               Common Stock               872375100                     156         7,845    SH
Teppco Partners L P Units  Rep Lim             Limited Partner            872384102                      54         2,150    SH
TIG Holdings Inc.                              Common Stock               872469101                       8           500    SH
TJX Companies Inc.                             Common Stock               872540109                     564        16,588    SH
Sharp Drilling Incorporated                    Common Stock               87257P101                       4           900    SH
Tnp Enterprises Inc.                           Common Stock               872594106                     316        10,975    SH
TRM Copy Centers Corp.                         Common Stock               872636105                      15         2,100    SH
T R W Inc.                                     Common Stock               872649108                     138         3,040    SH
TSR Inc                                        Common Stock               872885108                      11         1,500    SH
TLC The Laser Center Inc                       Common Stock               872934104                      48         1,503    SH
Tu Electric Cap I 8.25% Cum PFD                Preferred Stock            87305C201                      13           500    SH
Tu Electric Cap III 8.00%  Cum PFD             Preferred Stock            87305G202                      75         2,990    SH
Taitron Components Inc. Cl A                   Common Stock               874028103                      40        31,005    SH
Take-Two Interactive software Inc.             Common Stock               874054109                      11         1,400    SH

Page Total:                                                                                           6,984

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Sunsource Capital Trust 11.6% Tr PFD                         X                                    0        656          0
Superior Energy Services Inc.                                X                                    0        300          0
Superior Industries Intl Inc.                                X                                    0     22,065          0
Superior Services Inc.                                       X                                    0        200          0
Supervalue Inc.                                              X                                    0      3,340          0
Supreme Industries Inc.                                      X                                    0      4,861          0
Surgical Laser Tech Inc                                      X                                    0      1,220          0
Susquehanna Bancshares Inc.                                  X                                    0     42,350          0
Swift Energy Co                                              X                                    0      5,660          0
Swiss Chalet Inc.                                            X                                    0        400          0
Sybase Inc.                                                  X                                    0      8,750          0
Sybron International Corp. Wis                               X                                    0     85,975          0
Sykes Enterprises Inc.                                       X                                    0        200          0
Sylvan Learning Systems Inc.                                 X                                    0      7,147          0
Symantec Corp.                                               X                                    0      8,700          0
Symbol Technologies Inc.                                     X                                    0        892          0
Syncor Intl Inc.                                             X                                    0        200          0
Synopsys Inc.                                                X                                    0        910          0
Synetic Inc.                                                 X                                    0        144          0
Synovus Financial Corp.                                      X                                    0        750          0
Syquest Technology Inc.                                      X                                    0      4,200          0
Sysco Corp.                                                  X                                    0     18,131          0
System Software Associates Incorporate                       X                                    0      1,200          0
T & W Financial Corp                                         X                                    0        300          0
T B C Corp.                                                  X                                    0        400          0
TCF Financial Corp.                                          X                                    0      2,988          0
TCI Communic Financing I 8.72% PFD                           X                                    0      7,100          0
TCI Communications Financing II 10% PF                       X                                    0      2,200          0
TCI Satellite Entertainment                                  X                                    0         79          0
TCW Convertible Securities Fd                                X                                    0     43,350          0
TCW/DW Term Trust 2002 Beneficial                            X                                    0        900          0
TDS Capital II 8.04% Trust Org PFD                           X                                    0      4,700          0
TDS Capital I-8.50% Trust Originated                         X                                    0        500          0
Teco Energy Inc.                                             X                                    0      7,845          0
Teppco Partners L P Units  Rep Lim                           X                                    0      2,150          0
TIG Holdings Inc.                                            X                                    0        500          0
TJX Companies Inc.                                           X                                    0     16,588          0
Sharp Drilling Incorporated                                  X                                    0        900          0
Tnp Enterprises Inc.                                         X                                    0     10,975          0
TRM Copy Centers Corp.                                       X                                    0      2,100          0
T R W Inc.                                                   X                                    0      3,040          0
TSR Inc                                                      X                                    0      1,500          0
TLC The Laser Center Inc                                     X                                    0      1,503          0
Tu Electric Cap I 8.25% Cum PFD                              X                                    0        500          0
Tu Electric Cap III 8.00%  Cum PFD                           X                                    0      2,990          0
Taitron Components Inc. Cl A                                 X                                    0     31,005          0
Take-Two Interactive software Inc.                           X                                    0      1,400          0
</TABLE>




<PAGE>
Page 54 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Talbot Bancshares Inc. New                     Common Stock               874124100                     184         3,400    SH
Talbots Inc.                                   Common Stock               874161102                       5           200    SH
Tandy Corp.                                    Common Stock               875382103                      77         1,200    SH
Tanger Factory Outlet Centers,                 Common Stock               875465106                      90         4,700    SH
Tasty Baking Co.                               Common Stock               876553306                       9           800    SH
Taubman Centers, Inc.                          Common Stock               876664103                      54         4,400    SH
Taubman Centers Inc. 8.3% Perp Pfd             Preferred Stock            876664202                      32         1,500    SH
Taylor Capital Group Inc. Perp Pfd Ser         Preferred Stock            876851205                     216         8,550    SH
Taylor S Cos Inc                               Common Stock               876867102                       0           100    SH
Tech Data Corp.                                Common Stock               878237106                      96         4,200    SH
Technitrol Inc.                                Common Stock               878555101                      12           500    SH
Tecumseh Producs CO CL A                       Common Stock               878895200                   1,483        29,106    SH
Tekelec                                        Common Stock               879101103                      66         9,000    SH
Tektronix Inc.                                 Common Stock               879131100                      35         1,400    SH
Telecentro Sul Participa - ADR                 ADR                        879239101                       1            20    SH
Tele Danmark A/S Spons ADS Rep                 ADR                        879242105                      15           300    SH
Telenorte Leste Participacoes ADR              ADR                        879246106                       2           100    SH
Telesudeste Celular Part- ADR                  ADR                        879252104                       0            20    SH
Telebanc Financial Corp                        Common Stock               87925R109                   1,335        16,741    SH
Telebanc Capital Trust II Cum Pfd 9.00         Preferred Stock            87925Y203                     490        20,300    SH
Telecom Corp. of New                           ADR                        879278208                      54         1,386    SH
Telecom Italia Spa Spon ADR                    ADR                        87927W106                       8            75    SH
Telecominicaoes Brasileiras SA ADR             ADR                        879287308                     420         5,210    SH
Teleflex Inc.                                  Common Stock               879369106                  10,652       312,722    SH
Telefonica de Argentina S.A.                   ADR                        879378206                       5           180    SH
Telefonica De Espana SA Spons ADR              ADR                        879382208                     195         1,527    SH
Telefonos De Mexico SA Spons ADR               ADR                        879403780                     418         6,385    SH
Teleglobe Inc                                  Common Stock               87941V100                      48         1,592    SH
Telephone & Data Systems, Inc.                 Common Stock               879433100                      40           700    SH
Telepanel Systems Inc                          Common Stock               87943U209                       2         4,000    SH
Telespectrum Worldwide Inc.                    Common Stock               87951U109                     767        89,585    SH
Telesp Participatoes SA - ADR                  ADR                        87952K100                       2           100    SH
Telesp Celular Participa- ADR                  ADR                        87952L108                       2            40    SH
Teligent Inc. Cl A                             Common Stock               87959Y103                      84         2,030    SH
Tellabs Inc.                                   Common Stock               879664100                   1,533        15,678    SH
Tellurian Inc.                                 Common Stock               879674109                       0         2,000    SH
Teltrend Inc.                                  Common Stock               87969R106                       8           500    SH
Telxon Corp.                                   Common Stock               879700102                       8           900    SH
Televideo Inc                                  Common Stock               879913200                       0           162    SH
Templeton Global Governments                   Common Stock               879929107                      47         7,200    SH
Templeton Dragon Fund Inc.                     Common Stock               88018T101                     281        36,540    SH
Templeton Emerging Markets                     Common Stock               880190103                      34         3,500    SH
Templeton Emerging Markets                     Common Stock               880191101                     117        10,730    SH
Templeton Vietnam Opptys Fund                  Common Stock               88022J107                     126        18,190    SH
Tenet Healthcare Corp.                         Common Stock               88033G100                     137         7,255    SH
Tenneco Inc.                                   Common Stock               88037E101                      87         3,109    SH
Tennessee Valley Authority QIDS Ser A          Preferred Stock            880591102                      89         3,500    SH

Page Total:                                                                                          19,366

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Talbot Bancshares Inc. New                                   X                                    0      3,400          0
Talbots Inc.                                                 X                                    0        200          0
Tandy Corp.                                                  X                                    0      1,200          0
Tanger Factory Outlet Centers,                               X                                    0      4,700          0
Tasty Baking Co.                                             X                                    0        800          0
Taubman Centers, Inc.                                        X                                    0      4,400          0
Taubman Centers Inc. 8.3% Perp Pfd                           X                                    0      1,500          0
Taylor Capital Group Inc. Perp Pfd Ser                       X                                    0      8,550          0
Taylor S Cos Inc                                             X                                    0        100          0
Tech Data Corp.                                              X                                    0      4,200          0
Technitrol Inc.                                              X                                    0        500          0
Tecumseh Producs CO CL A                                     X                                    0     29,106          0
Tekelec                                                      X                                    0      9,000          0
Tektronix Inc.                                               X                                    0      1,400          0
Telecentro Sul Participa - ADR                               X                                    0         20          0
Tele Danmark A/S Spons ADS Rep                               X                                    0        300          0
Telenorte Leste Participacoes ADR                            X                                    0        100          0
Telesudeste Celular Part- ADR                                X                                    0         20          0
Telebanc Financial Corp                                      X                                    0     16,741          0
Telebanc Capital Trust II Cum Pfd 9.00                       X                                    0     20,300          0
Telecom Corp. of New                                         X                                    0      1,386          0
Telecom Italia Spa Spon ADR                                  X                                    0         75          0
Telecominicaoes Brasileiras SA ADR                           X                                    0      5,210          0
Teleflex Inc.                                                X                                    0    312,722          0
Telefonica de Argentina S.A.                                 X                                    0        180          0
Telefonica De Espana SA Spons ADR                            X                                    0      1,527          0
Telefonos De Mexico SA Spons ADR                             X                                    0      6,385          0
Teleglobe Inc                                                X                                    0      1,592          0
Telephone & Data Systems, Inc.                               X                                    0        700          0
Telepanel Systems Inc                                        X                                    0      4,000          0
Telespectrum Worldwide Inc.                                  X                                    0     89,585          0
Telesp Participatoes SA - ADR                                X                                    0        100          0
Telesp Celular Participa- ADR                                X                                    0         40          0
Teligent Inc. Cl A                                           X                                    0      2,030          0
Tellabs Inc.                                                 X                                    0     15,678          0
Tellurian Inc.                                               X                                    0      2,000          0
Teltrend Inc.                                                X                                    0        500          0
Telxon Corp.                                                 X                                    0        900          0
Televideo Inc                                                X                                    0        162          0
Templeton Global Governments                                 X                                    0      7,200          0
Templeton Dragon Fund Inc.                                   X                                    0     36,540          0
Templeton Emerging Markets                                   X                                    0      3,500          0
Templeton Emerging Markets                                   X                                    0     10,730          0
Templeton Vietnam Opptys Fund                                X                                    0     18,190          0
Tenet Healthcare Corp.                                       X                                    0      7,255          0
Tenneco Inc.                                                 X                                    0      3,109          0
Tennessee Valley Authority QIDS Ser A                        X                                    0      3,500          0
</TABLE>




<PAGE>
Page 55 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Tennessee Valley Authority                     Preferred Stock            880591201                      25         1,000    SH
Teradyne Inc.                                  Common Stock               880770102                     248         4,550    SH
Terminal Applications Group                    Common Stock               880910104                       0         6,200    SH
Terra Nitrogen Co LP                           Limited Partner            881005201                      18         2,000    SH
Texaco Inc.                                    Common Stock               881694103                   2,916        51,387    SH
Texas Industries Inc.                          Common Stock               882491103                   1,516        61,117    SH
Texas Instruments Inc.                         Common Stock               882508104                   1,878        18,920    SH
Texas Pacific Land Trust                       Common Stock               882610108                      30           600    SH
Texas Utilities Co.                            Common Stock               882848104                     988        23,706    SH
Texas Utils Elec Co- Dep Shs B                 Preferred Stock            882850415                      15           540    SH
Textron Capital I Trust Pfd                    Preferred Stock            883198202                     114         4,500    SH
Textron Inc.                                   Common Stock               883203101                     148         1,918    SH
Theglobe.Com Inc.                              Common Stock               88335R101                       3            50    SH
Theragenics Corp.                              Common Stock               883375107                       3           400    SH
Therapeutic Antibodies Inc.                    Common Stock               88337M100                       2         2,000    SH
Thermo Electron Corp.                          Common Stock               883556102                      48         3,575    SH
Thermo Tech Technologies Inc                   Common Stock               88360H101                       0           300    SH
Thomas & Betts Corp.                           Common Stock               884315102                      41         1,100    SH
Thomas Group Inc.                              Common Stock               884402108                      13         1,500    SH
3 Com Corp.                                    Common Stock               885535104                     773        33,143    SH
3D Systems Corp. New                           Common Stock               88554D205                     130        21,734    SH
Tidewater Inc.                                 Common Stock               886423102                      92         3,555    SH
Tiffany & Co New                               Common Stock               886547108                      34           450    SH
Tilden Associates Inc                          Common Stock               886749209                       8        10,000    SH
Timberland Co                                  Common Stock               887100105                       6           100    SH
Time Warner Inc.                               Common Stock               887315109                   4,980        70,082    SH
Time Warner Capital I-8.875% PFD Trust         Preferred Stock            88731G204                      10           400    SH
Times Mirror Co Cl A New                       Common Stock               887364107                     117         2,165    SH
Timken Co                                      Common Stock               887389104                     947        58,300    SH
Titan Corp.                                    Common Stock               888266103                       9         1,661    SH
Titan International Inc.                       Common Stock               88830M102                     352        45,740    SH
Titanium Metals Corp.                          Common Stock               888339108                      46         7,935    SH
Today's Man Inc.                               Common Stock               888910205                       2         1,750    SH
Tokheim Corp.                                  Common Stock               889073102                      25         3,200    SH
Toledo Edison Co 4 1/4% PFD                    Preferred Stock            889175204                     125         1,925    SH
Toledo Edison Co. - 4.25% Pfd                  Preferred Stock            889175303                     100         1,550    SH
Toledo Edison Co 4.56% Pfd                     Preferred Stock            889175402                      18           350    SH
Toledo Edison Co                               Preferred Stock            889175774                      36         1,450    SH
Tompkins County Trustco Inc.                   Common Stock               890110109                      18           525    SH
Tons Of Toys Inc. Com New                      Common Stock               890318207                       0             2    SH
Tootsie Roll Industries Inc.                   Common Stock               890516107                   1,044        22,660    SH
Torchmark Corp.                                Common Stock               891027104                      19           600    SH
Toronto Dominion Bank                          Common Stock               891160509                      30           650    SH
Tosco Corp. Com New                            Common Stock               891490302                      52         2,080    SH
Total Renal Care Holdings Inc.                 Common Stock               89151A107                      34         3,063    SH
Total SA Adr                                   ADR                        89151E109                     876        14,360    SH
Tower Realty Trust Inc.                        Common Stock               89185E109                      97         5,125    SH

Page Total:                                                                                          17,987

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Tennessee Valley Authority                                   X                                    0      1,000          0
Teradyne Inc.                                                X                                    0      4,550          0
Terminal Applications Group                                  X                                    0      6,200          0
Terra Nitrogen Co LP                                         X                                    0      2,000          0
Texaco Inc.                                                  X                                    0     51,387          0
Texas Industries Inc.                                        X                                    0     61,117          0
Texas Instruments Inc.                                       X                                    0     18,920          0
Texas Pacific Land Trust                                     X                                    0        600          0
Texas Utilities Co.                                          X                                    0     23,706          0
Texas Utils Elec Co- Dep Shs B                               X                                    0        540          0
Textron Capital I Trust Pfd                                  X                                    0      4,500          0
Textron Inc.                                                 X                                    0      1,918          0
Theglobe.Com Inc.                                            X                                    0         50          0
Theragenics Corp.                                            X                                    0        400          0
Therapeutic Antibodies Inc.                                  X                                    0      2,000          0
Thermo Electron Corp.                                        X                                    0      3,575          0
Thermo Tech Technologies Inc                                 X                                    0        300          0
Thomas & Betts Corp.                                         X                                    0      1,100          0
Thomas Group Inc.                                            X                                    0      1,500          0
3 Com Corp.                                                  X                                    0     33,143          0
3D Systems Corp. New                                         X                                    0     21,734          0
Tidewater Inc.                                               X                                    0      3,555          0
Tiffany & Co New                                             X                                    0        450          0
Tilden Associates Inc                                        X                                    0     10,000          0
Timberland Co                                                X                                    0        100          0
Time Warner Inc.                                             X                                    0     70,082          0
Time Warner Capital I-8.875% PFD Trust                       X                                    0        400          0
Times Mirror Co Cl A New                                     X                                    0      2,165          0
Timken Co                                                    X                                    0     58,300          0
Titan Corp.                                                  X                                    0      1,661          0
Titan International Inc.                                     X                                    0     45,740          0
Titanium Metals Corp.                                        X                                    0      7,935          0
Today's Man Inc.                                             X                                    0      1,750          0
Tokheim Corp.                                                X                                    0      3,200          0
Toledo Edison Co 4 1/4% PFD                                  X                                    0      1,925          0
Toledo Edison Co. - 4.25% Pfd                                X                                    0      1,550          0
Toledo Edison Co 4.56% Pfd                                   X                                    0        350          0
Toledo Edison Co                                             X                                    0      1,450          0
Tompkins County Trustco Inc.                                 X                                    0        525          0
Tons Of Toys Inc. Com New                                    X                                    0          2          0
Tootsie Roll Industries Inc.                                 X                                    0     22,660          0
Torchmark Corp.                                              X                                    0        600          0
Toronto Dominion Bank                                        X                                    0        650          0
Tosco Corp. Com New                                          X                                    0      2,080          0
Total Renal Care Holdings Inc.                               X                                    0      3,063          0
Total SA Adr                                                 X                                    0     14,360          0
Tower Realty Trust Inc.                                      X                                    0      5,125          0
</TABLE>





<PAGE>
Page 56 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
The Town and Country Trust                     Common Stock               892081100                       3           200    SH
Toys 'R' Us Inc.                               Common Stock               892335100                   3,376       179,468    SH
Tractor Supply Co.                             Common Stock               892356106                     137         5,355    SH
Trakit Corp                                    Common Stock               892888108                       0            17    SH
Trans World Music Corp                         Common Stock               89336Q100                      13         1,200    SH
Transamerica Corp.                             Common Stock               893485102                     301         4,242    SH
Transkaryotic Therapies Inc                    Common Stock               893735100                      44         1,400    SH
Transocean Offshore, Inc.                      Common Stock               893817106                     117         4,065    SH
Trans Maritima Mexican Sp ADR                  ADR                        893868307                       7         1,300    SH
Transportadora Gas Sur - Sponsored ADR         ADR                        893870204                      50         5,350    SH
Travelers P&C Capital I 8.08%                  Preferred Stock            893931204                      59         2,300    SH
Travelers Property Casualty                    Common Stock               893939108                      18           510    SH
Tremont Corp. Del Com Par                      Common Stock               894745207                       1            70    SH
Trenwick Group Inc.                            Common Stock               895290104                       4           150    SH
Tri-Continental                                Common Stock               895436103                     245         8,459    SH
Tri-continental Corp.                          Preferred Stock            895436202                       8           200    SH
Triangle Bancorp Inc.                          Common Stock               895835106                     511        30,613    SH
Triangle Pharmaceuticals Inc.                  Common Stock               89589H104                       5           500    SH
Triad Guaranty Inc.                            Common Stock               895925105                     176        13,000    SH
Trident International Inc.                     Common Stock               895934107                       8           500    SH
Tricon Global Restaurants Inc.                 Common Stock               895953107                     373         5,305    SH
Tribune Co                                     Common Stock               896047107                      85         1,300    SH
Trigon Healthcare Inc.                         Common Stock               89618L100                      12           358    SH
Trinet Corporate Realty Trust                  Common Stock               896287109                      11           415    SH
Trinity Industries Inc.-del                    Common Stock               896522109                   2,102        71,555    SH
Triquint Semiconductor Incorporated            Common Stock               89674K103                       4           200    SH
Triton Energy Corporation                      Common Stock               896750106                       0            27    SH
Triteal Corp.                                  Common Stock               896937109                       0           500    SH
Trizec Hahn Corp.                              Foreign Stock              896938107                      51         2,800    SH
Trustmark Corp.                                Common Stock               898402102                      89         4,520    SH
Tupperware Corp.                               Common Stock               899896104                     176         9,790    SH
Tultex Corp.                                   Common Stock               899900104                       2         2,500    SH
Bartlett RE Fd II                              Limited Partner            8S00034                       168            95    SH
Bartlett RE Fd VI                              Limited Partner            8S00035                       170           150    SH
Bartlett RE Fd IV                              Limited Partner            8S00036                        81            50    SH
Bartlett RE Fd I                               Limited Partner            8S00037                       101            50    SH
Bartlett RE Fd V                               Limited Partner            8S00038                        80           150    SH
Bartlett RE Fd III                             Limited Partner            8S00039                        36            50    SH
U S Biomaterials Corp.                         Preferred Stock            8S00429                         0        10,000    SH
Hayden Hill Consolidated Mining Compan         Common Stock               8S00865                         0        10,500    SH
Astron Corp.                                   Common Stock               8S00961                         0         4,000    SH
System Planning Corp Inc                       Common Stock               8S01086                         0         4,093    SH
Consolidated Oil Corp                          Common Stock               8S03025                         0             0    SH
River Oaks Hospital Inc.                       Common Stock               8S04230                         0           280    SH
Houston Spec ASO LLC                           Common Stock               8S04644                         0           100    SH
A/F Protein Inc. Ser B Conv Pfd                Preferred Stock            8S04667                        50        38,462    SH
Tuscarora Inc.                                 Common Stock               900902107                      44         3,740    SH

Page Total:                                                                                           8,719


<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
The Town and Country Trust                                   X                                    0        200          0
Toys 'R' Us Inc.                                             X                                    0    179,468          0
Tractor Supply Co.                                           X                                    0      5,355          0
Trakit Corp                                                  X                                    0         17          0
Trans World Music Corp                                       X                                    0      1,200          0
Transamerica Corp.                                           X                                    0      4,242          0
Transkaryotic Therapies Inc                                  X                                    0      1,400          0
Transocean Offshore, Inc.                                    X                                    0      4,065          0
Trans Maritima Mexican Sp ADR                                X                                    0      1,300          0
Transportadora Gas Sur - Sponsored ADR                       X                                    0      5,350          0
Travelers P&C Capital I 8.08%                                X                                    0      2,300          0
Travelers Property Casualty                                  X                                    0        510          0
Tremont Corp. Del Com Par                                    X                                    0         70          0
Trenwick Group Inc.                                          X                                    0        150          0
Tri-Continental                                              X                                    0      8,459          0
Tri-continental Corp.                                        X                                    0        200          0
Triangle Bancorp Inc.                                        X                                    0     30,613          0
Triangle Pharmaceuticals Inc.                                X                                    0        500          0
Triad Guaranty Inc.                                          X                                    0     13,000          0
Trident International Inc.                                   X                                    0        500          0
Tricon Global Restaurants Inc.                               X                                    0      5,305          0
Tribune Co                                                   X                                    0      1,300          0
Trigon Healthcare Inc.                                       X                                    0        358          0
Trinet Corporate Realty Trust                                X                                    0        415          0
Trinity Industries Inc.-del                                  X                                    0     71,555          0
Triquint Semiconductor Incorporated                          X                                    0        200          0
Triton Energy Corporation                                    X                                    0         27          0
Triteal Corp.                                                X                                    0        500          0
Trizec Hahn Corp.                                            X                                    0      2,800          0
Trustmark Corp.                                              X                                    0      4,520          0
Tupperware Corp.                                             X                                    0      9,790          0
Tultex Corp.                                                 X                                    0      2,500          0
Bartlett RE Fd II                                            X                                    0         95          0
Bartlett RE Fd VI                                            X                                    0        150          0
Bartlett RE Fd IV                                            X                                    0         50          0
Bartlett RE Fd I                                             X                                    0         50          0
Bartlett RE Fd V                                             X                                    0        150          0
Bartlett RE Fd III                                           X                                    0         50          0
U S Biomaterials Corp.                                       X                                    0     10,000          0
Hayden Hill Consolidated Mining Compan                       X                                    0     10,500          0
Astron Corp.                                                 X                                    0      4,000          0
System Planning Corp Inc                                     X                                    0      4,093          0
Consolidated Oil Corp                                        X                                    0          0          0
River Oaks Hospital Inc.                                     X                                    0        280          0
Houston Spec ASO LLC                                         X                                    0        100          0
A/F Protein Inc. Ser B Conv Pfd                              X                                    0     38,462          0
Tuscarora Inc.                                               X                                    0      3,740          0
</TABLE>



<PAGE>
Page 57 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
24/7 Media Inc                                 Common Stock               901314104                       5            90    SH
Twinlab Corp.                                  Common Stock               901774109                       3           300    SH
II-IV Inc.                                     Common Stock               902104108                      37         4,750    SH
Tyco International LTD                         Foreign Stock              902124106                   2,175        30,307    SH
Tyson Foods Inc.                               Common Stock               902494103                       6           300    SH
U A L Corp.                                    Common Stock               902549500                       5            58    SH
UAL Corp. 12 1/4% Depository                   Preferred Stock            902549708                      37         1,000    SH
Ual Corp Capital Tr 13.25                      Preferred Stock            90254Y208                      13           400    SH
Ucar International Inc.                        Common Stock               90262K109                     205        14,500    SH
UDS Captl I (Ultramar Diamond                  Preferred Stock            902655208                      12           500    SH
UGI Corp. Hldg Co                              Common Stock               902681105                      58         3,457    SH
UST Corp.                                      Common Stock               902900109                       8           380    SH
USX Marathon Group                             Common Stock               902905827                     144         5,220    SH
U S T Inc.                                     Common Stock               902911106                     552        21,130    SH
U S Restaurants PPtys Inc.                     Common Stock               902971100                       6           300    SH
U S Bancorp New                                Common Stock               902973106                      94         2,755    SH
USA Networks Inc.                              Common Stock               902984103                     425        11,870    SH
Unum Corp.                                     Common Stock               903192102                     908        19,096    SH
USG Corp.                                      Common Stock               903293405                      13           260    SH
U.S. Foodservice                               Common Stock               90331R101                       9           200    SH
USEC Inc                                       Common Stock               90333E108                       3           200    SH
USX-U.S. Steel Group                           Common Stock               90337T101                       5           200    SH
Ultramar Diamond Shamrock Corp.                Common Stock               904000106                      15           675    SH
Ultratech Stepper Inc.                         Common Stock               904034105                       1           100    SH
Unifi Inc.                                     Common Stock               904677101                      38         2,970    SH
Unifab International Inc.                      Common Stock               90467L100                      29         3,600    SH
Unigene Labs Inc.                              Common Stock               904753100                       1         1,400    SH
Unilever PLC                                   ADR                        904767605                     104         2,805    SH
Unilever N V (NY Shares)                       ADR                        904784501                     382         5,750    SH
Unicom Corp.                                   Common Stock               904911104                      61         1,680    SH
Union Bankshares Corp. VA                      Common Stock               905399101                      59         3,164    SH
Union Camp Corp.                               Common Stock               905530101                   5,089        75,808    SH
Union Carbide Corp.                            Common Stock               905581104                      59         1,307    SH
Union Electric Co 4.50$ PFD                    Preferred Stock            906548508                      16           200    SH
Union National Bancorp                         Common Stock               907103105                      47         1,470    SH
Union Pacific Corp.                            Common Stock               907818108                   3,241        60,659    SH
Union Pacific Resources Group Inc.             Common Stock               907834105                     157        13,193    SH
Union Planters Corp.                           Common Stock               908068109                   1,388        31,586    SH
Unionbancal Fin Tr I 7.375%                    Preferred Stock            90905Q109                      30         1,200    SH
Uniphase Corp.                                 Common Stock               909149106                     432         3,753    SH
Unison Healthcare Corp.                        Common Stock               909196107                       0           800    SH
Unisource Energy Corp.                         Common Stock               909205106                      10           920    SH
Unisource Worldwide Inc.                       Common Stock               909208100                      16         2,265    SH
Unisys Corp.                                   Common Stock               909214108                      54         1,943    SH
Unisys Corp. Pfd Ser A                         Preferred Stock            909214207                      11           219    SH
United Asset Management Corp.                  Common Stock               909420101                     718        31,720    SH
United Caanso Oil & Gas Ltd.                   Common Stock               909755100                       0           160    SH

Page Total:                                                                                          16,679

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
24/7 Media Inc                                               X                                    0         90          0
Twinlab Corp.                                                X                                    0        300          0
II-IV Inc.                                                   X                                    0      4,750          0
Tyco International LTD                                       X                                    0     30,307          0
Tyson Foods Inc.                                             X                                    0        300          0
U A L Corp.                                                  X                                    0         58          0
UAL Corp. 12 1/4% Depository                                 X                                    0      1,000          0
Ual Corp Capital Tr 13.25                                    X                                    0        400          0
Ucar International Inc.                                      X                                    0     14,500          0
UDS Captl I (Ultramar Diamond                                X                                    0        500          0
UGI Corp. Hldg Co                                            X                                    0      3,457          0
UST Corp.                                                    X                                    0        380          0
USX Marathon Group                                           X                                    0      5,220          0
U S T Inc.                                                   X                                    0     21,130          0
U S Restaurants PPtys Inc.                                   X                                    0        300          0
U S Bancorp New                                              X                                    0      2,755          0
USA Networks Inc.                                            X                                    0     11,870          0
Unum Corp.                                                   X                                    0     19,096          0
USG Corp.                                                    X                                    0        260          0
U.S. Foodservice                                             X                                    0        200          0
USEC Inc                                                     X                                    0        200          0
USX-U.S. Steel Group                                         X                                    0        200          0
Ultramar Diamond Shamrock Corp.                              X                                    0        675          0
Ultratech Stepper Inc.                                       X                                    0        100          0
Unifi Inc.                                                   X                                    0      2,970          0
Unifab International Inc.                                    X                                    0      3,600          0
Unigene Labs Inc.                                            X                                    0      1,400          0
Unilever PLC                                                 X                                    0      2,805          0
Unilever N V (NY Shares)                                     X                                    0      5,750          0
Unicom Corp.                                                 X                                    0      1,680          0
Union Bankshares Corp. VA                                    X                                    0      3,164          0
Union Camp Corp.                                             X                                    0     75,808          0
Union Carbide Corp.                                          X                                    0      1,307          0
Union Electric Co 4.50$ PFD                                  X                                    0        200          0
Union National Bancorp                                       X                                    0      1,470          0
Union Pacific Corp.                                          X                                    0     60,659          0
Union Pacific Resources Group Inc.                           X                                    0     13,193          0
Union Planters Corp.                                         X                                    0     31,586          0
Unionbancal Fin Tr I 7.375%                                  X                                    0      1,200          0
Uniphase Corp.                                               X                                    0      3,753          0
Unison Healthcare Corp.                                      X                                    0        800          0
Unisource Energy Corp.                                       X                                    0        920          0
Unisource Worldwide Inc.                                     X                                    0      2,265          0
Unisys Corp.                                                 X                                    0      1,943          0
Unisys Corp. Pfd Ser A                                       X                                    0        219          0
United Asset Management Corp.                                X                                    0     31,720          0
United Caanso Oil & Gas Ltd.                                 X                                    0        160          0
</TABLE>




<PAGE>
Page 58 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
United Capital Funding Partnership LP          Preferred Stock            90978X205                      73         2,900    SH
United Cmnty Financial Corp.                   Common Stock               909839102                      24         2,000    SH
United Companies Financial                     Common Stock               909870107                       2         5,610    SH
United Bankshares Inc. W Va                    Common Stock               909907107                     131         5,710    SH
United Dominion Inds Ltd                       Common Stock               909914103                     213        10,711    SH
United Dominion Realty Trust                   Common Stock               910197102                     799        77,973    SH
United Dominion Realty Trust                   Preferred Stock            910197201                      36         1,500    SH
United Dominion Realty Trust                   Preferred Stock            910197300                      54         2,200    SH
United Financial Banking Companies Inc         Common Stock               910305200                       1           300    SH
United Healthcare Corp.                        Common Stock               910581107                     445         8,458    SH
United Illuminating Co                         Common Stock               910637107                     179         4,270    SH
United International Hldgs - A                 Common Stock               910734102                      65         1,500    SH
United Mobile Homes Inc.                       Common Stock               911024107                     117        12,700    SH
United Rentals Inc.                            Common Stock               911363109                   1,112        39,022    SH
U.S. Bioscience Inc. New                       Common Stock               911646206                       2           200    SH
United States Cellular Corp.                   Common Stock               911684108                       4           100    SH
U.S. Filter Corp.                              Common Stock               911843209                     426        13,906    SH
US Air Group                                   Common Stock               911905107                     249         5,103    SH
U S HOME Corp. NEW                             Common Stock               911920106                       3           100    SH
U.S. Industries, Inc.                          Common Stock               912080108                     152         9,234    SH
U.S. West Inc.                                 Common Stock               91273H101                   1,401        25,435    SH
U.S. Trust Corp.  New                          Common Stock               91288L105                     189         2,550    SH
United Technologies Corp.                      Common Stock               913017109                     549         4,053    SH
United Water Resources Inc.                    Common Stock               913190104                      10           500    SH
Universal Foods Corp.                          Common Stock               913538104                      76         3,700    SH
Universal Hlth Rlty Income Tr                  Common Stock               91359E105                      20         1,000    SH
Unocal Corp.                                   Common Stock               915289102                     320         8,698    SH
Uromed Corp New                                Common Stock               917274300                       0            80    SH
UROCOR Inc.                                    Common Stock               91727P105                       1           200    SH
U.S. Bancorp Inc.                              Common Stock               917292104                      82         5,585    SH
U S Bancorp Cap Tr I 8.45% Gtd                 Common Stock               91729W207                      66         2,600    SH
Usweb Corp.                                    Common Stock               917327108                       8           200    SH
Utah Idaho Consolidated Uranium                Common Stock               917440109                       0           667    SH
Utilicorp United Inc.                          Common Stock               918005109                      43         1,876    SH
V F Corp.                                      Common Stock               918204108                      50         1,050    SH
VLSI Technology                                Common Stock               918270109                     109         5,600    SH
VSI Enterprises Inc                            Common Stock               91832B884                       0           250    SH
VWR Scientific Products Corp.                  Common Stock               918435108                      16           700    SH
Vail Resorts Inc                               Common Stock               91879Q109                       3           200    SH
Valero Energy Corp.                            Common Stock               91913Y100                       7           300    SH
The Valspar Corp.                              Common Stock               920355104                   5,919       187,526    SH
Valuevision International Inc. Cl A            Common Stock               92047K107                       5           400    SH
Van Kampen American Capital Limited            Common Stock               920913100                       6           700    SH
Van Kampen Merritt Trust For                   Common Stock               920929106                     113         6,800    SH
Van Kampen Merritt Tr For                      Common Stock               920934106                       6           333    SH
Van Kampen Merritt Penn Value                  Common Stock               92112T108                      73         5,000    SH
Vanderbilt Gold Corp.                          Common Stock               921786109                       0           700    SH

Page Total:                                                                                          13,159

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
United Capital Funding Partnership LP                        X                                    0      2,900          0
United Cmnty Financial Corp.                                 X                                    0      2,000          0
United Companies Financial                                   X                                    0      5,610          0
United Bankshares Inc. W Va                                  X                                    0      5,710          0
United Dominion Inds Ltd                                     X                                    0     10,711          0
United Dominion Realty Trust                                 X                                    0     77,973          0
United Dominion Realty Trust                                 X                                    0      1,500          0
United Dominion Realty Trust                                 X                                    0      2,200          0
United Financial Banking Companies Inc                       X                                    0        300          0
United Healthcare Corp.                                      X                                    0      8,458          0
United Illuminating Co                                       X                                    0      4,270          0
United International Hldgs - A                               X                                    0      1,500          0
United Mobile Homes Inc.                                     X                                    0     12,700          0
United Rentals Inc.                                          X                                    0     39,022          0
U.S. Bioscience Inc. New                                     X                                    0        200          0
United States Cellular Corp.                                 X                                    0        100          0
U.S. Filter Corp.                                            X                                    0     13,906          0
US Air Group                                                 X                                    0      5,103          0
U S HOME Corp. NEW                                           X                                    0        100          0
U.S. Industries, Inc.                                        X                                    0      9,234          0
U.S. West Inc.                                               X                                    0     25,435          0
U.S. Trust Corp.  New                                        X                                    0      2,550          0
United Technologies Corp.                                    X                                    0      4,053          0
United Water Resources Inc.                                  X                                    0        500          0
Universal Foods Corp.                                        X                                    0      3,700          0
Universal Hlth Rlty Income Tr                                X                                    0      1,000          0
Unocal Corp.                                                 X                                    0      8,698          0
Uromed Corp New                                              X                                    0         80          0
UROCOR Inc.                                                  X                                    0        200          0
U.S. Bancorp Inc.                                            X                                    0      5,585          0
U S Bancorp Cap Tr I 8.45% Gtd                               X                                    0      2,600          0
Usweb Corp.                                                  X                                    0        200          0
Utah Idaho Consolidated Uranium                              X                                    0        667          0
Utilicorp United Inc.                                        X                                    0      1,876          0
V F Corp.                                                    X                                    0      1,050          0
VLSI Technology                                              X                                    0      5,600          0
VSI Enterprises Inc                                          X                                    0        250          0
VWR Scientific Products Corp.                                X                                    0        700          0
Vail Resorts Inc                                             X                                    0        200          0
Valero Energy Corp.                                          X                                    0        300          0
The Valspar Corp.                                            X                                    0    187,526          0
Valuevision International Inc. Cl A                          X                                    0        400          0
Van Kampen American Capital Limited                          X                                    0        700          0
Van Kampen Merritt Trust For                                 X                                    0      6,800          0
Van Kampen Merritt Tr For                                    X                                    0        333          0
Van Kampen Merritt Penn Value                                X                                    0      5,000          0
Vanderbilt Gold Corp.                                        X                                    0        700          0
</TABLE>


<PAGE>
Page 59 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Vantive Corp                                   Common Stock               922091103                       2           150    SH
Varian Assocates Inc.                          Common Stock               922204102                      87         2,235    SH
Vastar Resources                               Common Stock               922380100                      43           900    SH
Vaxcel Inc                                     Common Stock               922389101                       0            28    SH
Veeco Instruments Inc                          Common Stock               922417100                      24           643    SH
Vencor Inc.                                    Common Stock               92260R102                       1           500    SH
Ventas Inc.                                    Common Stock               92276F100                       2           300    SH
Venator Group Inc                              Common Stock               922944103                      15         2,100    SH
Veterinary Centers Of America                  Common Stock               925514101                      14         1,000    SH
Viacom Inc Class A                             Common Stock               925524100                      50           600    SH
Viacom Inc Class B                             Common Stock               925524308                     211         2,516    SH
Viad Corp.                                     Common Stock               92552R109                     120         4,297    SH
Viad Corp. 4.75% Pfd                           Preferred Stock            92552R307                      14           175    SH
Viasoft Inc                                    Common Stock               92552U102                       2           400    SH
Virgina Elec & Power Co 1998 Ser A             Preferred Stock            927804617                     101         4,000    SH
Visio Corp.                                    Common Stock               927914101                      73         2,580    SH
Virginia Power Capital Trust                   Preferred Stock            928082205                      60         2,400    SH
Viropro Inc                                    Common Stock               928242106                       0           100    SH
Vishay Intertechnology Inc.                    Common Stock               928298108                     106         7,275    SH
Visx Inc Del                                   Common Stock               92844S105                     248         2,304    SH
Vitalink Pharmacy Services Inc                 Common Stock               92846E104                       4           200    SH
Vitesse Semiconductor Corp.                    Common Stock               928497106                      64         1,270    SH
Vitro Sa                                       ADR                        928502301                      32         5,500    SH
Vivendi - Sp ADR                               ADR                        92851S105                       6           120    SH
Vivus Inc                                      Common Stock               928551100                       4         1,000    SH
Vlasic Foods International                     Common Stock               928559103                      62         4,780    SH
Vodafone Group Plc Spon ADR                    ADR                        92857T107                     278         1,481    SH
Volkswagen AG - Sponsored ADR                  ADR                        928662303                      10           750    SH
Volt Information                               Common Stock               928703107                      12           750    SH
Volvo Aktiebolaget                             ADR                        928856400                       5           200    SH
WHG Bancshares Corp                            Common Stock               928949106                      11         1,000    SH
Vornado Realty Trust Common Shares             Common Stock               929042109                      13           372    SH
Vornado Operating Co.                          Common Stock               92904N103                       0            19    SH
Vulcan Materials Co                            Common Stock               929160109                      87         2,100    SH
WD-40 Co.                                      Common Stock               929236107                     438        15,100    SH
Webs Index Fund Inc - Australia                Common Stock               92923H103                       3           291    SH
Webs Index Fund Inc - Austria                  Common Stock               92923H202                       0            28    SH
Webs Belgium Index Series                      Common Stock               92923H301                       1            61    SH
Webs Index Fund Inc - France                   Common Stock               92923H509                      10           466    SH
Webs Index Fund Inc - Germany                  Common Stock               92923H608                      25         1,258    SH
Webs Hong Kong Index Series                    Common Stock               92923H707                      31         3,200    SH
Webs - United Kingdom Index Series             Common Stock               92923H798                      46         2,181    SH
Webs Index Fund Inc - Italy                    Common Stock               92923H806                       2            96    SH
Webs Index Fd Inc - Switzerland                Common Stock               92923H814                       5           293    SH
Webs Index Fund Inc - Sweden                   Common Stock               92923H822                       3           131    SH
Webs Index Fund Inc Spain                      Common Stock               92923H830                       2            75    SH
Webs Index Fund Inc Singapore Free             Common Stock               92923H848                       1           193    SH

Page Total:                                                                                           2,327

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Vantive Corp                                                 X                                    0        150          0
Varian Assocates Inc.                                        X                                    0      2,235          0
Vastar Resources                                             X                                    0        900          0
Vaxcel Inc                                                   X                                    0         28          0
Veeco Instruments Inc                                        X                                    0        643          0
Vencor Inc.                                                  X                                    0        500          0
Ventas Inc.                                                  X                                    0        300          0
Venator Group Inc                                            X                                    0      2,100          0
Veterinary Centers Of America                                X                                    0      1,000          0
Viacom Inc Class A                                           X                                    0        600          0
Viacom Inc Class B                                           X                                    0      2,516          0
Viad Corp.                                                   X                                    0      4,297          0
Viad Corp. 4.75% Pfd                                         X                                    0        175          0
Viasoft Inc                                                  X                                    0        400          0
Virgina Elec & Power Co 1998 Ser A                           X                                    0      4,000          0
Visio Corp.                                                  X                                    0      2,580          0
Virginia Power Capital Trust                                 X                                    0      2,400          0
Viropro Inc                                                  X                                    0        100          0
Vishay Intertechnology Inc.                                  X                                    0      7,275          0
Visx Inc Del                                                 X                                    0      2,304          0
Vitalink Pharmacy Services Inc                               X                                    0        200          0
Vitesse Semiconductor Corp.                                  X                                    0      1,270          0
Vitro Sa                                                     X                                    0      5,500          0
Vivendi - Sp ADR                                             X                                    0        120          0
Vivus Inc                                                    X                                    0      1,000          0
Vlasic Foods International                                   X                                    0      4,780          0
Vodafone Group Plc Spon ADR                                  X                                    0      1,481          0
Volkswagen AG - Sponsored ADR                                X                                    0        750          0
Volt Information                                             X                                    0        750          0
Volvo Aktiebolaget                                           X                                    0        200          0
WHG Bancshares Corp                                          X                                    0      1,000          0
Vornado Realty Trust Common Shares                           X                                    0        372          0
Vornado Operating Co.                                        X                                    0         19          0
Vulcan Materials Co                                          X                                    0      2,100          0
WD-40 Co.                                                    X                                    0     15,100          0
Webs Index Fund Inc - Australia                              X                                    0        291          0
Webs Index Fund Inc - Austria                                X                                    0         28          0
Webs Belgium Index Series                                    X                                    0         61          0
Webs Index Fund Inc - France                                 X                                    0        466          0
Webs Index Fund Inc - Germany                                X                                    0      1,258          0
Webs Hong Kong Index Series                                  X                                    0      3,200          0
Webs - United Kingdom Index Series                           X                                    0      2,181          0
Webs Index Fund Inc - Italy                                  X                                    0         96          0
Webs Index Fd Inc - Switzerland                              X                                    0        293          0
Webs Index Fund Inc - Sweden                                 X                                    0        131          0
Webs Index Fund Inc Spain                                    X                                    0         75          0
Webs Index Fund Inc Singapore Free                           X                                    0        193          0
</TABLE>



<PAGE>
Page 60 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Webs Index Fd Inc Netherlands                  Common Stock               92923H855                       4           158    SH
Webs - Mexico Index Series Fd Inc.             Common Stock               92923H863                      33         2,533    SH
Webs Index Fund Inc - Malaysia                 Common Stock               92923H871                       3           929    SH
Japan Index Series-Webs                        Common Stock               92923H889                      19         1,661    SH
Wicor Inc                                      Common Stock               929253102                      39         1,920    SH
WMS Industries Inc.                            Common Stock               929297109                       8         1,000    SH
WPP Group PLC - Sponsored ADR                  ADR                        929309300                     221         2,550    SH
W P S Resources Corp.                          Common Stock               92931B106                     334        11,331    SH
WSFS Financial Corp.                           Common Stock               929328102                     166        11,375    SH
Wachovia Corp.                                 Common Stock               929771103                   3,846        47,377    SH
Waddell & Reed Financial - A                   Common Stock               930059100                       1            34    SH
Waddell & Reed Financial Cl-B -W/I             Common Stock               930059209                       3           146    SH
Wake Forest Federal Svgs & Lns                 Common Stock               930889100                      15         1,285    SH
Wal-Mart Stores Inc.                           Common Stock               931142103                   4,336        47,033    SH
Walden Residential Properties Inc.             Common Stock               931210108                      42         2,400    SH
Walgreen Co                                    Common Stock               931422109                     933        33,038    SH
Wallace Computer Services Inc.                 Common Stock               932270101                     255        12,875    SH
Walter Industries Inc                          Common Stock               93317Q105                       6           500    SH
Wang Lab Inc                                   Common Stock               93369N109                       6           300    SH
Warnaco Group Inc                              Common Stock               934390105                      22           900    SH
Warner Lambert Co.                             Common Stock               934488107                   3,199        48,327    SH
Warrantech Corp New                            Common Stock               934648304                       2           740    SH
Washington Federal Inc.                        Common Stock               938824109                   1,400        66,684    SH
Washington Gas Light Co                        Common Stock               938837101                     348        15,398    SH
Washington Mutual Inc.                         Common Stock               939322103                   1,100        26,917    SH
Washington Real Estate Investors Trust         Common Stock               939653101                   1,052        64,501    SH
Waste Management Inc                           Common Stock               94106L109                     198         4,456    SH
Waters Corp.                                   Common Stock               941848103                      66           625    SH
Waterside Capital Corp                         Common Stock               941872103                      28         3,675    SH
Watson Pharmaceuticals Inc                     Common Stock               942683103                     175         3,970    SH
Wavephore Inc                                  Common Stock               943567107                       5           600    SH
Waxman Industries                              Common Stock               944124106                       1         2,100    SH
Weatherford International Inc New              Common Stock               947074100                     357        13,659    SH
Del Webb Corp.                                 Common Stock               947423109                       2           105    SH
Webco Industries Inc.                          Common Stock               947621108                       4           960    SH
Webster Financial Corp.                        Common Stock               947890109                      71         2,444    SH
Weeks Corp.                                    Common Stock               94856P102                      23           800    SH
Weeks Corp 8% Cum Red Pfd Ser A                Preferred Stock            94856P201                      22           900    SH
Weingarten Realty Investors                    Common Stock               948741103                      93         2,350    SH
Weirton Steel Corp.                            Common Stock               948774104                       3         2,300    SH
Weis Markets Inc                               Common Stock               948849104                      62         1,700    SH
Welcome Search Engine Inc.                     Foreign Stock              949149108                      16         3,000    SH
Wellington Hall Ltdcom New                     Common Stock               949535207                       0         4,000    SH
Wellpoint Health Networks Inc.                 Common Stock               94973H108                       8           100    SH
Wells Fargo & Co.                              Common Stock               949746101                   4,183       119,311    SH
Wendys Financing I 5% Ser A                    Preferred Stock            950588202                       6           100    SH
Wendy's International Inc                      Common Stock               950590109                     862        30,294    SH

Page Total:                                                                                          23,578

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Webs Index Fd Inc Netherlands                                X                                    0        158          0
Webs - Mexico Index Series Fd Inc.                           X                                    0      2,533          0
Webs Index Fund Inc - Malaysia                               X                                    0        929          0
Japan Index Series-Webs                                      X                                    0      1,661          0
Wicor Inc                                                    X                                    0      1,920          0
WMS Industries Inc.                                          X                                    0      1,000          0
WPP Group PLC - Sponsored ADR                                X                                    0      2,550          0
W P S Resources Corp.                                        X                                    0     11,331          0
WSFS Financial Corp.                                         X                                    0     11,375          0
Wachovia Corp.                                               X                                    0     47,377          0
Waddell & Reed Financial - A                                 X                                    0         34          0
Waddell & Reed Financial Cl-B -W/I                           X                                    0        146          0
Wake Forest Federal Svgs & Lns                               X                                    0      1,285          0
Wal-Mart Stores Inc.                                         X                                    0     47,033          0
Walden Residential Properties Inc.                           X                                    0      2,400          0
Walgreen Co                                                  X                                    0     33,038          0
Wallace Computer Services Inc.                               X                                    0     12,875          0
Walter Industries Inc                                        X                                    0        500          0
Wang Lab Inc                                                 X                                    0        300          0
Warnaco Group Inc                                            X                                    0        900          0
Warner Lambert Co.                                           X                                    0     48,327          0
Warrantech Corp New                                          X                                    0        740          0
Washington Federal Inc.                                      X                                    0     66,684          0
Washington Gas Light Co                                      X                                    0     15,398          0
Washington Mutual Inc.                                       X                                    0     26,917          0
Washington Real Estate Investors Trust                       X                                    0     64,501          0
Waste Management Inc                                         X                                    0      4,456          0
Waters Corp.                                                 X                                    0        625          0
Waterside Capital Corp                                       X                                    0      3,675          0
Watson Pharmaceuticals Inc                                   X                                    0      3,970          0
Wavephore Inc                                                X                                    0        600          0
Waxman Industries                                            X                                    0      2,100          0
Weatherford International Inc New                            X                                    0     13,659          0
Del Webb Corp.                                               X                                    0        105          0
Webco Industries Inc.                                        X                                    0        960          0
Webster Financial Corp.                                      X                                    0      2,444          0
Weeks Corp.                                                  X                                    0        800          0
Weeks Corp 8% Cum Red Pfd Ser A                              X                                    0        900          0
Weingarten Realty Investors                                  X                                    0      2,350          0
Weirton Steel Corp.                                          X                                    0      2,300          0
Weis Markets Inc                                             X                                    0      1,700          0
Welcome Search Engine Inc.                                   X                                    0      3,000          0
Wellington Hall Ltdcom New                                   X                                    0      4,000          0
Wellpoint Health Networks Inc.                               X                                    0        100          0
Wells Fargo & Co.                                            X                                    0    119,311          0
Wendys Financing I 5% Ser A                                  X                                    0        100          0
Wendy's International Inc                                    X                                    0     30,294          0
</TABLE>

<PAGE>
Page 61 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Wesco Financial Corp.                          Common Stock               950817106                      33           100    SH
West Marine Inc                                Common Stock               954235107                       1           100    SH
West Penn Power Co                             Preferred Stock            955278502                      16           200    SH
West Pharmaceutical Services                   Common Stock               955306105                      26           810    SH
Westamerica Bancorp                            Common Stock               957090103                      32         1,000    SH
Western Bancorp                                Common Stock               957683105                       6           200    SH
Western Digital Corp.                          Common Stock               958102105                     466        58,730    SH
Western Gas Resources, Inc.                    Preferred Stock            958259202                       5           200    SH
Western Gas Resources Inc. Conv PFD            Preferred Stock            958259301                       9           300    SH
Western Resources Inc                          Common Stock               959425109                     354        13,280    SH
Western Wireless Corp Cl A                     Common Stock               95988E204                      63         1,747    SH
Westernbank Puerto Rico                        Common Stock               959897109                      25         1,587    SH
Westpac Banking - Spon ADR                     ADR                        961214301                      11           300    SH
Westvaco Corp.                                 Common Stock               961548104                      90         4,300    SH
Wet Seal Inc Cl A                              Common Stock               961840105                      19           525    SH
Weyerhaeuser Co.                               Common Stock               962166104                     306         5,513    SH
Whirlpool Corp.                                Common Stock               963320106                     145         2,660    SH
Whitman Corp.                                  Common Stock               96647K102                      51         2,956    SH
Whitney Holding Corp.                          Common Stock               966612103                     197         5,350    SH
Whole Foods Market Inc                         Common Stock               966837106                     239         6,950    SH
Wiley John & Sons                              Common Stock               968223206                      13           300    SH
Willamette Inds                                Common Stock               969133107                      79         2,100    SH
Williams Coal Seam Gas Royalty Trust           Common Stock               969450105                      22         2,000    SH
Williams Companies Inc                         Common Stock               969457100                     649        16,429    SH
Williams Companies                             Preferred Stock            969457506                       9            50    SH
Wilmington Trust Corp. New                     Common Stock               971807102                      46           800    SH
Wind River Systems Inc                         Common Stock               973149107                      37         2,100    SH
Windmere-Durable Holdings Inc                  Common Stock               973411101                      40         5,650    SH
Winn Dixie Stores                              Common Stock               974280109                     248         6,626    SH
Winstar Communications Inc                     Common Stock               975515107                     155         4,260    SH
Winston Hotels Inc.                            Common Stock               97563A102                      32         4,020    SH
Wisconsin Energy Power                         Common Stock               976657106                     144         5,501    SH
Witco Corp.                                    Common Stock               977385103                       8           600    SH
Wolverine Tube Inc                             Common Stock               978093102                      21         1,000    SH
Wolverine World Wide                           Common Stock               978097103                       7           730    SH
Woodhead Industries Inc                        Common Stock               979438108                     214        22,060    SH
World Access Inc.                              Common Stock               98141A101                       2           200    SH
World Color Press Inc                          Common Stock               981443104                     701        33,000    SH
World Container Corp                           Common Stock               981447105                       0           950    SH
World Fuel Services Corp.                      Common Stock               981475106                       7           600    SH
Wrigley (WM) Jr Co                             Common Stock               982526105                     640         7,080    SH
Wyman Gordon Co                                Common Stock               983085101                      48         5,200    SH
XEBEC                                          Common Stock               983889106                       0           300    SH
Xircom Inc                                     Common Stock               983922105                       6           220    SH
Xerox Corp.                                    Common Stock               984121103                   3,002        56,243    SH
Xybernaut Corp                                 Common Stock               984149104                      10         2,000    SH
Xylan Corp.                                    Common Stock               984151100                       5           125    SH

Page Total:                                                                                           8,238

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Wesco Financial Corp.                                        X                                    0        100          0
West Marine Inc                                              X                                    0        100          0
West Penn Power Co                                           X                                    0        200          0
West Pharmaceutical Services                                 X                                    0        810          0
Westamerica Bancorp                                          X                                    0      1,000          0
Western Bancorp                                              X                                    0        200          0
Western Digital Corp.                                        X                                    0     58,730          0
Western Gas Resources, Inc.                                  X                                    0        200          0
Western Gas Resources Inc. Conv PFD                          X                                    0        300          0
Western Resources Inc                                        X                                    0     13,280          0
Western Wireless Corp Cl A                                   X                                    0      1,747          0
Westernbank Puerto Rico                                      X                                    0      1,587          0
Westpac Banking - Spon ADR                                   X                                    0        300          0
Westvaco Corp.                                               X                                    0      4,300          0
Wet Seal Inc Cl A                                            X                                    0        525          0
Weyerhaeuser Co.                                             X                                    0      5,513          0
Whirlpool Corp.                                              X                                    0      2,660          0
Whitman Corp.                                                X                                    0      2,956          0
Whitney Holding Corp.                                        X                                    0      5,350          0
Whole Foods Market Inc                                       X                                    0      6,950          0
Wiley John & Sons                                            X                                    0        300          0
Willamette Inds                                              X                                    0      2,100          0
Williams Coal Seam Gas Royalty Trust                         X                                    0      2,000          0
Williams Companies Inc                                       X                                    0     16,429          0
Williams Companies                                           X                                    0         50          0
Wilmington Trust Corp. New                                   X                                    0        800          0
Wind River Systems Inc                                       X                                    0      2,100          0
Windmere-Durable Holdings Inc                                X                                    0      5,650          0
Winn Dixie Stores                                            X                                    0      6,626          0
Winstar Communications Inc                                   X                                    0      4,260          0
Winston Hotels Inc.                                          X                                    0      4,020          0
Wisconsin Energy Power                                       X                                    0      5,501          0
Witco Corp.                                                  X                                    0        600          0
Wolverine Tube Inc                                           X                                    0      1,000          0
Wolverine World Wide                                         X                                    0        730          0
Woodhead Industries Inc                                      X                                    0     22,060          0
World Access Inc.                                            X                                    0        200          0
World Color Press Inc                                        X                                    0     33,000          0
World Container Corp                                         X                                    0        950          0
World Fuel Services Corp.                                    X                                    0        600          0
Wrigley (WM) Jr Co                                           X                                    0      7,080          0
Wyman Gordon Co                                              X                                    0      5,200          0
XEBEC                                                        X                                    0        300          0
Xircom Inc                                                   X                                    0        220          0
Xerox Corp.                                                  X                                    0     56,243          0
Xybernaut Corp                                               X                                    0      2,000          0
Xylan Corp.                                                  X                                    0        125          0
</TABLE>


<PAGE>
Page 62 of 63
<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
YPF Sociedad Anonima Sponsored ADR             ADR                        984245100                   1,044        33,085    SH
Yahoo Inc                                      Common Stock               984332106                     564         3,347    SH
Yankee Energy Systems Inc                      Common Stock               984779108                      36         1,562    SH
York Finl Corp.                                Common Stock               986630101                      23         1,575    SH
York International Inc                         Common Stock               986670107                   1,560        44,190    SH
Young & Rubicam Inc.                           Common Stock               987425105                      21           525    SH
Zapata Corp. New                               Common Stock               989070503                       9         1,000    SH
Zeneca Group PLC - Spons ADR                   ADR                        98934D106                       7           149    SH
Zions Bancorporation                           Common Stock               989701107                     144         2,158    SH
Zoran Corp.                                    Common Stock               98975F101                       2           100    SH
Zonagen Inc.                                   Common Stock               98975L108                      11           500    SH
Zweig Fund Inc                                 Common Stock               989834106                     123        11,630    SH
The Zweig Total Return Fd                      Common Stock               989837109                      83        10,030    SH
Zitel Corp.                                    Common Stock               989913108                       1           400    SH
McConnon & Co Ser A Pfd                        Preferred Stock            9901109A8                       0             3    SH
Lernout & Hauspie Speech Products N V          Common Stock               B5628B104                     332        11,050    SH
Deutsche Bank AG DM 5 PAR                      Foreign Stock              D000569                        75         1,450    SH
DaimlerChrysler A.G.                           ADR                        D1668R123                   1,642        19,133    SH
Guyanor Resources Ltd S A Cl B                 Common Stock               F47088103                       0            40    SH
ACE LTD                                        Common Stock               G0070K103                     270         8,645    SH
Amway Asia Pacific LTD                         Foreign Stock              G0352M108                       3           400    SH
Bear Stearns Finance LLC                       Limited Partner            G09198105                      30         1,200    SH
Coca-Cola Beverages PLC                        Common Stock               G2249L103                       2         1,200    SH
Elf Overseas Limited  7.875% Cum               Preferred Stock            G29974113                       5           187    SH
Fairchild Investments Ltd                      Common Stock               G32942107                       0           167    SH
Fruit of the Loom INC Cl-A                     Common Stock               G3682L105                      27         2,625    SH
Gemstar International Group LTD                Foreign Stock              G3788V106                      15           200    SH
Global Crossing Ltd.                           Common Stock               G3921A100                     234         5,050    SH
Globalstar Telecommunications LTD - OR         Common Stock               G3930H104                     121         8,700    SH
IPC Holdings Ltd                               Common Stock               G4933P101                      12           600    SH
Irdium World Communications Ltd Cl A           Common Stock               G49398103                      88         5,800    SH
Jardine Strategic Holdings Ltd                 Common Stock               G50764102                      34        20,000    SH
LaSalle RE Holding LTD 8.75%                   Preferred Stock            G5383Q119                     159         6,400    SH
Loral Space & Communications                   Common Stock               G56462107                     252        17,486    SH
Newscorp Overseas Limited 8.625% Cum           Preferred Stock            G6478B108                     415        16,600    SH
Renaissancere Holdings Ltd                     Common Stock               G7496G103                      14           400    SH
Rhone-Poulenc Overseas Limited                 Preferred Stock            G75495104                     116         4,450    SH
Santander Finance Ltd 8.125% PFD               Preferred Stock            G7804A210                      50         1,900    SH
Santander Finance 8.125%                       Preferred Stock            G7804A236                      27         1,000    SH
Santa Fe International Corp.                   Common Stock               G7805C108                      21         1,150    SH
Tommy Hilfiger Corp.                           Common Stock               G8915Z102                     100         1,450    SH
Triton Energy Limited                          Common Stock               G90751101                      50         6,324    SH
XL Capital Ltd - Class A                       Common Stock               G98255105                      35           576    SH
Xoma LTD                                       Common Stock               G9825R107                      15         5,000    SH
INVESCO Asia Trust                             Common Stock               H000379                        31        40,000    SH
Invesco Tokyo Trust                            Common Stock               H000381                        20        40,000    SH
Investors U S Gold                             Common Stock               H693020                         3            10    SH

Page Total:                                                                                           7,822

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
YPF Sociedad Anonima Sponsored ADR                           X                                    0     33,085          0
Yahoo Inc                                                    X                                    0      3,347          0
Yankee Energy Systems Inc                                    X                                    0      1,562          0
York Finl Corp.                                              X                                    0      1,575          0
York International Inc                                       X                                    0     44,190          0
Young & Rubicam Inc.                                         X                                    0        525          0
Zapata Corp. New                                             X                                    0      1,000          0
Zeneca Group PLC - Spons ADR                                 X                                    0        149          0
Zions Bancorporation                                         X                                    0      2,158          0
Zoran Corp.                                                  X                                    0        100          0
Zonagen Inc.                                                 X                                    0        500          0
Zweig Fund Inc                                               X                                    0     11,630          0
The Zweig Total Return Fd                                    X                                    0     10,030          0
Zitel Corp.                                                  X                                    0        400          0
McConnon & Co Ser A Pfd                                      X                                    0          3          0
Lernout & Hauspie Speech Products N V                        X                                    0     11,050          0
Deutsche Bank AG DM 5 PAR                                    X                                    0      1,450          0
DaimlerChrysler A.G.                                         X                                    0     19,133          0
Guyanor Resources Ltd S A Cl B                               X                                    0         40          0
ACE LTD                                                      X                                    0      8,645          0
Amway Asia Pacific LTD                                       X                                    0        400          0
Bear Stearns Finance LLC                                     X                                    0      1,200          0
Coca-Cola Beverages PLC                                      X                                    0      1,200          0
Elf Overseas Limited  7.875% Cum                             X                                    0        187          0
Fairchild Investments Ltd                                    X                                    0        167          0
Fruit of the Loom INC Cl-A                                   X                                    0      2,625          0
Gemstar International Group LTD                              X                                    0        200          0
Global Crossing Ltd.                                         X                                    0      5,050          0
Globalstar Telecommunications LTD - OR                       X                                    0      8,700          0
IPC Holdings Ltd                                             X                                    0        600          0
Irdium World Communications Ltd Cl A                         X                                    0      5,800          0
Jardine Strategic Holdings Ltd                               X                                    0     20,000          0
LaSalle RE Holding LTD 8.75%                                 X                                    0      6,400          0
Loral Space & Communications                                 X                                    0     17,486          0
Newscorp Overseas Limited 8.625% Cum                         X                                    0     16,600          0
Renaissancere Holdings Ltd                                   X                                    0        400          0
Rhone-Poulenc Overseas Limited                               X                                    0      4,450          0
Santander Finance Ltd 8.125% PFD                             X                                    0      1,900          0
Santander Finance 8.125%                                     X                                    0      1,000          0
Santa Fe International Corp.                                 X                                    0      1,150          0
Tommy Hilfiger Corp.                                         X                                    0      1,450          0
Triton Energy Limited                                        X                                    0      6,324          0
XL Capital Ltd - Class A                                     X                                    0        576          0
Xoma LTD                                                     X                                    0      5,000          0
INVESCO Asia Trust                                           X                                    0     40,000          0
Invesco Tokyo Trust                                          X                                    0     40,000          0
Investors U S Gold                                           X                                    0         10          0
</TABLE>

<PAGE>
Page 63 of 63<TABLE>
<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                    NAME OF REPORTING MANAGER:                       LEGG MASON WOOD WALKER (IMS)

                                                                                                FOR POSITIONS HELD AS OF 3/31/999


                   Item 1:                              Item 2:                  Item 3:            Item 4:         Item 5:
                Name of Issuer                       Title of Class           CUSIP Number      Fair Market Value  Shares or
                                                                                                   (X $1000)     Principal Amt.
- -----------------------------------------------------------------------------------------------------------------------------------
<S>                                           <C>                         <C>                           <C>         <C>      <C>
Stolt Comex Seaway SA                          Common Stock               L8873E103                       4           400    SH
Stolt Nielsen SA Ord                           Common Stock               L88742108                      28         2,574    SH
Check Point Software Tech Ltd                  Common Stock               M22465104                      10           225    SH
Gilat Satellite Networks Ltd Ord               Common Stock               M51474100                       8           135    SH
New Dimension Software Ltd Ord                 Common Stock               M74295102                      16           300    SH
ASM Lithography Holding NV                     ADR                        N07059111                     144         3,200    SH
Chicago Bridge & Iron Co NV                    Common Stock               N19808109                      11           900    SH
Elsag Bailey Process Automation N.V.           Common Stock               N2925S994                       8           215    SH
New Holland N.V.                               Foreign Stock              N62648105                       7           650    SH
Sapiens International Corp.                    Common Stock               N7716A102                      27         2,600    SH
Capital Re LLC 7.65% Cum Pfd                   Preferred Stock            P20578103                      25         1,000    SH
Cifra SA De CV Ser C New                       Common Stock               P26077134                       2         1,000    SH
Cifra SA De CV Ser V                           Common Stock               P26224108                       0           252    SH
Telefonica Cpt Peru Ser B                      Common Stock               P3179N127                      13         9,795    SH
J Ray McDermott S.A.                           Common Stock               P64658100                     125         4,200    SH
Pan American Beverages Inc.                    Common Stock               P74823108                      18         1,000    SH
Sun International Ltd Ord                      Common Stock               P8797T133                      16           480    SH
Texaco Capital LLC 6.875% Cum PFD Ser          Preferred Stock            P9132Z107                     129         5,250    SH
Texaco Capital Llc 6.4% Adj Rt                 Preferred Stock            P9132Z115                      25         1,200    SH
USX Capital LLC 8.75% Cum PFD Ser A            Preferred Stock            P96460103                      13           500    SH
Brierley Investments LTD                       Foreign Stock              Q17926108                       3        13,000    SH
Royal Carribean Cruise Ltd                     Common Stock               V7780T103                      16           400    SH
Teekay Shipping Corp.                          Foreign Stock              V89564104                     110         6,650    SH
Investor AB Stockholm                          Common Stock               W48102102                      24           550    SH
Swedish Exp Credit Corp. 7.20% PFD Ser         Preferred Stock            W92947246                      13           500    SH
Walnut Capital Partners LP                     Common Stock               WLNTLPZZZ                     400            16    SH
Merita OY - Ser A                              Foreign Stock              X5314G108                      11         2,000    SH
Bank of East Asia Ord                          Common Stock               Y06942109                       4         2,160    SH
Creative Technology Ordinary Shares            Common Stock               Y1775U107                     140        12,225    SH
Flextronics International Ltd                  Common Stock               Y2573F102                   6,119       119,986    SH

<CAPTION>
                                                                                                                1st Quarter 1999


                   FORM 13F                                                                              Run Date: 05/10/99
                                                                                                         ----------------------
                                                                                                         S.E.C. Use Only

                                                                                                         ----------------------
                   Item 1:                                     Item 6:               Item 7:              Item 8:
                Name of Issuer                                Investment Discretion   Other              Voting Authority (Shares)
                                                     (a) Sole (b)Shared  (c)Shared   Managers  (a) Sole  (b) Shared  (c) None
                                                                 as Def    Other
- ------------------------------------------     --------------------------------------------------------------------------------
<S>                                                         <C>                         <C>     <C>        <C>         <C>
Stolt Comex Seaway SA                                        X                                    0        400          0
Stolt Nielsen SA Ord                                         X                                    0      2,574          0
Check Point Software Tech Ltd                                X                                    0        225          0
Gilat Satellite Networks Ltd Ord                             X                                    0        135          0
New Dimension Software Ltd Ord                               X                                    0        300          0
ASM Lithography Holding NV                                   X                                    0      3,200          0
Chicago Bridge & Iron Co NV                                  X                                    0        900          0
Elsag Bailey Process Automation N.V.                         X                                    0        215          0
New Holland N.V.                                             X                                    0        650          0
Sapiens International Corp.                                  X                                    0      2,600          0
Capital Re LLC 7.65% Cum Pfd                                 X                                    0      1,000          0
Cifra SA De CV Ser C New                                     X                                    0      1,000          0
Cifra SA De CV Ser V                                         X                                    0        252          0
Telefonica Cpt Peru Ser B                                    X                                    0      9,795          0
J Ray McDermott S.A.                                         X                                    0      4,200          0
Pan American Beverages Inc.                                  X                                    0      1,000          0
Sun International Ltd Ord                                    X                                    0        480          0
Texaco Capital LLC 6.875% Cum PFD Ser                        X                                    0      5,250          0
Texaco Capital Llc 6.4% Adj Rt                               X                                    0      1,200          0
USX Capital LLC 8.75% Cum PFD Ser A                          X                                    0        500          0
Brierley Investments LTD                                     X                                    0     13,000          0
Royal Carribean Cruise Ltd                                   X                                    0        400          0
Teekay Shipping Corp.                                        X                                    0      6,650          0
Investor AB Stockholm                                        X                                    0        550          0
Swedish Exp Credit Corp. 7.20% PFD Ser                       X                                    0        500          0
Walnut Capital Partners LP                                   X                                    0         16          0
Merita OY - Ser A                                            X                                    0      2,000          0
Bank of East Asia Ord                                        X                                    0      2,160          0
Creative Technology Ordinary Shares                          X                                    0     12,225          0
Flextronics International Ltd                                X                                    0    119,986          0
















Page Total:                                                                                           7,465


Grand Total:                                                                                      1,429,611
</TABLE>


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