U S GLOBAL INVESTORS INC
13F-HR/A, 2000-03-01
INVESTMENT ADVICE
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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               FORM 13F COVER PAGE

        Report for the Calendar Year or Quarter Ended: December 31, 1999

Check here if Amendment: [X] Amendment Number: 1
    This Amendment (Check only one.):
    [X] is a restatement.
    [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
    Name:    U.S. Global Investors, Inc.
    Address: 7900 Callaghan Road
             San Antonio, TX 78229

13F File Number:  028-02220

     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:     Susan B. McGee
     Title:    President, General Counsel
     Phone:    210-308-1234

               /S/ Susan B. McGee
               ------------------
               San Antonio, TX
               March 1, 2000

Report Type (Check only one.):

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

List of Other Managers Reporting for this Manager: None

<PAGE>

                        FORM 13F SUMMARY PAGE

                           REPORT SUMMARY:

Number of Other Included Managers:              3
Form 13F Information Table Entry Total:       482
Form 13F Information Table Value Total:  $311,846 (thousands)

List of Other Included Managers:

     NO.       13F FILE NUMBER:         NAME:
     ---       ---------------          ---------------------------
     01        Unknown                  Goodman & Co.
     02        Unknown                  Bonnel, Inc.
     03        Unknown                  Money Growth Institute, Inc.

<PAGE>

<TABLE>
<CAPTION>
                                                     FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2  COLUMN 3    COLUMN 4           COLUMN 5            COLUMN 6   COLUMN 7          COLUMN 8
- ------------------------    --------  ---------   --------   -------------------------   --------   --------   ---------------------
                                                              SHARES                                              VOTING AUTHORITY
                            TITLE OF               VALUE        OR                PUT/   INVESTMT    OTHER     ---------------------
     NAME OF ISSUER          CLASS     CUSIP      (x$1000)    PRN AMT     SH/PRN  CALL   DISCRETN   MANAGERS     SOLE   SHARED  NONE
- ------------------------    --------  ---------   --------   ---------    ------  ----   --------   --------   -------- ------  ----
<S>                         <C>       <C>          <C>       <C>            <C>          <C>           <C>     <C>
ABBOTT LABORATORIES         CMN STK   002824100      643        17,500      SH           SOLE                     17,500
ABER RESOURCES LTD          CMN STK   002916104      528        57,400      SH           SOLE                     57,400
ABER RESOURCES LTD          CMN STK   002916104      270        29,400      SH           SOLE                     29,400
ABERCROMBIE & FITCH CO
  CL A                      CMN STK   002896207      273         8,000      SH           SOLE                      8,000
ACACIA RESOURCES            CMN STK   003881109    2,937     1,037,795      SH           SOLE                  1,037,795
ACACIA RESOURCES            CMN STK   003881109    6,370     2,250,974      SH           SOLE                  2,250,974
ADVANCED DIGITAL INFOR-
  MATION                    CMN STK   007525108      834        30,000      SH           DEFINED       2          30,000
ADVENT SOFTWARE INC         CMN STK   007974108    2,801        45,000      SH           DEFINED       2          45,000
AES CORP                    CMN STK   00130H105       24           400      SH           SOLE                        400
AGNICO EAGLE MINES LTD      CMN STK   008474108       66         5,800      SH           SOLE                      5,800
AIR PRODUCTS & CHEMICAL     CMN STK   009158106       15           500      SH           SOLE                        500
AK STEEL HOLDING CORP       CMN STK   001547108       49         2,700      SH           SOLE                      2,700
ALBERMARLE CORP             CMN STK   012653101       52         2,600      SH           SOLE                      2,600
ALBERTSONS INC              CMN STK   013104104       24           600      SH           SOLE                        600
ALCOA INC                   CMN STK   013817101      372         6,000      SH           SOLE                      6,000
ALCOA INC                   CMN STK   013817101       56           900      SH           SOLE                        900
ALLIEDSIGNAL INC            CMN STK   019512102      132         2,200      SH           SOLE                      2,200
ALLIEDSIGNAL INC            CMN STK   019512102       78         1,300      SH           SOLE                      1,300
ALLIEDSIGNAL INC            CMN STK   019512102      450         7,500      SH           DEFINED       3           7,500
ALLSTATE CORP               CMN STK   020002101      164         6,594      SH           SOLE                      6,594
ALLSTATE CORP               CMN STK   020002101       47         1,900      SH           SOLE                      1,900
AMB PROPERTY CORP           CMN STK   00163T109      106         5,000      SH           DEFINED       1           5,000
AMERADA HESS                CMN STK   023551104      123         2,000      SH           SOLE                      2,000
AMERICAN EXPRESS            CMN STK   025816109      696         5,170      SH           SOLE                      5,170
AMERICAN GENERAL CORP       CMN STK   026351106       38           600      SH           SOLE                        600
AMERICAN HOME PRODUCTS      CMN STK   026609107      183         4,400      SH           SOLE                      4,400
AMERICAN INTERNATIONAL
  GROUP                     CMN STK   026874107    1,141        13,125      SH           SOLE                     13,125
AMERICAN PWR CONVERSION
  CORP                      CMN STK   029066107    1,140        60,000      SH           DEFINED       2          60,000
AMERITECH CORP              CMN STK   030954101      511         7,600      SH           SOLE                      7,600
AMGEN INC                   CMN STK   031162100    2,690        33,000      SH           DEFINED       2          33,000
ANADARKO PETE CORP          CMN STK   032511107      122         4,000      SH           SOLE                      4,000
ANGLOGOLD LIMITED SPON
  ADR                       CMN STK   035128206      641        20,400      SH           SOLE                     20,400
ANHEUSER BUSCH INC          CMN STK   035229103      140         2,000      SH           SOLE                      2,000
APACHE CORP                 CMN STK   037411105       86         2,000      SH           SOLE                      2,000
APARTMENT INVT & MGMT
  CO CL A                   CMN STK   03748R101      344         9,000      SH           DEFINED       1           9,000
APPLE COMPUTER INC          CMN STK   037833100      380         6,000      SH           SOLE                      6,000
APPLIED MATERIALS INC       CMN STK   038222105       70           900      SH           SOLE                        900
APPLIED MATERIALS INC       CMN STK   038222105      545         7,000      SH           DEFINED       2           7,000
ARCH CHEMICAL INC           CMN STK   03937R102      243        15,000      SH           DEFINED       3          15,000
ASA LIMITED                 CMN STK   002050102      641        30,700      SH           SOLE                     30,700
ASHANTI GOLDFIELDS GDR      CMN STK   043743202    1,871       237,600      SH           SOLE                    237,600
ASHANTI GOLDFIELDS GDR      CMN STK   043743202    4,723       599,800      SH           SOLE                    599,800
ASSOCIATES FIRST CAP
  CORP CL A                 CMN STK   046008108      327         9,096      SH           SOLE                      9,096
AT & T CORP/LIBERTY
  MEDIA/CL A                CMN STK   001957208       92         2,474      SH           SOLE                      2,474
AT&T CORP                   CMN STK   001957109    1,183        27,202      SH           SOLE                     27,202
AT&T CORP                   CMN STK   001957109      319         7,324      SH           SOLE                      7,324
ATLANTIC RICHFIELD CO.      CMN STK   048825103      390         4,400      SH           SOLE                      4,400
AUTOMATIC DATA
  PROCESSING INC            CMN STK   053015103       89         2,000      SH           SOLE                      2,000
AUTOZONE INC                CMN STK   053332102       84         3,000      SH           SOLE                      3,000
AUTOZONE INC                CMN STK   053332102      337        12,000      SH           DEFINED       3          12,000
AVANT CORP                  CMN STK   053487104    1,249        70,000      SH           DEFINED       2          70,000
AZURIX CORP                 CMN STK   05501M104       17         1,000      SH           SOLE                      1,000
BAKER HUGHES                CMN STK   057224107      116         4,000      SH           SOLE                      4,000
BANK OF AMERICA CORP        CMN STK   060505104      490         8,800      SH           SOLE                      8,800
BANK OF AMERICA CORP        CMN STK   060505104      223         4,000      SH           SOLE                      4,000
BANK OF NEW YORK CO INC     CMN STK   064057102       67         2,000      SH           SOLE                      2,000
BANK OF NEW YORK CO INC     CMN STK   064057102       60         1,800      SH           SOLE                      1,800
BANK OF NEW YORK CO INC     CMN STK   064057102      334        10,000      SH           DEFINED       3          10,000
BANK ONE CORP               CMN STK   06423A103      224         6,436      SH           SOLE                      6,436
BANK ONE CORP               CMN STK   06423A103      139         4,000      SH           SOLE                      4,000
BANKBOSTON CORP             CMN STK   06605R106       22           500      SH           SOLE                        500
BARRICK GOLD CORPORATION    CMN STK   067901108      639        20,000      SH           SOLE                     20,000
BARRICK GOLD CORPORATION    CMN STK   067901108       39         1,800      SH           SOLE                      1,800
BARRICK GOLD CORPORATION    CMN STK   067901108    4,568       210,000      SH           SOLE                    210,000
BARRICK GOLD CORPORATION    CMN STK   067901108    8,156       375,000      SH           SOLE                    375,000
BATTLE MOUNTAIN GOLD CO     CMN STK   071593107      703       216,250      SH           SOLE                    216,250
BATTLE MOUNTAIN GOLD CO     CMN STK   071593107    1,881       578,750      SH           SOLE                    578,750
BAXTER INTL INC             CMN STK   071813109       66         1,100      SH           SOLE                      1,100
BELL ATLANTIC CORP          CMN STK   077853109      391         5,810      SH           SOLE                      5,810
BELL ATLANTIC CORP          CMN STK   077853109      243         3,604      SH           SOLE                      3,604
BELLSOUTH CORP              CMN STK   079860102      414         9,200      SH           SOLE                      9,200
BELLSOUTH CORP              CMN STK   079860102      198         4,400      SH           SOLE                      4,400
BERKSHIRE HATHAWAY INC      CMN STK   084670108    1,650            30      SH           DEFINED       3              30
BIOGEN INC                  CMN STK   090597105      158         2,000      SH           SOLE                      2,000
BIOGEN INC                  CMN STK   090597105    3,153        40,000      SH           DEFINED       2          40,000
BIOMATRIX INC               CMN STK   09060P102      337        15,000      SH           DEFINED       2          15,000
BIOVAIL CORP INTL           CMN STK   09067K106    1,827        36,000      SH           DEFINED       2          36,000
BLACK & DECKER CORP         CMN STK   091797100       23           500      SH           SOLE                        500
BOEING CO                   CMN STK   097023105      211         4,950      SH           SOLE                      4,950
BOEING CO                   CMN STK   097023105       98         2,300      SH           SOLE                      2,300
BOISE CASCADE CORP          CMN STK   097383103       91         2,500      SH           SOLE                      2,500
BOSTON PROPERTIES INC       CMN STK   101121101      153         5,000      SH           DEFINED       1           5,000
BOWATER INC                 CMN STK   102183100       53         1,000      SH           SOLE                      1,000
BP AMOCO PLC SPON ADR       CMN STK   055622104      222         2,000      SH           SOLE                      2,000
BP AMOCO PLC SPON ADR       CMN STK   055622104       28           249      SH           SOLE                        249
BRE PROPERTIES INC CL A     CMN STK   05564E106      311        13,000      SH           DEFINED       3          13,000
BRISTOL-MYERS SQUIBB CO     CMN STK   110122108      473         7,000      SH           SOLE                      7,000
BROOKFIELD PROPERTIES
  CORP                      CMN STK   112900105      423        24,500      SH           DEFINED       1          24,500
BURLINGTON NORTH
  SANTA FE CORP             CMN STK   12189T104       28         1,000      SH           SOLE                      1,000
CABLE & WIRELESS HKT LTD    CMN STK   126828102    1,484        87,540      SH           SOLE                     87,540
CAMBIOR INC                 CMN STK   13201L103      758       150,000      SH           SOLE                    150,000
CAMBIOR INC                 CMN STK   13201L103    2,525       500,000      SH           SOLE                    500,000
CAPITAL TRUST CL A          CMN STK   14052H100      199        40,400      SH           DEFINED       1          40,400
CARNIVAL CORPORATION
  CL A                      CMN STK   143658102       61         1,400      SH           SOLE                      1,400
CATERPILLAR INC DEL         CMN STK   149123101      175         3,200      SH           SOLE                      3,200
CATERPILLAR INC DEL         CMN STK   149123101       44           800      SH           SOLE                        800
CBS CORPORATION             CMN STK   12490K107       79         1,700      SH           SOLE                      1,700
CDW COMPUTER CENTERS INC    CMN STK   125129106    1,075        22,000      SH           DEFINED       2          22,000
CENDANT CORPORATION         CMN STK   151313103      195        11,000      SH           SOLE                     11,000
CENTRAL & SOUTH WEST
  CORP                      CMN STK   152357109       53         2,500      SH           SOLE                      2,500
CENTRAL EUROPEAN GROWTH
  FUND                      CMN STK   153436100      187       440,000      SH           SOLE                    440,000
CHAMPION INTERNATIONAL      CMN STK   158525105       87         1,700      SH           SOLE                      1,700
CHASE MANHATTAN CORP        CMN STK   16161A108      475         6,300      SH           SOLE                      6,300
CHASE MANHATTAN CORP        CMN STK   16161A108      151         2,000      SH           SOLE                      2,000
CHASE MANHATTAN CORP        CMN STK   16161A108      415         5,500      SH           DEFINED       3           5,500
CHEVRON CORP                CMN STK   166751107      772         8,700      SH           SOLE                      8,700
CHEVRON CORP                CMN STK   166751107      231         2,600      SH           SOLE                      2,600
CHEVRON CORP                CMN STK   166751107      133         1,500      SH           SOLE                      1,500
CHINA TELECOM HK LTD
  SPONS ADR                 CMN STK   169428109      309         5,000      SH           SOLE                      5,000
CHOICEPOINT INC             CMN STK   170388102      202         3,000      SH           SOLE                      3,000
CIBER INC                   CMN STK   17163B102      306        20,000      SH           DEFINED       3          20,000
CIGNA CORP.                 CMN STK   17179X106       39           500      SH           SOLE                        500
CISCO SYSTEMS INC           CMN STK   17275R102      994        14,500      SH           SOLE                     14,500
CISCO SYSTEMS INC           CMN STK   17275R102      411         6,000      SH           DEFINED       3           6,000
CISCO SYSTEMS INC           CMN STK   17275R102    4,114        60,000      SH           DEFINED       2          60,000
CITIGROUP INC               CMN STK   172967101      719        16,350      SH           SOLE                     16,350
CITIGROUP INC               CMN STK   172967101      132         3,000      SH           SOLE                      3,000
CITRIX SYSTEMS INC          CMN STK   177376100    2,044        33,000      SH           DEFINED       2          33,000
CLAIRES STORES INC          CMN STK   179584107      133         8,000      SH           SOLE                      8,000
CLARIFY INC                 CMN STK   180492100    1,761        35,000      SH           DEFINED       2          35,000
CLEAR CHANNEL COMMUNI-
  CATIONS                   CMN STK   184502102      128         1,600      SH           SOLE                      1,600
CLEAR CHANNEL COMMUNI-
  CATIONS                   CMN STK   184502102      399         5,000      SH           DEFINED       2           5,000
COCA COLA CO COM            CMN STK   191216100      649        13,500      SH           SOLE                     13,500
COLGATE PALMOLIVE           CMN STK   194162103      128         2,800      SH           SOLE                      2,800
COLORADO MEDTECH INC        CMN STK   19652U104       72         5,000      SH           DEFINED       2           5,000
COLUMBIA/HCA HEALTHCARE
  CORP                      CMN STK   197677107       76         3,600      SH           SOLE                      3,600
COLUMBIA/HCA HEALTHCARE
  CORP                      CMN STK   197677107       28         1,300      SH           SOLE                      1,300
COMINCO LTD                 CMN STK   200435105      108         4,500      SH           SOLE                      4,500
COMPAQ COMPUTER CORP        CMN STK   204493100      252        11,000      SH           SOLE                     11,000
COMPAQ COMPUTER CORP        CMN STK   204493100       92         4,000      SH           SOLE                      4,000
COMPUTER ASSOC INTL INC     CMN STK   204912109      306         5,000      SH           SOLE                      5,000
COMPUTER ASSOC INTL INC     CMN STK   204912109      613        10,000      SH           DEFINED       2          10,000
COMPUWARE CORP              CMN STK   205638109      209         8,000      SH           SOLE                      8,000
CONCORD COMMUNICATIONS
  INC                       CMN STK   206186108    1,431        36,000      SH           DEFINED       2          36,000
CONCORD EFS INC             CMN STK   206197105    1,238        60,000      SH           DEFINED       2          60,000
CONEXANT SYSTEMS INC        CMN STK   207142100       73         1,000      SH           SOLE                      1,000
CONOCO INC CL B WI          CMN STK   208251405      293        10,700      SH           SOLE                     10,700
CONOCO INC CL B WI          CMN STK   208251405      104         3,800      SH           SOLE                      3,800
CONOCO INC CL B WI          CMN STK   208251405       41         1,500      SH           SOLE                      1,500
CONSECO INC                 CMN STK   208464107      222        11,500      SH           SOLE                     11,500
CONSECO INC                 CMN STK   208464107       19         1,000      SH           SOLE                      1,000
CONSOLIDATED EDISON INC     CMN STK   209115104       21           500      SH           SOLE                        500
CONSOLIDATED GRAPHICS
  INC                       CMN STK   209341106      211         5,000      SH           DEFINED       2           5,000
COSTCO WHOLESALE CORP       CMN STK   22160K105       36           500      SH           SOLE                        500
CRESCENT REAL ESTATE
  EQUITIES                  CMN STK   225756105      301        16,700      SH           DEFINED       3          16,700
DAYTON MINING
  CORPORATION               CMN STK   239902109      923    11,250,000      SH           SOLE                 11,250,000
DAYTON MINING
  CORPORATION               CMN STK   239902109    2,548    31,068,000      SH           SOLE                 31,068,000
DELL COMPUTER CORP          CMN STK   247025109       42         1,000      SH           SOLE                      1,000
DELL COMPUTER CORP          CMN STK   247025109      836        20,000      SH           DEFINED       2          20,000
DELPHI AUTOMOTIVE
  SYSTEMS                   CMN STK   247126105       34         2,096      SH           SOLE                      2,096
DELPHI AUTOMOTIVE
  SYSTEMS                   CMN STK   247126105       21         1,300      SH           SOLE                      1,300
DIA MET MINERALS LTD
  CL B/CAD/                 CMN STK   25243K307    1,560        60,000      SH           SOLE                     60,000
DIA MET MINERALS LTD
  CL B/CAD/                 CMN STK   25243K307    1,040        40,000      SH           SOLE                     40,000
DIAMOND OFFSHORE
  DRILLING INC              CMN STK   25271C102       73         2,200      SH           SOLE                      2,200
DIAMOND OFFSHORE
  DRILLING INC              CMN STK   25271C102      167         5,000      SH           SOLE                      5,000
DIAMOND OFFSHORE
  DRILLING INC              CMN STK   25271C102      584        17,500      SH           DEFINED       3          17,500
DIEBOLD INC                 CMN STK   253651103       23         1,000      SH           SOLE                      1,000
DISNEY WALT CO              CMN STK   254687106      287        11,100      SH           SOLE                     11,100
DOW CHEMICAL CO             CMN STK   260543103      341         3,000      SH           SOLE                      3,000
DOW CHEMICAL CO             CMN STK   260543103       23           200      SH           SOLE                        200
DOW CHEMICAL CO             CMN STK   260543103       57           500      SH           SOLE                        500
DU PONT (EI) DE NEMOURS     CMN STK   263534109      872        14,330      SH           SOLE                     14,330
DU PONT (EI) DE NEMOURS     CMN STK   263534109      268         4,400      SH           SOLE                      4,400
DU PONT (EI) DE NEMOURS     CMN STK   263534109       67         1,100      SH           SOLE                      1,100
DUKE REALTY INVESTMENTS     CMN STK   264411505      135         6,900      SH           SOLE                      6,900
DUN & BRADSTREET
  CORP DEL                  CMN STK   26483B106       60         2,000      SH           SOLE                      2,000
E M C CORP MASS             CMN STK   268648102    2,429        34,000      SH           DEFINED       2          34,000
E TEK DYNAMICS INC          CMN STK   269240107    2,062        38,000      SH           DEFINED       2          38,000
EASTMAN CHEMICAL            CMN STK   277432100       56         1,400      SH           SOLE                      1,400
EASTMAN KODAK               CMN STK   277461109      249         3,300      SH           SOLE                      3,300
ECOLAB INC                  CMN STK   278865100       85         2,500      SH           SOLE                      2,500
EDISON INTERNATIONAL        CMN STK   281020107       19           800      SH           SOLE                        800
EDPERBRASCAN CORP CL A      CMN STK   280905803      341        16,400      SH           DEFINED       1          16,400
EL PASO ENERGY CORP         CMN STK   283905107      127         3,200      SH           SOLE                      3,200
ELAN CORP ADR               CMN STK   284131208      436        13,000      SH           DEFINED       3          13,000
ELECTRONICS FOR
  IMAGING INC               CMN STK   286082102      771        15,000      SH           DEFINED       2          15,000
ELF AQUITANE SP ADR         CMN STK   286269105      119         1,300      SH           SOLE                      1,300
ELI LILLY & CO              CMN STK   532457108      544         8,496      SH           SOLE                      8,496
EMERSON ELECTRIC CORP       CMN STK   291011104      114         1,800      SH           SOLE                      1,800
ENRON CORP                  CMN STK   293561106      561        13,600      SH           SOLE                     13,600
ENRON CORP                  CMN STK   293561106      268         6,500      SH           SOLE                      6,500
ENRON CORP                  CMN STK   293561106      206         5,000      SH           SOLE                      5,000
ENSCO INTERNATIONAL INC     CMN STK   26874Q100       54         3,000      SH           SOLE                      3,000
EOG RESOURCES               CMN STK   26875P101       36         1,700      SH           SOLE                      1,700
EOG RESOURCES               CMN STK   26875P101      106         5,000      SH           SOLE                      5,000
EQUIFAX INC                 CMN STK   294429105      141         5,000      SH           SOLE                      5,000
EQUITY OFFICE PROPER-
  TIES TR                   CMN STK   294741103      302        13,000      SH           DEFINED       1          13,000
EQUITY RESIDENT
  PROPERTY TRUST            CMN STK   29476L107       85         2,000      SH           DEFINED       1           2,000
ETHAN ALLEN INTERIORS
  INC                       CMN STK   297602104      700        22,000      SH           DEFINED       2          22,000
EXXON CORP                  CMN STK   302290101    2,802        36,900      SH           SOLE                     36,900
EXXON CORP                  CMN STK   302290101      289         3,800      SH           SOLE                      3,800
EXXON CORP                  CMN STK   302290101      425         5,600      SH           SOLE                      5,600
FACTSET RESH SYS INC        CMN STK   303075105    1,393        24,500      SH           DEFINED       2          24,500
FANNIE MAE                  CMN STK   313586109    1,379        22,000      SH           SOLE                     22,000
FANNIE MAE                  CMN STK   313586109      150         2,400      SH           SOLE                      2,400
FANNIE MAE                  CMN STK   313586109      251         4,000      SH           DEFINED       3           4,000
FDX CORP                    CMN STK   31304N107       27           700      SH           SOLE                        700
FEDERATED INVESTORS
  INC CL B                  CMN STK   314211103      243        14,100      SH           SOLE                     14,100
FIFTH THIRD BANCORP         CMN STK   316773100       37           600      SH           SOLE                        600
FIRST DATA CORP             CMN STK   319963104      219         5,000      SH           SOLE                      5,000
FIRST DATA CORP             CMN STK   319963104       44         1,000      SH           SOLE                      1,000
FIRST DATA CORP             CMN STK   319963104    1,097        25,000      SH           DEFINED       2          25,000
FIRST UNION CORP            CMN STK   337358105       82         2,300      SH           SOLE                      2,300
FORD MOTOR CO.              CMN STK   345370100      100         2,000      SH           SOLE                      2,000
FORD MOTOR CO.              CMN STK   345370100       50         1,000      SH           SOLE                      1,000
FOSSIL INC                  CMN STK   349882100    1,664        61,500      SH           DEFINED       2          61,500
FREDDIE MAC COMMON          CMN STK   313400301      302         5,800      SH           SOLE                      5,800
FREEPORT MCMORAN
  COPPER & GOLD B           CMN STK   35671D857       93         6,000      SH           SOLE                      6,000
FREEPORT MCMORAN
  COPPER & GOLD B           CMN STK   35671D857      685        44,000      SH           SOLE                     44,000
FREEPORT MCMORAN
  COPPER & GOLD B           CMN STK   35671D857    2,723       175,000      SH           SOLE                    175,000
GAP INC                     CMN STK   364760108      160         5,000      SH           DEFINED       2           5,000
GARDEN RIDGE CORP           CMN STK   36541P104       44         6,000      SH           SOLE                      6,000
GARTNER GROUP               CMN STK   366651107       96         6,000      SH           SOLE                      6,000
GENERAL ELECTRIC CO         CMN STK   369604103    2,407        20,300      SH           SOLE                     20,300
GENERAL ELECTRIC CO         CMN STK   369604103    1,778        15,000      SH           DEFINED       2          15,000
GENERAL MOTORS CORP         CMN STK   370442105       63         1,000      SH           SOLE                      1,000
GENERAL MOTORS CORP         CMN STK   370442105       63         1,000      SH           SOLE                      1,000
GENTEX CORP                 CMN STK   371901109      413        20,000      SH           DEFINED       2          20,000
GENZYME CORP-GENERAL
  DIVISION                  CMN STK   372917104    1,352        30,000      SH           DEFINED       2          30,000
GEORGIA PACIFIC CORP        CMN STK   373298108      138         3,400      SH           SOLE                      3,400
GILLETTE CO                 CMN STK   375766102       95         2,800      SH           SOLE                      2,800
GLAMIS GOLD LTD             CMN STK   376775102    2,800       800,000      SH           SOLE                    800,000
GLENBOROUGH RLTY TR INC     CMN STK   37803P105      259        15,700      SH           DEFINED       1          15,700
GLOBAL MARINE INC           CMN STK   379352404       58         3,500      SH           SOLE                      3,500
GLOBAL MARINE INC           CMN STK   379352404      132         8,000      SH           SOLE                      8,000
GOLD FIELDS LTD SPON ADR    CMN STK   38059T106      116        25,000      SH           SOLE                     25,000
GOLDCORP INC CL A SUB VTG   CMN STK   380956102    2,425       250,000      SH           SOLE                    250,000
GOLDCORP INC CL A SUB VTG   CMN STK   380956102    7,275       750,000      SH           SOLE                    750,000
GTE CORP                    CMN STK   362320103      461         6,000      SH           SOLE                      6,000
GTE CORP                    CMN STK   362320103      154         2,000      SH           SOLE                      2,000
GUIDANT CORP                CMN STK   401698105       76         1,408      SH           SOLE                      1,408
HALLIBURTON CO              CMN STK   406216101      328         8,000      SH           SOLE                      8,000
HALLIBURTON CO              CMN STK   406216101       41         1,000      SH           SOLE                      1,000
HALLIBURTON CO              CMN STK   406216101       41         1,000      SH           SOLE                      1,000
HA-LO INDS INC              CMN STK   404429102       63        10,000      SH           SOLE                     10,000
HARMONIC LIGHTWAVES INC     CMN STK   413160102    2,616        20,000      SH           DEFINED       2          20,000
HARMONY GOLD MINING         CMN STK   413216300    2,472       346,300      SH           SOLE                    346,300
HARTFORD FINL SVCS
  GROUP INC                 CMN STK   416515104      196         4,800      SH           SOLE                      4,800
HASBRO INC                  CMN STK   418056107      236        11,000      SH           SOLE                     11,000
HASBRO INC                  CMN STK   418056107       21         1,000      SH           SOLE                      1,000
HEINZ (HJ) CO               CMN STK   423074103       65         1,500      SH           SOLE                      1,500
HELMERICH & PAYNE           CMN STK   423452101       25         1,000      SH           SOLE                      1,000
HEWLETT PACKARD CO          CMN STK   428236103      368         4,000      SH           SOLE                      4,000
HEWLETT PACKARD CO          CMN STK   428236103      221         2,400      SH           SOLE                      2,400
HEWLETT PACKARD CO          CMN STK   428236103      506         5,500      SH           DEFINED       3           5,500
HIGHWOODS PPTYS INC         CMN STK   431284108      259        10,000      SH           DEFINED       1          10,000
HOME DEPOT INC              CMN STK   437076102      714        10,400      SH           SOLE                     10,400
HOME DEPOT INC              CMN STK   437076102      343         5,000      SH           DEFINED       3           5,000
HOME DEPOT INC              CMN STK   437076102    1,578        23,000      SH           DEFINED       2          23,000
HOMESTAKE MINING            CMN STK   437614100      735        80,000      SH           SOLE                     80,000
HOMESTAKE MINING            CMN STK   437614100    3,308       360,000      SH           SOLE                    360,000
HORMEL FOODS CORP           CMN STK   440452100      207         5,000      SH           DEFINED       2           5,000
HOUSEHOLD INTERNATIONAL
  INC                       CMN STK   441815107       40         1,000      SH           SOLE                      1,000
HSBC HOLDINGS PLC           CMN STK   404280406    5,975       180,000      SH           SOLE                    180,000
HUANENG POWER INTL ADR      CMN STK   443304100      498        40,000      SH           SOLE                     40,000
HUMANA INC                  CMN STK   444859102       62         9,000      SH           SOLE                      9,000
ILLINOIS TOOL WORKS         CMN STK   452308109       75         1,000      SH           SOLE                      1,000
INCO LTD                    CMN STK   453258402      171         8,000      SH           SOLE                      8,000
INFINITY BROADCASTING
  CORP A                    CMN STK   45662S102       44         1,500      SH           SOLE                      1,500
INGERSOLL RAND              CMN STK   456866102       27           500      SH           SOLE                        500
INTEL CORP                  CMN STK   458140100    1,269        17,080      SH           SOLE                     17,080
INTEL CORP                  CMN STK   458140100      446         6,000      SH           DEFINED       3           6,000
INTEL CORP                  CMN STK   458140100    2,304        31,000      SH           DEFINED       2          31,000
INTERNATIONAL BUSINESS
  MACHINES                  CMN STK   459200101    1,384        11,400      SH           SOLE                     11,400
INTERNATIONAL BUSINESS
  MACHINES                  CMN STK   459200101    2,428        20,000      SH           DEFINED       2          20,000
INTERNATIONAL PAPER CO      CMN STK   460146103      216         4,500      SH           SOLE                      4,500
ITT INDUSTRIES              CMN STK   450911102       13           400      SH           SOLE                        400
JDS UNIPHASE CORP           CMN STK   46612J101    3,414        30,000      SH           DEFINED       2          30,000
JILIAN CHEMICAL IND
  H SHS                     CMN STK   477418107    2,077     2,308,000      SH           SOLE                  2,308,000
JOHNSON & JOHNSON           CMN STK   478160104      919        10,000      SH           SOLE                     10,000
JOHNSON & JOHNSON           CMN STK   478160104    2,297        25,000      SH           DEFINED       2          25,000
JOHNSON CTLS INC            CMN STK   478366107      663        10,000      SH           DEFINED       2          10,000
K MART CORP                 CMN STK   482584109      187        16,000      SH           SOLE                     16,000
KAUFMAN & BROAD HOME
  CORP                      CMN STK   486168107       21         1,000      SH           SOLE                      1,000
KELLOGG CO                  CMN STK   487836108       67         1,800      SH           SOLE                      1,800
KERR MCGEE CORP             CMN STK   492386107      110         2,000      SH           SOLE                      2,000
KEYCORP NEW                 CMN STK   493267108       13           500      SH           SOLE                        500
KIMCO REALTY CORP           CMN STK   49446R109      179         5,000      SH           DEFINED       1           5,000
KRONOS INC                  CMN STK   501052104      734        20,000      SH           DEFINED       2          20,000
K-SWISS CLASS A             CMN STK   482686102      947        30,000      SH           DEFINED       2          30,000
LEGATO SYSTEMS INC          CMN STK   524651106    1,918        44,000      SH           DEFINED       2          44,000
LEGG MASON INC              CMN STK   524901105      383        10,000      SH           DEFINED       2          10,000
LEXMARK INTL GROUP INC
  CL A                      CMN STK   529771107    1,208        15,000      SH           DEFINED       2          15,000
LIBERTY PPTY TR SH BEN
  INTL                      CMN STK   531172104      227        10,000      SH           DEFINED       1          10,000
LIMITED INC                 CMN STK   532716107       19           500      SH           SOLE                        500
LIZ CLAIBORNE               CMN STK   539320101      155         5,000      SH           DEFINED       2           5,000
LOWES COMPANIES             CMN STK   548661107      410         8,400      SH           SOLE                      8,400
LOWES COMPANIES             CMN STK   548661107       49         1,000      SH           SOLE                      1,000
LUCENT TECHNOLOGIES INC     CMN STK   549463107      779        12,000      SH           SOLE                     12,000
LUCENT TECHNOLOGIES INC     CMN STK   549463107    1,622        25,000      SH           DEFINED       2          25,000
MACK CALI REALTY CORP       CMN STK   554489104      215         8,000      SH           DEFINED       1           8,000
MACROVISION CORP            CMN STK   555904101    2,219        50,000      SH           DEFINED       2          50,000
MANUFACTURED HOME
  CMNTYS INC                CMN STK   564682102      281        12,000      SH           DEFINED       1          12,000
MARSH & MCLENNAN COS
  INC                       CMN STK   571748102       41           600      SH           SOLE                        600
MAGYAR TAVKOZLESI ADR       CMN STK   559776109      276        10,114      SH           SOLE                     10,114
MAY DEPT. STORES            CMN STK   577778103       29           800      SH           SOLE                        800
MBIA INC                    CMN STK   55262C100      233         5,000      SH           SOLE                      5,000
MC CORMICK & CO INC
  NON-VTG                   CMN STK   579780206      165         5,000      SH           SOLE                      5,000
MCDONALDS CORP              CMN STK   580135101      241         5,600      SH           SOLE                      5,600
MCI WORLDCOM INC            CMN STK   55268B106      241         3,358      SH           SOLE                      3,358
MCI WORLDCOM INC            CMN STK   55268B106      359         5,000      SH           DEFINED       3           5,000
MEDIAONE GROUP INC          CMN STK   58440J104      123         1,800      SH           SOLE                      1,800
MEDICIS PHARMACEUTICAL
  CORP CL A                 CMN STK   584690309      285        10,000      SH           DEFINED       2          10,000
MEDTRONIC INC               CMN STK   585055106      107         3,000      SH           SOLE                      3,000
MELLON BANK CORP            CMN STK   585509102       41         1,200      SH           SOLE                      1,200
MERCK & CO.                 CMN STK   589331107    1,027        15,850      SH           SOLE                     15,850
MERCK & CO.                 CMN STK   589331107       65         1,000      SH           SOLE                      1,000
MERCURY INTERACTIVE
  CORP                      CMN STK   589405109    2,970        46,000      SH           DEFINED       2          46,000
MERIDIAN GOLD INC           CMN STK   589975101       96         9,600      SH           SOLE                      9,600
MERIDIAN GOLD INC           CMN STK   589975101      291        29,000      SH           SOLE                     29,000
MERRILL LYNCH & CO          CMN STK   590188108       60           900      SH           SOLE                        900
MICROCHIP TECHNOLOGY INC    CMN STK   595017104    1,644        32,000      SH           DEFINED       2          32,000
MICRON TECH                 CMN STK   595112103       33           500      SH           SOLE                        500
MICROSOFT CORP              CMN STK   594918104    2,898        32,000      SH           SOLE                     32,000
MICROSOFT CORP              CMN STK   594918104    1,902        21,000      SH           DEFINED       2          21,000
MILLS CORP                  CMN STK   601148109       36         2,000      SH           SOLE                      2,000
MINNESOTA MINING &
  MANUFACTURING             CMN STK   604059105      163         1,700      SH           SOLE                      1,700
MOBIL CORP                  CMN STK   607059102    1,501        14,900      SH           SOLE                     14,900
MOBIL CORP                  CMN STK   607059102      212         2,100      SH           SOLE                      2,100
MOBIL CORP                  CMN STK   607059102      181         1,800      SH           SOLE                      1,800
MONSANTO CO.                CMN STK   611662107       54         1,500      SH           SOLE                      1,500
MORGAN J.P. & CO.           CMN STK   616880100       46           400      SH           SOLE                        400
MORGAN STAN./
  DEAN WITTER DISC          CMN STK   617446448      116         1,300      SH           SOLE                      1,300
MOTOROLA INC                CMN STK   620076109      352         4,000      SH           SOLE                      4,000
MOTOROLA INC                CMN STK   620076109      123         1,400      SH           SOLE                      1,400
MUELLER INDS INC            CMN STK   624756102      297        10,000      SH           DEFINED       2          10,000
NABORS IND                  CMN STK   629568106      625        25,000      SH           DEFINED       3          25,000
NATIONAL CITY CORP          CMN STK   635405103       37         1,400      SH           SOLE                      1,400
NATL DATA CORP              CMN STK   635621105       78         3,000      SH           SOLE                      3,000
NETWORK SOLUTIONS INC
  CL A                      CMN STK   64121Q102      919        10,000      SH           DEFINED       2          10,000
NEW PLAN EXCEL REALTY
  TRUST                     CMN STK   648053106      321        18,000      SH           DEFINED       3          18,000
NEW YORK TIMES CL A         CMN STK   650111107       75         2,000      SH           SOLE                      2,000
NEWMONT MINING CORP         CMN STK   651639106      116         4,500      SH           SOLE                      4,500
NEWMONT MINING CORP         CMN STK   651639106      906        35,000      SH           SOLE                     35,000
NEWMONT MINING CORP         CMN STK   651639106    1,811        70,000      SH           SOLE                     70,000
NEXTEL COMMUNICATIONS
  INC CL A                  CMN STK   65332V103       47           700      SH           SOLE                        700
NIKE INC CL B               CMN STK   654106103       40           700      SH           SOLE                        700
NOBLE AFFILIATES INC.       CMN STK   654894104      102         3,500      SH           SOLE                      3,500
NOBLE DRILLING CORP         CMN STK   655042109       22         1,000      SH           SOLE                      1,000
NOBLE DRILLING CORP         CMN STK   655042109      656        30,000      SH           DEFINED       3          30,000
NUCOR CORP                  CMN STK   670346105       95         2,000      SH           SOLE                      2,000
OFFICEMAX                   CMN STK   67622M108       87        15,000      SH           SOLE                     15,000
OPTICAL COATING LAB INC     CMN STK   683829105      644         7,000      SH           DEFINED       2           7,000
ORACLE SYSTEMS CORP         CMN STK   68389X105      492        10,818      SH           SOLE                     10,818
OXFORD HEALTH PLANS INC     CMN STK   691471106       63         5,000      SH           SOLE                      5,000
PAINE WEBBER GROUP INC      CMN STK   695629105      363        10,000      SH           DEFINED       2          10,000
PARKER DRILLING             CMN STK   701081101       44        10,000      SH           SOLE                     10,000
PECO ENERGY CO              CMN STK   693304107       19           500      SH           SOLE                        500
PEPSICO INC                 CMN STK   713448108      514        17,000      SH           SOLE                     17,000
PEREGRINE SYSTEMS INC       CMN STK   71366Q101    2,038        50,000      SH           DEFINED       2          50,000
PFIZER INC                  CMN STK   717081103      916        25,500      SH           SOLE                     25,500
PFIZER INC                  CMN STK   717081103      431        12,000      SH           DEFINED       3          12,000
PG & E CORP                 CMN STK   69331C108       23           900      SH           SOLE                        900
PHARMACIA & UPJOHN INC      CMN STK   716941109      149         3,000      SH           SOLE                      3,000
PHELPS DODGE CORP           CMN STK   717265102       66         1,200      SH           SOLE                      1,200
PHILIP MORRIS COS INC       CMN STK   718154107      581        17,000      SH           SOLE                     17,000
PHILIP MORRIS COS INC       CMN STK   718154107       68         2,000      SH           SOLE                      2,000
PHILIPS ELECTRONICS NV
  ADR                       CMN STK   500472204      279         2,760      SH           SOLE                      2,760
PHILLIPS PETROLEUM CO       CMN STK   718507106      293         6,000      SH           SOLE                      6,000
PHILLIPS PETROLEUM CO       CMN STK   718507106      249         5,100      SH           SOLE                      5,100
PHILLIPS PETROLEUM CO       CMN STK   718507106       29           600      SH           SOLE                        600
PILGRIM CAPITAL CORP        CMN STK   72142Y103      284        10,000      SH           SOLE                     10,000
PLACER DOME INC             CMN STK   725906101      379        25,500      SH           SOLE                     25,500
PLACER DOME INC             CMN STK   725906101    1,183        79,500      SH           SOLE                     79,500
PNC BANK CORP               CMN STK   693475105       37           700      SH           SOLE                        700
POLYCOM INC                 CMN STK   73172K104    1,906        40,000      SH           DEFINED       2          40,000
POST PPTYS INC              CMN STK   737464107      338         8,600      SH           DEFINED       1           8,600
POWER INTEGRATIONS INC      CMN STK   739276103    2,770        40,000      SH           DEFINED       2          40,000
PPG INDUSTRIES INC          CMN STK   693506107       30           500      SH           SOLE                        500
PRAXAIR                     CMN STK   74005P104      166         3,600      SH           SOLE                      3,600
PROCTOR & GAMBLE CO         CMN STK   742718109      656         7,000      SH           SOLE                      7,000
PROFIT RECOVERY GROUP
  INTL INC                  CMN STK   743168106    1,673        37,500      SH           DEFINED       2          37,500
PUBLIC STORAGE INC
  PFD 8.875%                CMN STK   74460D885       58         2,500      SH           SOLE                      2,500
QLOGIC CORP                 CMN STK   747277101    2,513        36,000      SH           DEFINED       2          36,000
QRS CORP                    CMN STK   74726X105    2,405        37,500      SH           DEFINED       2          37,500
RATIONAL SOFTWARE CORP      CMN STK   75409P202    1,288        44,000      SH           DEFINED       2          44,000
RAYTHEON CO CL A            CMN STK   755111309        9           191      SH           SOLE                        191
RECKSON ASSOC REALTY        CMN STK   75621K304      173         7,886      SH           DEFINED       1           7,886
RELIANT ENERGY INC          CMN STK   75952J108       41         1,500      SH           SOLE                      1,500
REYNOLDS METALS CO          CMN STK   761763101      151         2,500      SH           SOLE                      2,500
RF MICRO DEVICES INC        CMN STK   749941100    1,098        24,000      SH           DEFINED       2          24,000
RIO ALGOM LTD               CMN STK   766889109       62         3,000      SH           SOLE                      3,000
ROCKWELL INTERNATIONAL
  CORP                      CMN STK   773903109      105         2,000      SH           SOLE                      2,000
ROHM & HAAS CO.             CMN STK   775371107      108         3,000      SH           SOLE                      3,000
ROWAN COMPANIES             CMN STK   779382100       49         3,000      SH           SOLE                      3,000
ROYAL DUTCH PETROLEUM
  NY SHS                    CMN STK   780257804      213         3,600      SH           SOLE                      3,600
ROYAL DUTCH PETROLEUM
  NY SHS                    CMN STK   780257804      177         3,000      SH           SOLE                      3,000
SANDISK CORP                CMN STK   80004C101    1,304        20,000      SH           DEFINED       2          20,000
SANMINA CORP                CMN STK   800907107      774        10,000      SH           DEFINED       2          10,000
SARA LEE CORP               CMN STK   803111103      117         5,000      SH           SOLE                      5,000
SBC COMMUNICATIONS INC      CMN STK   78387G103      715        14,000      SH           SOLE                     14,000
SCHERING PLOUGH             CMN STK   806605101      489        11,200      SH           SOLE                     11,200
SCHLUMBERGER LTD            CMN STK   806857108      539         8,650      SH           SOLE                      8,650
SCHLUMBERGER LTD            CMN STK   806857108       62         1,000      SH           SOLE                      1,000
SCHLUMBERGER LTD            CMN STK   806857108       81         1,300      SH           SOLE                      1,300
SCHWAB /CHARLES/ CORP       CMN STK   808513105      539        16,000      SH           DEFINED       2          16,000
SCIENTIFIC ATLANTA INC      CMN STK   808655104    1,239        25,000      SH           DEFINED       2          25,000
SEAGRAM LTD                 CMN STK   811850106       46         1,000      SH           SOLE                      1,000
SEARS ROEBUCK & CO          CMN STK   812387108       75         2,400      SH           SOLE                      2,400
SEMTECH CORP                CMN STK   816850101      366        10,000      SH           DEFINED       2          10,000
SERVICE CORP INTL           CMN STK   817565104       53         5,000      SH           SOLE                      5,000
SHANDONG HUANENG POWER
  SPON ADR                  CMN STK   819419102      361        82,600      SH           SOLE                     82,600
SHANGHAI PETROCHEMICAL
  CO SER H                  CMN STK   819424102    4,183     2,432,000      SH           SOLE                  2,432,000
SIMON PROPERTY GROUP
  INC                       CMN STK   828806109      269        12,000      SH           DEFINED       1          12,000
SK TELECOM LTD SPON-
  SORED ADR                 CMN STK   78440P108       31         3,000      SH           SOLE                      3,000
SMITH CHARLES E
  RESIDNTL RLTY             CMN STK   832197107      171         5,000      SH           DEFINED       1           5,000
SOLECTRON CORP              CMN STK   834182107    2,154        30,000      SH           DEFINED       2          30,000
SONY CORP ADR               CMN STK   835699307    1,050         7,000      SH           DEFINED       3           7,000
SOUTHERN CO                 CMN STK   842587107       39         1,500      SH           SOLE                      1,500
SOUTHWEST AIRLINES          CMN STK   844741108      456        30,000      SH           DEFINED       2          30,000
SOVEREIGN BANCORP INC       CMN STK   845905108       73         8,000      SH           SOLE                      8,000
SPIEKER PROPERTIES INC      CMN STK   848497103      312         9,000      SH           DEFINED       1           9,000
SPRINT CORP PCS GROUP       CMN STK   852061506      164         2,200      SH           SOLE                      2,200
SPRINT CORP PCS GROUP       CMN STK   852061506       37           500      SH           SOLE                        500
SPRINT CORPORATION          CMN STK   852061100      342         6,300      SH           SOLE                      6,300
SPRINT CORPORATION          CMN STK   852061100      136         2,500      SH           SOLE                      2,500
ST. JUDE MEDICAL INC        CMN STK   790849103    1,418        45,000      SH           DEFINED       2          45,000
STATE STREET CORP           CMN STK   857477103       32           500      SH           SOLE                        500
STILLWATER MINING
  COMPANY                   CMN STK   86074Q102      108         4,000      SH           SOLE                      4,000
STILLWATER MINING
  COMPANY                   CMN STK   86074Q102      535        19,900      SH           SOLE                     19,900
STILLWATER MINING
  COMPANY                   CMN STK   86074Q102    1,720        64,000      SH           SOLE                     64,000
STILLWATER MINING
  COMPANY                   CMN STK   86074Q102      265         9,875      SH           DEFINED       3           9,875
SUN MICROSYSTEMS INC        CMN STK   866810104    2,604        28,000      SH           DEFINED       2          28,000
SYLVAN LEARNING SYSTEMS
  INC                       CMN STK   871399101      581        30,000      SH           DEFINED       3          30,000
TEXACO INC                  CMN STK   881694103      492         7,800      SH           SOLE                      7,800
TEXACO INC                  CMN STK   881694103      202         3,200      SH           SOLE                      3,200
TEXAS UTILITIES             CMN STK   882848104       26           700      SH           SOLE                        700
TIFFANY & CO                CMN STK   886547108    2,398        40,000      SH           DEFINED       2          40,000
TIMBERLINE SOFTWARE CORP    CMN STK   887134104      838        45,000      SH           DEFINED       2          45,000
TIME WARNER INC             CMN STK   887315109      182         3,000      SH           SOLE                      3,000
TIME WARNER INC             CMN STK   887315109      170         2,800      SH           SOLE                      2,800
TOO INC                     CMN STK   890333107        1            71      SH           SOLE                         71
TOSCO CORP                  CMN STK   891490302       58         2,300      SH           SOLE                      2,300
TOTAL SA ADR                CMN STK   89150A108       82         1,300      SH           SOLE                      1,300
TOYS R US                   CMN STK   892335100       32         2,100      SH           SOLE                      2,100
TRIBUNE CO.                 CMN STK   896047107      199         4,000      SH           SOLE                      4,000
TRICON GLOBAL
  RESTAURANTS               CMN STK   895953107       41         1,000      SH           SOLE                      1,000
TUPPERWARE CORPORATION      CMN STK   899896104       51         2,500      SH           SOLE                      2,500
TYCO INTL LTD               CMN STK   902124106      395         3,825      SH           SOLE                      3,825
U S WEST INC                CMN STK   91273H101      106         1,849      SH           SOLE                      1,849
U S WEST INC                CMN STK   91273H101       68         1,200      SH           SOLE                      1,200
ULTRAMAR DIAMOND
  SHAMROCK CORP             CMN STK   904000106       51         2,000      SH           SOLE                      2,000
ULTRAMAR DIAMOND
  SHAMROCK CORP             CMN STK   904000106      102         4,000      SH           SOLE                      4,000
UNION PACIFIC CORP          CMN STK   907818108       24           500      SH           SOLE                        500
UNION PACIFIC RESOURCES
  GROUP                     CMN STK   907834105       96         6,000      SH           SOLE                      6,000
UNISYS CORP                 CMN STK   909214108       27           600      SH           SOLE                        600
UNISYS CORP                 CMN STK   909214108    1,805        40,000      SH           DEFINED       2          40,000
UNITED TECHNOLOGIES CORP    CMN STK   913017109       15           250      SH           SOLE                        250
UNITED TECHNOLOGIES CORP    CMN STK   913017109    2,373        40,000      SH           SOLE                     40,000
UNITED WISCONSIN
  SERVICES                  CMN STK   913238101       43         6,800      SH           SOLE                      6,800
UNOCAL CORP                 CMN STK   915289102      222         6,000      SH           SOLE                      6,000
UNOCAL CORP                 CMN STK   915289102      193         5,200      SH           SOLE                      5,200
UNUMPROVIDENT CORP          CMN STK   91529Y106      353        12,000      SH           DEFINED       3          12,000
USG CORP                    CMN STK   903293405       95         2,000      SH           DEFINED       2           2,000
USX-MARATHON GROUP          CMN STK   902905827      132         4,500      SH           SOLE                      4,500
USX-US STL GROUP            CMN STK   90337T101       39         1,500      SH           SOLE                      1,500
VERAMARK TECHNOLGIES
  INC                       CMN STK   923351100      349        30,000      SH           DEFINED       2          30,000
VIACOM INC CL A             CMN STK   925524100      130         3,000      SH           SOLE                      3,000
VIACOM INC CL B             CMN STK   925524308       68         1,600      SH           SOLE                      1,600
VISTA GOLD CORP             CMN STK   927926105      209       834,300      SH           SOLE                    834,300
VITESSE SEMICONDUCTOR
  CORP                      CMN STK   928497106    2,305        27,000      SH           DEFINED       2          27,000
VODAFONE AIRTOUCH PLC
  SPON ADR                  CMN STK   92857T107      238         1,000      SH           SOLE                      1,000
W. R GRACE & CO             CMN STK   38388F108      103         6,400      SH           SOLE                      6,400
W. R GRACE & CO             CMN STK   38388F108       32         2,000      SH           SOLE                      2,000
WACHOVIA CORP               CMN STK   929771103       39           500      SH           SOLE                        500
WAL MART STORES INC         CMN STK   931142103    1,332        28,000      SH           SOLE                     28,000
WAL MART STORES INC         CMN STK   931142103    1,903        40,000      SH           DEFINED       2          40,000
WARNER LAMBERT              CMN STK   934488107      219         3,300      SH           SOLE                      3,300
WASHINGTON MUTUAL INC       CMN STK   939322103      117         4,000      SH           SOLE                      4,000
WEATHERFORD INTERNATIONAL   CMN STK   947074100       32         1,000      SH           SOLE                      1,000
WEBS INDEX FD SINGAPORE
  FREE                      CMN STK   92923H848       46         6,000      SH           SOLE                      6,000
WELLS FARGO & COMPANY       CMN STK   949746101       59         1,500      SH           SOLE                      1,500
WEYERHAEUSER CO             CMN STK   962166104      207         3,600      SH           SOLE                      3,600
WEYERHAEUSER CO             CMN STK   962166104       29           500      SH           SOLE                        500
WILLIAMS COMPANIES INC      CMN STK   969457100      298         7,950      SH           SOLE                      7,950
WILLIAMS COMPANIES INC      CMN STK   969457100      112         3,000      SH           SOLE                      3,000
WILLIAMS COMPANIES INC      CMN STK   969457100       37         1,000      SH           SOLE                      1,000
WINNEBAGO INDUSTRIES INC    CMN STK   974637100      838        35,000      SH           DEFINED       2          35,000
XEROX CORP                  CMN STK   984121103      101         2,400      SH           SOLE                      2,400
XEROX CORP                  CMN STK   984121103       63         1,500      SH           SOLE                      1,500
XEROX CORP                  CMN STK   984121103    1,258        30,000      SH           DEFINED       2          30,000
XILINX INC                  CMN STK   983919101    3,277        50,000      SH           DEFINED       2          50,000
                                                   -----
                                                $311,846
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