ALLEGHANY CORP /DE
13F-HR, 1999-05-06
TITLE INSURANCE
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<PAGE>   1
                                  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:     Alleghany Corporation
Address:  375 Park Avenue
          New York, NY  10152

Form 13F File Number: 28-230

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:     Peter R. Sismondo
Title:    Vice President, Controller, Treasurer and Assistant Secretary
Phone:    212-752-1356

Signature, Place, and Date of Signing:

/s/Peter R. Sismondo              New York, NY                       May 6, 1999
- --------------------------------------------------------------------------------
     [Signature]                  [City, State]                         [Date]
<PAGE>   2
         The Chicago Trust Company ("TCTC") is a wholly owned subsidiary of
Alleghany Asset Management, Inc. ("AAM"), and AAM and Underwriters Re Group,
Inc. ("URG") are wholly owned subsidiaries of Alleghany Corporation
("Alleghany"). Chicago Title and Trust Company ("CT&T"), which was a wholly
owned subsidiary of Alleghany until June 16, 1998, was spun-off by a
distribution on June 17, 1998 to Alleghany's stockholders of shares of a newly
formed holding company for CT&T called Chicago Title Corporation. AAM, which was
a wholly owned subsidiary of CT&T until June 9, 1998, was spun-off by CT&T to
Alleghany. TCTC, AAM and URG (each an "operating subsidiary") and CT&T are or
may be "institutional investment managers" for purposes of the reporting
requirements under Section 13(f) of the Securities Exchange Act of 1934 (the
"Act") and the rules promulgated thereunder. Alleghany itself does not in fact
exercise, and therefore disclaims, investment discretion with respect to any
Section 13(f) securities positions over which its operating subsidiaries or CT&T
in fact exercise investment discretion. CT&T itself does not and did not in fact
exercise, and therefore disclaims, investment discretion with respect to any
Section 13(f) securities positions over which AAM or TCTC in fact exercise
investment discretion (with the exception of securities owned by CT&T). AAM
itself does not in fact exercise, and therefore disclaims, investment discretion
with respect to any Section 13(f) securities positions over which TCTC in fact
exercises investment discretion. To the extent, however, that the ownership
interest of Alleghany or AAM in their operating subsidiaries, or prior to June
10, 1998, of CT&T in AAM, may nevertheless give rise to a Form 13F filing
obligation, the information required by Form 13F is reported herein by Alleghany
on behalf of itself, each operating subsidiary and CT&T. The securities
positions of Montag & Caldwell, Inc. ("M&C"), a wholly owned subsidiary of TCTC
which is an institutional investment manager subject to Section 13(f) of the
Act, are not reported herein. The securities positions managed by M&C are
reported in a Form 13F filed by M&C. TCTC owns a 40% interest in Veredus Asset
Management LLC ("Veredus"), an institutional investment manager subject to
Section 13(f) of the Act. The securities positions managed by Veredus are not
reported herein, but are reported in a Form 13F filed by Veredus.

Report Type (Check only one):

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

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

[X]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this 
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)
<PAGE>   3
List of Other Managers Reporting for this Manager:

         Form 13F File Number               Name

                                            Montag & Caldwell, Inc.

                                            Veredus Asset Management LLC
<PAGE>   4
                              Form 13F SUMMARY PAGE

Report Summary:
Number of Other Included Managers:                 4
Form 13F Information Table Entry Total:          540
Form 13F Information Table Value Total:   $4,554,055
                                          (thousands)

List of Other Included Managers:

         No.          Form 13F File Number                 Name

         1                     28-7262          Alleghany Asset Management, Inc.

         2                     28-635           Chicago Title and Trust Company

         3                     28-7258          The Chicago Trust Company

         4                     28-6342          Underwriters Re Group, Inc.
<PAGE>   5
FORM 13F INFORMATION TABLE
PREPARED FOR THE CHICAGO TRUST COMPANY


<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
ARCH COAL                              039380            132      100,000  SH           X                     01      X     
ADC TELECOMMUNICATIONS INC             000886101         564       11,825  SH                  X              03            X
ABM INDUSTRIES INC                     000957100         491       16,100  SH                  X              03            X
AFLAC INC                              001055102      22,881      420,334  SH                  X              03            X
AES CORP                               00130H105      10,525      282,550  SH                  X              03            X
AIM EQUITY FDS CONSTELLATION FD CL A   001413202       9,251      307,153  SH                  X              03            X
AMLI RESIDENTIAL PROPERTIES TRUST      001735109       4,072      197,429  SH                  X              03            X
AMLI RESIDENTIAL PROPERTIES, L.P.      001735893         221       10,735  SH                  X              03            X
A T & T CORPORATION                    001957109       5,192       65,060  SH                  X              03            X
AT&T CORP LIBERTY MEDIA A COM          001957208       1,218       23,144  SH                  X              03            X
ABACUS DIRECT CORP                     002553105       2,870       35,000  SH                  X              03            X
ABBOTT LABORATORIES                    002824100      36,808      786,264  SH                  X              03            X
THE ACORN FUND                         004851101       2,468      151,858  SH                  X              03            X
THE ACORN INTERNATIONAL FUND           004851200       1,152       54,687  SH                  X              03            X
ADAC LABS                              005313200         727       53,400  SH                  X              03            X
AIRTOUCH COMMUNICATIONS                00949T100         715        7,395  SH                  X              03            X
ALLEGHANY CORP DEL                     017175100       3,622       19,700  SH                  X              03            X
CHICAGO TRUST SMALLCAP VALUE FD        017216201       5,927      652,802  SH                  X              03            X
ALLIANT TECHSYSTEMS INC                018804104         419        5,400  SH                  X              03            X
ALLIED SIGNAL INC                      019512102         576       11,722  SH                  X              03            X
ALLOU HEALTH & BEAUTY INC CL A         019782101         164       15,300  SH                  X              03            X
ALLSTATE CORP                          020002101       2,235       60,281  SH                  X              03            X
ALLTEL CORP                            020039103         214        3,417  SH                  X              03            X
ALPHA 1 BIOMEDICALS INC                020910105           2       27,500  SH                  X              03            X
AMEREN CORP                            023608102       3,727      102,997  SH                  X            02,03           X
AMEREN CORP                            023608102         665       18,384  SH                  X              03            X
AMERICA ONLINE INC                     02364J104         453        3,080  SH                  X              03            X
AMERICAN BALANCED FD INC               024071102      10,032      642,638  SH                  X              03            X
AMERICAN CENTY CAP PTFLS INC           025076506         438       75,996  SH                  X              03            X
AMERICAN EXPRESS CO                    025816109       1,889       16,037  SH                  X              03            X
AMERICAN GENERAL CORP                  026351106         905       12,828  SH                  X              03            X
AMERICAN HOME PRODUCTS CORP            026609107       9,342      143,177  SH                  X              03            X
AMERICAN INTERNATIONAL GROUP INC       026874107      44,644      370,115  SH                  X              03            X
AMERICAN POWER CONVERSION              029066107       1,306       48,350  SH                  X              03            X
AMERICAN WATER WORKS INC               030411102         612       21,015  SH                  X              03            X
AMERIN CORP                            03070X106         507       25,000  SH                  X              03            X
AMERITECH CORP NEW                     030954101       4,609       79,986  SH                  X              03            X
AMGEN INC                              031162100       1,835       24,500  SH                  X              03            X
ANHEUSER BUSCH COS INC                 035229103         571        7,496  SH                  X              03            X
AON CORP                               037389103      11,369      179,739  SH                  X              03            X
APTARGROUP INC                         038336103         246        9,468  SH                  X              03            X
ARDENT SOFTWARE INC                    039794102         265       16,500  SH                  X              03            X
ARIEL PREMIER BD A                     040337404         219       21,383  SH                  X              03            X
ARMCO                                  042170100      25,045    5,643,355  SH           X                     01      X
ASSOCIATES FIRST CAPITAL CORP          046008108      23,483      521,850  SH                  X              03            X
ATLANTIC RICHFIELD CO                  048825103       1,008       13,782  SH                  X              03            X
AUTOMATIC DATA PROCESSING INC          053015103         546       13,200  SH                  X              03            X
AWARE INC MASS                         05453N100         470       10,000  SH                  X              03            X
BP AMOCO SPON ADR                      055622104      14,960      148,115  SH                  X              03            X
BALDWIN & LYONS CL B                   057755209         552       26,500  SH                  X              03            X
BANK ONE CORP                          06423A103       4,451       80,851  SH                  X              03            X
BANKAMERICA CORP                       06605F102         824       11,664  SH                  X              03            X
BARON ASSET BEN INT FD                 068278100       2,815       51,972  SH                  X              03            X
BASSETT FURNITURE                      070203104         856       38,700  SH                  X              03            X
BATTLE MOUNTAIN GOLD CONV $3.250       071593305         231        6,900  SH                  X              03            X
BAXTER INTERNATIONAL INC               071813109       1,027       15,568  SH                  X              03            X
BELL & HOWELL CO                       077852101         917       31,300  SH                  X              03            X
BELL ATLANTIC CORP                     077853109       1,431       27,680  SH                  X              03            X
BELLSOUTH CORP                         079860102       4,306      107,480  SH                  X              03            X
</TABLE>

                                                                          Page 1
<PAGE>   6
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
BERGER OMNI INVT FD TR                 083902106         595       32,568  SH                  X              03            X
BERGER OMNI SM CAP VALUE INS           083902205         642       35,082  SH                  X              03            X
BERKSHIRE HATHAWAY INC DEL             084670108         357            5  SH                  X              03            X
BERKSHIRE HATHAWAY INC DEL CL B        084670207         889          378  SH                  X              03            X
BESTFOODS                              08658U101       1,528       32,500  SH                  X              03            X
BIOGEN INC                             090597105       1,090        9,534  SH                  X              03            X
WILLIAM BLAIR LEVERAGED CAPITAL        0929939A4       1,000    1,000,000  SH                  X              03            X
BOB EVANS FARMS INC                    096761101         574       28,700  SH                  X              03            X
BOEING CO                              097023105         283        8,342  SH                  X              03            X
BOND FUND OF AMERICA INC               097873103       7,099      527,798  SH                  X              03            X
OPP CONV BOND FUND SEC A               097877104       1,072       71,865  SH                  X              03            X
BOSTON SCIENTIFIC CORP                 101137107       1,085       26,700  SH                  X              03            X
BRANDYWINE FUND INC                    10532D107       6,160      198,253  SH                  X              03            X
BRIGHTPOINT INC                        109473108         357       60,470  SH                  X              03            X
BRINSON FDS INC NON U S EQUITY FD      10970C306       1,690      140,340  SH                  X              03            X
BRINSON FDS MULTI ASSET PORTFOLIO      10970C900       3,468        4,105  SH                  X              03            X
BRINSON FDS U.S. SHORT/INTERM          10970C918         807       31,164  SH                  X              03            X
BRISTOL MYERS SQUIBB CO                110122108       5,583       87,064  SH                  X              03            X
BURLINGTON NORTHERN SANTA FE CORP      12189T104     488,843   14,869,773  SH           X                     01      X
BURLINGTON NORTHERN SANTA FE CORP      12189T104         406       12,351  SH                  X              03            X
BURLINGTON NORTHERN SANTA FE CORP      12189T104     244,079    7,424,469  SH                  X              04            X
CIGNA CORP                             125509109         201        2,400  SH                  X              03            X
CLECO CORP                             12561M107         309       10,442  SH                  X              03            X
CHICAGO TRUST GROWTH & INCOME FUND     126413103     382,381   14,484,146  SH                  X              03            X
CHICAGO TRUST MUNICIPAL BOND FUND      126413301      12,858    1,249,628  SH                  X              03            X
MONTAG & CALDWELL GROWTH FUND          126413509     218,710    6,838,940  SH                  X              03            X
MONTAG & CALDWELL BALANCED FUND        126413608      66,883    3,496,239  SH                  X              03            X
CHICAGO TRUST TALON FUND               126413707       1,336      105,355  SH                  X              03            X
CHICAGO TRUST BALANCED FUND            126413806     249,190   19,467,948  SH                  X              03            X
MONTAG & CALDWELL GROWTH FD INSTL      126413889     147,262    4,573,353  SH                  X              03            X
CVS CORP                               126650100         289        6,100  SH                  X              03            X
CABOT INDUSTRIAL TRUST, REIT           127072106         281       14,900  SH                  X              03            X
CALLAWAY GOLF COMPANY                  131193104         249       24,370  SH                  X              03            X
CALVERT TAX-FREE RESERVES              131620205         125       11,693  SH                  X              03            X
CAMPBELL SOUP CO                       134429109         229        5,625  SH                  X              03            X
CANADIAN NATIONAL RAILWAY CO           136375102       1,190       21,400  SH                  X              03            X
CANANDAIGUA BRANDS INC-CL A            137219200         846       16,800  SH                  X              03            X
CAPITAL TRUST-CL A                     14052H100         511      105,000  SH                  X              03            X
AMERICAN FUNDS CAP WORLD GROWTH        140543109         785       30,316  SH                  X              03            X
CARDINAL HEALTH INC                    14149Y108      30,867      467,680  SH                  X              03            X
CARNIVAL CORP                          143658102       3,605       74,250  SH                  X              03            X
CATERPILLAR INC                        149123101         523       11,366  SH                  X              03            X
CENDANT CORP                           151313103         514       32,209  SH                  X              03            X
CENTERPOINT PROPERTIES CORP            151895109         268        8,600  SH                  X              03            X
CENTRAL NEWSPAPERS INC                 154647101       1,314       42,220  SH                  X              03            X
CERNER CORP                            156782104         915       57,000  SH                  X              03            X
CHASE MANHATTAN CORP NEW               16161A108       1,119       13,754  SH                  X              03            X
CHEVRON CORP                           166751107       1,759       19,819  SH                  X              03            X
CHICAGO TITLE CORP                     168228104       4,691      128,946  SH                  X              03            X
CISCO SYSTEMS INC                      17275R102      55,973      510,871  SH                  X              03            X
CINTAS CORP                            172908105      31,586      483,152  SH                  X              03            X
CITIGROUP INC                          172967101         886       13,873  SH                  X              03            X
CITIZENS UTILS CO DEL SER B            177342201         292       37,640  SH                  X              03            X
CLOROX CO                              189054109         234        2,000  SH                  X              03            X
COASTAL CARIBBEAN OILS & MINERALS      190432203          17       11,571  SH                  X              03            X
COCA COLA CO                           191216100       7,075      115,280  SH                  X              03            X
COHEN & STEERS REALTY SHS INC          192476109       2,213       61,134  SH                  X              03            X
COLGATE PALMOLIVE CO                   194162103       1,183       12,862  SH                  X              03            X
COLUMBIA \ HCA HEALTHCARE              197677107         852       45,000  SH                  X              03            X
</TABLE>

                                                                          Page 2
<PAGE>   7
<TABLE>
<CAPTION>
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         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
COMDISCO INC                           200336105       2,818      157,674  SH                  X              03            X
COMPAQ COMPUTER CORP                   204493100       1,166       36,800  SH                  X              03            X
COMPUTER ASSOCIATE INTL INC            204912109      17,125      481,560  SH                  X              03            X
COMPUTER SCIENCES CORP                 205363104      21,420      388,152  SH                  X              03            X
CONAGRA INC                            205887102       1,526       59,549  SH                  X              03            X
CONCORD EFS INC                        206197105       2,160       78,345  SH                  X              03            X
CONNING MORTGAGE INVESTMENT TRUST      208216903          89       88,563  SH                  X              03            X
BATTLE MOUNTAIN GOLD CO EURO           2084541           481      650,000  SH                  X              03            X
CONSOLIDATED EDISON INC                209115104       1,806       39,859  SH                  X              03            X
CONSOLIDATED NATURAL GAS CO            209615103         368        7,551  SH                  X              03            X
COOPER INDS INC                        216669101         296        6,931  SH                  X              03            X
CORNING INC                            219350105         900       15,000  SH                  X              03            X
COSTCO COS INC                         22160Q102         503        5,500  SH                  X              03            X
COURT MIICRO INVESTORS LLC             222740904          50       50,000  SH                  X              03            X
COYOTE NETWORK SYS INC                 22406P108          88       15,052  SH                  X              03            X
CYTEC INDUSTRIES INC.                  232820100         780       35,000  SH                  X              03            X
DANIELSON HLDGS CORP                   236274106         428      149,200  SH                  X              03            X
DAVIS N Y VENTURE FD INC               239080104      13,730      531,975  SH                  X              03            X
DEAN FOODS CO                          242361103       1,466       41,159  SH                  X              03            X
DELL COMPUTER CORP                     247025109         516       12,640  SH                  X              03            X
DELUXE CORP                            248019101         504       17,300  SH                  X              03            X
DEXTER CORP                            252165105         885       28,100  SH                  X              03            X
DIEBOLD INC                            253651103         648       27,000  SH                  X              03            X
DISNEY WALT CO                         254687106       4,405      141,534  SH                  X              03            X
DODGE & COX BALANCED FUND              256201104      28,038      426,037  SH                  X              03            X
DONNELLEY RR & SONS                    257867101         579       18,000  SH                  X              03            X
DOW CHEMICAL CO                        260543103         886        9,503  SH                  X              03            X
DU PONT E I DE NEMOURS & CO            263534109       1,491       25,679  SH                  X              03            X
DUKE ENERGY CORP                       264399106         302        5,509  SH                  X              03            X
EMC CORPORATION                        268648102      55,454      434,085  SH                  X              03            X
EMC CORP SUB NT CONV                   26865YAA2      10,159    1,800,000  SH                  X              03            X
EASTMAN KODAK CO                       277461109         465        7,278  SH                  X              03            X
ECO SOIL SYS INC                       278858105          69       10,000  SH                  X              03            X
ECOLAB INC                             278865100      26,095      735,065  SH                  X              03            X
EDISON INTERNATIONAL                   281020107         236       10,608  SH                  X              03            X
ELAN PLC ADR                           284131208       2,449       35,120  SH                  X              03            X
ELECTRONIC ARTS INC                    285512109         461        9,700  SH                  X              03            X
ELECTRONIC DATA SYS CORP NEW           285661104         829       17,035  SH                  X              03            X
EMERSON ELECTRIC CO                    291011104       1,379       26,056  SH                  X              03            X
ENERGAS RESOURCES INC                  29265E108          10       26,000  SH                  X              03            X
ENGLE HOMES INC                        292896107         126       12,000  SH                  X              03            X
ENRON CORP                             293561106         511        7,962  SH                  X              03            X
EQUITABLE RESOURCES INC                294549100         823       31,600  SH                  X              03            X
EQUITY OFFICE PROPERTIES               294741103         585       23,000  SH                  X              03            X
ETHIKA CORP                            297652109           1       40,000  SH                  X              03            X
EUROPACIFIC GROWTH FUND SHARES OF      298706102      20,570      680,901  SH                  X              03            X
EVERGREEN MUN TR TAX FREE FD A         300258746         102       13,409  SH                  X              03            X
EXPEDITORS INTL WASH INC               302130109       3,640       67,400  SH                  X              03            X
EXXON CORP                             302290101      16,904      239,563  SH                  X              03            X
FPL GROUP INC                          302571104         354        6,636  SH                  X              03            X
FEDERAL HOME LOAN MORTGAGE CORP        313400301      33,385      583,709  SH                  X              03            X
FEDERAL NATIONAL MORTGAGE ASSN         313586109      12,149      175,433  SH                  X              03            X
FEDERAL SIGNAL CORP                    313855108       4,916      235,518  SH                  X              03            X
FIDELITY ADVISOR EQUITY PORT GROWTH    315805200       4,025       65,850  SH                  X              03            X
FIDELITY ADVISOR SER GROWTH OPPORT     315807206      13,661      275,256  SH                  X              03            X
FIDELITY ADVISOR HIGH YIELD FUND       315807305         682       57,950  SH                  X              03            X
FIDELITY ADVISOR SER II                315807404       1,985      105,259  SH                  X              03            X
FIDELITY UTILITY FUNDS                 316128107         237       10,504  SH                  X              03            X
FIDELITY MAGELLAN FUND                 316184100       4,661       35,915  SH                  X              03            X
</TABLE>


                                                                          Page 3
<PAGE>   8
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
FIDELITY PURITAN FUND                  316345107       1,890       93,654  SH                  X              03            X
FIDELITY BLUE CHIP GROWTH FUND         316389303         304        5,705  SH                  X              03            X
FIDELITY VALUE FUND                    316464106         240        5,304  SH                  X              03            X
FIFTH THIRD BANCORP                    316773100       2,101       31,871  SH                  X              03            X
FIRST BANCSHARES INC IND CAP STK       318685104       8,822       12,603  SH                  X              03            X
FIRST DATA CORP                        319963104         298        6,950  SH                  X              03            X
FIRST LIBERTY FINL CORP.               320691108         898       42,400  SH                  X              03            X
FIRST MIDWEST BANCORP INC              320867104         528       13,900  SH                  X              03            X
FIRST UNION CORP                       337358105         597       11,172  SH                  X              03            X
FIRSTAR CORPORATION                    33763V109       1,210       13,528  SH                  X              03            X
FLAG INVS VALUE BLDR FD INC            33832R105       2,525      104,560  SH                  X              03            X
FLORIDA PROGRESS CORP                  341109106         548       14,534  SH                  X              03            X
FORD MOTOR CO DEL                      345370100         813       14,336  SH                  X              03            X
FORTUNE BRANDS INC                     349631101       1,042       27,073  SH                  X              03            X
93.0269% INT FRALICK FAMILY LLC        351684915         693            1  SH                  X              03            X
FRANKLIN BALANCE SHEET INVT I          352423107       4,807      169,072  SH                  X              03            X
FRANKLIN CALIF TAX FREE INCOME FUND    352518104         104       14,026  SH                  X              03            X
FRANKLIN FEDERAL TAX FREE INCOME FD    353519101         173       14,068  SH                  X              03            X
FRANKLIN REAL ESTATE SECS TR           354602104         339       24,793  SH                  X              03            X
FRANKLIN SMALL CAP GRWTH               354713109       9,657      420,241  SH                  X              03            X
FRIENDLY FUELS GROUP INC               357903103          13       76,000  SH                  X              03            X
FUNDAMENTAL INVESTORS                  360802102       2,277       75,693  SH                  X              03            X
GPU INC                                36225X100         746       20,000  SH                  X              03            X
GTE CORP                               362320103       4,534       74,946  SH                  X              03            X
GABLES RESIDENTIAL TRUST               362418105         692       31,400  SH                  X              03            X
GALLAHER GROUP PLC SPONSORED ADR       363595109         373       15,832  SH                  X              03            X
GAM INTERNATIONAL FUND                 364590109       8,285      308,552  SH                  X              03            X
GANNETT INC                            364730101         517        8,200  SH                  X              03            X
GAP INC                                364760108       1,208       17,950  SH                  X              03            X
GAYLORD CONTAINER CORP                 368145108         600       80,000  SH                  X              03            X
GENERAL DYNAMICS CORP                  369550108       1,031       16,044  SH                  X              03            X
GENERAL ELECTRIC CO                    369604103      68,121      615,791  SH                  X              03            X
GENERAL MILLS INC                      370334104         256        3,388  SH                  X              03            X
GENERAL MOTORS CORP                    370442105       1,270       14,604  SH                  X              03            X
GILLETTE CO                            375766102      10,034      168,814  SH                  X              03            X
GRAINGER W W INC                       384802104       1,211       28,100  SH                  X              03            X
GRANITE CONSTRUCTION INC               387328107       1,044       44,700  SH                  X              03            X
GUIDANT CORP                           401698105         281        4,644  SH                  X              03            X
HCC INS HLDGS INC                      404132102         585       30,380  SH                  X              03            X
HCR MANOR CARE INC.                    404134108         684       30,000  SH                  X              03            X
HAMBRECHT & QUIST GROUP, INC           406545103         652       18,800  SH                  X              03            X
HARLEY DAVIDSON INC                    412822108      37,551      653,771  SH                  X              03            X
HARRIS ASSOC INVT TR OAKMARK FUND      413838103       2,929       82,151  SH                  X              03            X
OAKMARK INTERNATIONAL FUND HARRIS      413838202         226       18,153  SH                  X              03            X
HAYES LEMMERZ INTL INC                 420781106         343       14,600  SH                  X              03            X
HEALTH MANAGEMENT ASSOCIATES INC       421933102      21,925    1,798,934  SH                  X              03            X
HELMERICH & PAYNE INC                  423452101         794       35,000  SH                  X              03            X
HEWLETT PACKARD CO                     428236103       3,006       44,337  SH                  X              03            X
HOME DEPOT INC                         437076102       1,951       31,346  SH                  X              03            X
HONEYWELL INC                          438506107         266        3,500  SH                  X              03            X
HORACE MANN EDUCATOR                   440327104         487       21,200  SH                  X              03            X
HOUGHTON MIFFLIN CO                    441560109       1,495       31,900  SH                  X              03            X
HOUSEHOLD INTERNATIONAL INC            441815107       2,821       61,817  SH                  X              03            X
HUBBELL INC CL A                       443510102         501       13,552  SH                  X              03            X
HUBBELL INC CL B                       443510201         383        9,588  SH                  X              03            X
HUNTINGTON BANCSHARES INC              446150104         306        9,866  SH                  X              03            X
IHOP CORP                              449623107         631       16,100  SH                  X              03            X
ILLINOIS TOOL WORKS INC                452308109      41,553      671,570  SH                  X              03            X
INCOME FUND OF AMERICA                 453320103       2,715      158,746  SH                  X              03            X
</TABLE>


                                                                          Page 4
<PAGE>   9
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
INDIANA ENERGY INC                     454707100         365       19,249  SH                  X              03            X
INGERSOLL RAND CO                      456866102         287        5,775  SH                  X              03            X
INTEL CORP                             458140100       3,157       26,555  SH                  X              03            X
INTERMEDIATE BD FD AMER                458809100       2,004      149,851  SH                  X              03            X
INTERNATIONAL BUSINESS MACHINES        459200101       4,677       26,382  SH                  X              03            X
INTERNATIONAL MULTIFOODS COR           460043102         368       15,800  SH                  X              03            X
INTERPUBLIC GROUP OF COMPANIES INC     460690100         798       10,250  SH                  X              03            X
INTERTAPE POLYMER GROUP INC            460919103       1,381       52,340  SH                  X              03            X
INVESCO INCOME FDS INC                 461277204         143       22,056  SH                  X              03            X
INVESCO VALUE TR                       46128D309       3,142      102,408  SH                  X              03            X
INVESTMENT CO OF AMERICA               461308108       8,837      280,265  SH                  X              03            X
INVESTORS FINANCIAL SERVICES           461915100         483       16,800  SH                  X              03            X
IONICS INC                             462218108         547       18,180  SH                  X              03            X
IPALCO ENTERPRISES INC                 462613100         294       13,410  SH                  X              03            X
IRWIN FINANCIAL CORP                   464119106         571       28,480  SH                  X              03            X
J P M INDUSTRIES INC CL A FORMERLY     46624D100          30    1,000,000  SH                  X              03            X
JABIL CIRCUIT INC                      466313103         737       18,200  SH                  X              03            X
JANUS INVT FD WORLDWIDE FD             471023309         859       16,997  SH                  X              03            X
JANUS INVT OVERSEAS FD                 471023846         315       15,039  SH                  X              03            X
JOHNSON & JOHNSON                      478160104       5,713       61,102  SH                  X              03            X
JOHNSON CONTROLS INC                   478366107      22,852      366,366  SH                  X              03            X
KANSAS CITY POWER & LIGHT CO           485134100      13,759      558,753  SH                  X            02,03           X
KANSAS CITY POWER & LIGHT CO           485134100          39        1,600  SH                  X              03            X
KANSAS CITY POWER & LIGHT CO           485134100      13,328      541,247  SH                  X              04            X
KELLOGG CO                             487836108         932       27,586  SH                  X              03            X
KEMPER INSD CORPORATE TR UNIT SER 8    487903262         176      174,242  SH                  X              03            X
KEMPER DREMAN FUND INC                 48840B504       3,669      110,841  SH                  X              03            X
KEMPER-DREMAN SMALL CAP VALU A FD      48840B876       1,300       77,079  SH                  X              03            X
KEMPER MUNICIPAL BOND FUND CL A        488419201         139       13,704  SH                  X              03            X
KEMPER US GOVERNMENT SECURITIES        488438102         231       26,751  SH                  X              03            X
KIMBERLY CLARK CORP                    494368103       1,591       33,202  SH                  X              03            X
KOHLS CORP                             500255104      21,503      303,398  SH                  X              03            X
LG & E ENERGY CORP                     501917108         213       10,198  SH                  X              03            X
LTV CORP CMN US                        501921100         350       65,200  SH                  X              03            X
LANCASTER COLONY CORP                  513847103         235        8,820  SH                  X              03            X
LAWTER INTERNATIONAL INC               520786104         266       38,102  SH                  X              03            X
LEE ENTERPRISES INC                    523768109         209        7,200  SH                  X              03            X
LILLY ELI & CO                         532457108       2,506       29,531  SH                  X              03            X
LINCOLN NATIONAL CORP INDIANA          534187109       7,392       74,762  SH                  X              03            X
LINEAR TECHNOLOGY CORPORATION          535678106         513       10,000  SH                  X              03            X
LITTELFUSE INC                         537008104         704       38,330  SH                  X              03            X
LOCKHEED MARTIN CORPORATION            539830109         212        5,624  SH                  X              03            X
LUCENT TECHNOLOGIES INC                549463107       6,066       56,170  SH                  X              03            X
MBNA CORP                              55262L100      29,901    1,252,421  SH                  X              03            X
MCI WORLDCOM INC                       55268B106       1,987       22,431  SH                  X              03            X
MFS EMERGING GROWTH FUND CL A          552985103       9,065      211,549  SH                  X              03            X
MFS SER TR VII CAP OPPTYS FD CL A      552988305      16,888      972,807  SH                  X              03            X
MANPOWER INC WISCONSIN                 56418H100         708       30,300  SH                  X              03            X
MARSH & MCLENNAN COS INC               571748102       1,595       21,490  SH                  X              03            X
MARRIOTT INTL INC NEW CL A             571903202         770       22,900  SH                  X              03            X
MASSACHUSETTS INVESTORS TRUST          575736103      17,082      843,589  SH                  X              03            X
MATTEL INC                             577081102       1,804       72,375  SH                  X              03            X
MAY DEPARTMENT STORES CO               577778103         252        6,445  SH                  X              03            X
MAYTAG CORP                            578592107         346        5,728  SH                  X              03            X
MCDONALDS CORP                         580135101       4,348       95,948  SH                  X              03            X
MCKESSON HBOC INC                      58155Q103      19,808      300,126  SH                  X              03            X
MEDIAONE GROUP INC                     58440J104         669       10,550  SH                  X              03            X
MEDICAL CARE INT CONV DEBENTURE        584505AB7         290      293,000  SH                  X              03            X
MEDICAL CARE INTL INC SUB DEB CONV     584505AC5       1,619    1,950,000  SH                  X              03            X
</TABLE>


                                                                          Page 5
<PAGE>   10
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
MEDQUIST INC                           584949101         900       30,000  SH                  X              03            X
MEDTRONIC INC                          585055106       4,657       64,785  SH                  X              03            X
MEMORIAL GOVERNMENT BOND FUND          586015505       5,682      568,727  SH                  X              03            X
MEMORIAL CORPORATE BOND FUND           586015604      33,439    3,384,605  SH                  X              03            X
MEMORIAL GROWTH EQUITY FUND            586015703       8,146      664,459  SH                  X              03            X
MEMORIAL VALUE EQUITY FUND             586015802       6,654      756,998  SH                  X              03            X
MENTOR GRAPHICS CORP                   587200106         540       40,000  SH                  X              03            X
MERCK & CO INC                         589331107      31,860      397,516  SH                  X              03            X
MERCURY FINANCE CO                     589395102          11       88,092  SH                  X              03            X
MERRILL LYNCH INSURED MUNICIPAL        590193108         217       26,804  SH                  X              03            X
MICROSOFT CORP                         594918104      42,173      470,564  SH                  X              03            X
MID ATLANTIC MEDICAL SERVICE           59523C107         892       89,200  SH                  X              03            X
MIDWEST EXPRESS HLDGS INC              597911106       2,179       74,159  SH                  X              03            X
MILLENNIUM INCOME FD L L C             599909900       5,150       51,500  SH                  X              03            X
MINNESOTA MINING & MANUFACTURING CO    604059105       1,362       19,246  SH                  X              03            X
MINNESOTA POWER INC                    604110106         658       33,304  SH                  X              03            X
MOBIL CORP                             607059102       3,157       35,874  SH                  X              03            X
MOLEX INC                              608554101       1,327       45,174  SH                  X              03            X
MONSANTO CO                            611662107         887       19,310  SH                  X              03            X
MONTANA POWER CO                       612085100         268        3,633  SH                  X              03            X
MORGAN J P & CO INC                    616880100       2,059       16,684  SH                  X              03            X
MORGAN STANLEY DEAN WITTER U S         616969200         440       48,605  SH                  X              03            X
MORGAN STANLEY DEAN WITTER & COMPANY   617446448       1,982       19,827  SH                  X              03            X
MOTOROLA INC                           620076109       4,199       57,322  SH                  X              03            X
MUNICIPAL INVESTMENT TRUST FUND        62622A295         353          349  SH                  X              03            X
MUNICIPAL INVT TR FD UNIT 201ST        62622B327         318          320  SH                  X              03            X
MUNICIPAL INVT TR FD UNIT 182ND        62623X385         246          402  SH                  X              03            X
MUTUAL BENEFIT LIFE INSURANCE          6279959A3         394      394,092  SH                  X              03            X
MYLAN LABS                             628530107         905       33,000  SH                  X              03            X
NIPSCO INDUSTRIES INC                  629140104         206        7,655  SH                  X              03            X
NATIONAL CITY CORP                     635405103       1,249       18,827  SH                  X              03            X
NATIONAL HEALTH INVESTORS, I           63633D104         277       12,900  SH                  X              03            X
NEVADA POWER CO                        641423108         218        8,800  SH                  X              03            X
NEW CENTY ENERGIES INC                 64352U103         259        7,624  SH                  X              03            X
NEW PERSPECTIVE FUND                   648018109      10,128      416,462  SH                  X              03            X
NEWELL RUBBERMAID INC                  651229106      37,730      794,326  SH                  X              03            X
NEWPORT NEWS SHIPBUILDING              652228107       1,470       46,400  SH                  X              03            X
NICHOLAS-APPLEGATE MUT FDS             653699694         435       32,402  SH                  X              03            X
NICHOLAS-APPLEGATE SMALL CAP GROWTH    653699785         774       46,296  SH                  X              03            X
NICHOLAS FUND                          653735100       2,578       30,256  SH                  X              03            X
NICOR INC                              654086107         408       11,366  SH                  X              03            X
NINE WEST                              65440D102         387       15,700  SH                  X              03            X
NOBLE AFFILIATES INC                   654894104         348       12,000  SH                  X              03            X
NORFOLK SOUTHERN CORP                  655844108         492       18,668  SH                  X              03            X
NORTH AMERICAN VACCINE,                657201109         419       69,900  SH                  X              03            X
NORTHERN TELECOM LTD                   665815106         242        3,900  SH                  X              03            X
NORTHERN TRUST CORP                    665859104       6,947       78,214  SH                  X              03            X
NUVEEN INSURED QUALITY MUNICIPAL FD    67062N103         194       12,150  SH                  X              03            X
NUVEEN FLAGSHIP MUN TR MUN BD FD       67065Q400         142       14,861  SH                  X              03            X
OM GROUP INC                           670872100       1,128       34,190  SH                  X              03            X
NUVEEN MUNICIPAL VALUE FUND INC        670928100         164       16,566  SH                  X              03            X
OFFICE DEPOT INC                       676220106       1,423       38,000  SH                  X              03            X
OLD KENT FINANCIAL CORP                679833103         552       13,056  SH                  X              03            X
OMNICARE INC                           681904108      13,967      732,705  SH                  X              03            X
OMNICOM GROUP                          681919106      34,246      428,420  SH                  X              03            X
OPPENHEIMER CAP APPREC FD              68379A107       1,049       24,404  SH                  X              03            X
OPPENHEIMER QUEST OPPORT VALUE A FD    68380E106      28,900      790,484  SH                  X              03            X
OPPENHEIMER QUEST FOR VAL FD           68380E700       2,770      173,458  SH                  X              03            X
OPPENHEIMER QUEST VALUE CL A FD        68380H109      15,053      710,057  SH                  X              03            X
</TABLE>


                                                                          Page 6
<PAGE>   11
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
OPPENHEIMER U S GOVT TR CL A           683810105       3,437      362,972  SH                  X              03            X
OPPENHEIMER QST CP VL FD INC           68381A103       6,801      192,826  SH                  X              03            X
ORBITAL ENGINE CORP LTD SPON ADR NEW   685563306          74       35,000  SH                  X              03            X
ORTHODONTIC CTRS AMER INC              68750P103       1,187       75,370  SH                  X              03            X
ORYX ENERGY CO CONV DEBENTURE 7.50%    68763FAD2         521      525,000  SH                  X              03            X
OWENS & MINOR NEW                      690732102         656       64,800  SH                  X              03            X
PBHG FDS INC                           69316H882         337       13,835  SH                  X              03            X
PIMCO FDS MULTI MANAGER SER            69338T211       1,438       68,850  SH                  X              03            X
PIMCO FDS MULTI MANAGER SER            69338T278       3,110      227,027  SH                  X              03            X
PIMCO LOW DURATION FUND                693390304       2,103      208,248  SH                  X              03            X
PIMCO FDS TOTAL RETURN FUND A          693390445      13,289    1,282,751  SH                  X              03            X
PIMCO TOTAL RETURN FUND INSTL CL       693390700       6,774      653,895  SH                  X              03            X
PARK NATIONAL CORP                     700658107       2,304       24,000  SH                  X              03            X
PARKER HANNIFIN CORP                   701094104         446       13,026  SH                  X              03            X
PAYCHEX INC                            704326107      34,833      734,302  SH                  X              03            X
PEOPLES ENERGY CORP                    711030106         390       12,074  SH                  X              03            X
PEP BOYS MANNY MOE & JACK SUB          713278AJ8         418      800,000  SH                  X              03            X
PEPSICO INC                            713448108       1,180       30,100  SH                  X              03            X
PERFORMANCE FOOD GROUP CO              713755106         995       37,900  SH                  X              03            X
PFIZER INC                             717081103      59,897      431,690  SH                  X              03            X
PHILIP MORRIS COS INC                  718154107       5,530      157,179  SH                  X              03            X
PIKE BANCORP                           721462109         392           41  SH                  X              03            X
PIONEER CAP GROWTH FD CL A             723635108       4,176      214,790  SH                  X              03            X
PIONEER GROUP                          723684106         237       16,000  SH           X                     01      X
PITNEY BOWES INC                       724479100      31,899      500,374  SH                  X              03            X
PITTWAY CORP DEL CL A                  725790208         233        8,802  SH                  X              03            X
PLUM CREEK TIMBER COMPANY              729237107         395       13,848  SH                  X              03            X
POTOMAC ELECTRIC CSD REGISTERED        737679BL3         204      200,000  SH                  X              03            X
PREMIER BANCSHARES  INC.               739909109         523       26,500  SH                  X              03            X
PRAXAIR INC                            74005P104      15,834      439,091  SH                  X              03            X
PRECISION CASTPARTS CORP               740189105       1,112       27,630  SH                  X              03            X
PRIME BANCSHARES INC                   74157H108         327       23,100  SH                  X              03            X
THE PRIVATE INVESTMENT LIMITED         742100XA3         142      200,000  SH                  X              03            X
PROCTER & GAMBLE CO                    742718109      37,499      382,881  SH                  X              03            X
PUTNAM AMERICAN GOVT INC FUND CL A     74644B102         122       13,991  SH                  X              03            X
PUTNAM CONV INCOME GROWTH TR           746476100       2,157      110,896  SH                  X              03            X
PUTNAM OTC EMERGING GRWTH FD           746847102       1,964      106,777  SH                  X              03            X
PUTNAM INTL GROWTH FD                  746932102       3,053      150,706  SH                  X              03            X
PUTNAM VISTA FD INC                    747011104         863       63,011  SH                  X              03            X
QUAKER OATS CO                         747402105       1,168       18,751  SH                  X              03            X
QUINTILES TRANSNATIONAL CORP           748767100       1,328       35,160  SH                  X              03            X
RAINIER INVT MGMT MUT FDS              750869208       1,772       89,428  SH                  X              03            X
RALSTON-RALSTON PURINA GROUP           751277302         944       35,390  SH                  X              03            X
RAYTHEON CO CL B                       755111408       1,146       19,546  SH                  X              03            X
RELIANT ENERGY INC COM                 75952J108         351       13,472  SH                  X              03            X
REPUBLIC INDS INC                      760516104         231       18,700  SH                  X              03            X
REPUBLIC SECURITY FINL CORP            760758102         781       84,500  SH                  X              03            X
RESCON TECHNOLOGY CORP                 760844100           1       31,000  SH                  X              03            X
RESERVE FD INC                         761056209       5,414    5,413,948  SH                  X              03            X
REUTERS GROUP PLC SPONSORED ADR        76132M102         700        8,058  SH                  X              03            X
ROBERTSON STEPHENS INVT TR             770648855         591       33,161  SH                  X              03            X
ROBOTIC VISION SYSTEMS                 771074101         530      229,500  SH                  X              03            X
ROCKWELL INTL CORP NEW                 773903109         327        7,688  SH                  X              03            X
ROWAN COMPANIES                        779382100         702       55,400  SH                  X              03            X
ROWE T PRICE EQUITY INC FD             779547108       1,387       53,757  SH                  X              03            X
ROWE T PRICE MID-CAP GRW FD            779556109       5,468      161,727  SH                  X              03            X
ROWE T PRICE VALUE FD INC              779578103         291       15,951  SH                  X              03            X
ROYAL DUTCH PETE CO N Y REGISTRY SH    780257804      14,496      278,762  SH                  X              03            X
RUSSELL FRANK INVT CO EQUITY I FD      782493100       3,987      109,892  SH                  X              03            X
</TABLE>


                                                                          Page 7
<PAGE>   12
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
RUSSELL FRANK INVT CO EQUITY II FD     782493209       2,137       73,778  SH                  X              03            X
RUSSELL FRANK INVT CO EQUITY III FD    782493308       1,302       47,150  SH                  X              03            X
RUSSELL FRANK INVT CO FIXED INCOME I   782493407       5,471      252,796  SH                  X              03            X
RUSSELL FRANK INVT CO INTL FD          782493605       3,764       99,186  SH                  X              03            X
RUSSELL FRANK INVT CO EQUITY Q         782493811       8,098      199,022  SH                  X              03            X
SBC COMMUNICATIONS INC                 78387G103       2,972       62,972  SH                  X              03            X
SLM HLDG CORP                          78442A109         601       14,400  SH                  X              03            X
STI CLASSIC FDS VALUE INCOME           784766834       2,960      256,247  SH                  X              03            X
SSGA FDS                               784924706       1,938      118,670  SH                  X              03            X
ST PAUL BANCORP INC                    792848103         831       38,388  SH                  X              03            X
ST PAUL BANCORP                        792848103       1,150       53,125  SH                  X              03            X
ST PAUL COMPANIES INC                  792860108         251        8,082  SH                  X              03            X
SANMINA CORP                           800907107         861       13,500  SH                  X              03            X
SANTA-FE ENERGY RESOURCES              802012104       1,128      154,300  SH                  X              03            X
SARA LEE CORP                          803111103       2,215       89,496  SH                  X              03            X
SCHERING PLOUGH CORP                   806605101      18,742      339,230  SH                  X              03            X
SCHLUMBERGER LTD                       806857108      20,709      344,082  SH                  X              03            X
SCHRODER REAL ESTATE VALUE -           807999107         464      464,330  SH                  X              03            X
SCHRODER INTERNATIONAL EQUITY FUND     808088207       4,553      291,811  SH                  X              03            X
CHARLES SCHWAB CORPORATION             808513105      51,124      531,855  SH                  X              03            X
SCUDDER EQUITY TR VALUE FD             81114T208         581       23,439  SH                  X              03            X
SEARS ROEBUCK & CO                     812387108       1,413       31,272  SH                  X              03            X
SELIGMAN COMMUN & INFO FD              816333108         897       29,252  SH                  X              03            X
SELIGMAN FRONTIER FD INC CL A          816334106         508       42,257  SH                  X              03            X
SERVICE CORP INTL                      817565104         255       17,900  SH                  X              03            X
SERVICEMASTER CO                       81760N109         359       17,665  SH                  X              03            X
SIGMA ALDRICH CORP                     826552101         468       16,000  SH                  X              03            X
SKYLINE FD                             830833208      11,458      656,994  SH                  X              03            X
SKYLINE FD SMALL CAP VALUE PLUS        830833406       1,488      144,653  SH                  X              03            X
SMITH INTL INC                         832110100         600       15,000  SH                  X              03            X
SMITHKLINE BEECHAM PLC                 832378301         858       12,000  SH                  X              03            X
J.M. SMUCKER CO CLASS B                832696207         583       32,200  SH                  X              03            X
SOGEN FDS INC INTL FD                  834058505       1,243       54,262  SH                  X              03            X
SOLECTRON CORP                         834182107      19,583      403,260  SH                  X              03            X
SOUND SHORE FD INC                     836083105         425       14,996  SH                  X              03            X
SOUTHERN CO                            842587107         225        9,628  SH                  X              03            X
SPECIALTY EQUIPMENT COS                847497203         906       32,800  SH                  X              03            X
SPECTRX INC                            847635109         101       15,800  SH                  X              03            X
SPRINT CORP (FON GROUP)                852061100       1,517       15,452  SH                  X              03            X
SPRINT CORP (PCS GROUP)                852061506         347        7,824  SH                  X              03            X
STARBUCKS CORP                         855244109       2,354       83,920  SH                  X              03            X
STERLING COMM INC                      859205106       1,485       48,292  SH                  X              03            X
STERLING COMMERCE                      859205106         384       12,500  SH                  X              03            X
STERLING SOFTWARE INC                  859547101         988       41,600  SH                  X              03            X
STRIDE RITE CORP                       863314100         790       64,500  SH                  X              03            X
SUN MICROSYSTEMS INC                   866810104      40,924      327,400  SH                  X              03            X
SUNTRUST BANKS INC                     867914103         249        4,000  SH                  X              03            X
SYBRON INTL CORP WI                    87114F106      12,501      500,040  SH                  X              03            X
SYSCO CORP                             871829107      35,259    1,340,010  SH                  X              03            X
TCF FINL CORP                          872275102         290       11,100  SH                  X              03            X
TECHNOLOGY RESEARCH CORP NEW           878727304          32       28,500  SH                  X              03            X
TELLABS INC                            879664100      50,569      517,335  SH                  X              03            X
TEMPLETON DEVELOPING MKTS TR           88018W104         643       57,388  SH                  X              03            X
TEMPLETON EMERGING MARKETS FUND        880191101         149       13,500  SH                  X              03            X
TEMPLETON FOREIGN FUND                 880196209      16,194    1,817,534  SH                  X              03            X
TEMPLETON GROWTH FD INC                880199104       6,320      366,163  SH                  X              03            X
TENET HEALTHCARE CORP                  88033G100         624       33,000  SH                  X              03            X
TENET HEALTHCARE CORP SUB NT           88033GAD2       1,296    1,600,000  SH                  X              03            X
TEVA PHARMACEUTICAL IND                881624209         640       13,500  SH                  X              03            X
</TABLE>


                                                                          Page 8
<PAGE>   13
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
TEXACO INC                             881694103         876       15,441  SH                  X              03            X
THERMO ELECTRON CORP SUB DEB CONV      883556AF9       7,690    8,625,000  SH                  X              03            X
THOMAS & BETTS CORP                    884315102         751       20,000  SH                  X              03            X
3COM CORP                              885535104         335       14,387  SH                  X              03            X
TORCHMARK CORP                         891027104         408       12,896  SH                  X              03            X
TOWER AUTOMOTIVE INC                   891707101         751       40,320  SH                  X              03            X
TRAVELERS PROP CASUALTY                893939108         643       18,000  SH                  X              03            X
TRIANGLE BANCORP INC                   895835106         650       39,000  SH                  X              03            X
TRIAD GUARANTY INC                     895925105         417       30,800  SH                  X              03            X
TRIBUNE CO NEW                         896047107       5,356       81,847  SH                  X              03            X
TRUMP HOTEL & CASINO RESORTS INC       898168109         990      247,450  SH                  X              03            X
UAM FDS INC                            902555796         575       44,469  SH                  X              03            X
UAM FDS INC                            902555879       2,731      230,683  SH                  X              03            X
UAM FDS TR                             902556851       2,143      146,776  SH                  X              03            X
UICI                                   902737105         784       34,836  SH                  X              03            X
US BANCORP DEL                         902973106         243        7,153  SH                  X              03            X
USAA MUT FD INC                        903288603       4,417      227,457  SH                  X              03            X
US CAN CORP                            90328W105         796       54,000  SH                  X              03            X
UNILEVER N V                           904784501         372        5,600  SH                  X              03            X
UNICOM CORPORATION                     904911104         422       11,534  SH                  X              03            X
UNION PACIFIC CORP                     907818108         753       14,084  SH                  X              03            X
UNISYS CORP SERIES A PREFERRED         909214207         255        4,910  SH                  X              03            X
US HOME CORP                           911920106         283        8,700  SH                  X              03            X
U S WEST INC NEW                       91273H101       1,133       20,587  SH                  X              03            X
US TRUST CORP                          91288L105       1,283       17,300  SH                  X              03            X
UNITED TECHNOLOGIES CORP               913017109       2,049       15,124  SH                  X              03            X
VANGUARD SPECIALIZED PTFLS             921908703         109       10,375  SH                  X              03            X
VANGUARD WORLD FUND INTERNATIONAL      921910204       2,643      142,324  SH                  X              03            X
VANGUARD GROWTH & INCOME FD #93        921913109       3,816      118,627  SH                  X              03            X
VANGUARD BALANCED INDEX FUND           921931101       7,108      380,310  SH                  X              03            X
VANGUARD WELLINGTON FUND INC           921935102      16,207      556,537  SH                  X              03            X
VANGUARD / PRIMECAP FD INC             921936100       2,076       41,632  SH                  X              03            X
VANGUARD WELLESLEY INCOME FUND         921938106       9,576      454,023  SH                  X              03            X
VANGUARD / TRUSTEES EQTY FD            921939203       3,433      134,700  SH                  X              03            X
VANGUARD WINDSOR FUND INC              922018106         239       14,888  SH                  X              03            X
VANGUARD INSTITUTIONAL INDEX           922040100     251,541    2,135,870  SH                  X              03            X
VASOCOR INC                            9224991A6         959      767,000  SH                  X              03            X
VANGUARD MONEY MKT RESVS INC           922906300       2,156    2,156,066  SH                  X              03            X
VANGUARD MUNICIPAL INTERMEDIATE        922907209         300       22,356  SH                  X              03            X
VANGUARD INDEX TRUST 500 PORTFOLIO     922908108       4,154       34,937  SH                  X              03            X
VANGUARD INDEX SMALL CAPITALIZATION    922908702         343       17,266  SH                  X              03            X
VERITAS DGC INC                        92343P107         387       27,300  SH                  X              03            X
VERMONT FIN SVCS                       924180102         703       24,900  SH                  X              03            X
VICTOR COMMODITY POOL                  925990103         217          106  SH                  X              03            X
VISIO CORP                             927914101       1,470       52,250  SH                  X              03            X
VITESSE SEMICONDUCTOR CORP             928497106       3,846       75,960  SH                  X              03            X
WPS RESOURCES CORP                     92931B106         444       15,048  SH                  X              03            X
WAL MART STORES INC                    931142103       1,272       13,802  SH                  X              03            X
WALDEN RESIDENTIAL PROPS INC           931210108         690       39,200  SH                  X              03            X
WALGREEN CO                            931422109      66,969    2,370,604  SH                  X              03            X
WALLACE COMPUTER SERVICES IN           932270101         774       39,100  SH                  X              03            X
WARBURG PINCUS EMERGING GRW            933909103       2,060       53,551  SH                  X              03            X
WARNER LAMBERT CO                      934488107       1,655       24,988  SH                  X              03            X
WASHINGTON GAS LIGHT CO                938837101         339       15,000  SH                  X              03            X
WASHINGTON MUTUAL INVESTORS FUND       939330106      22,926      698,084  SH                  X              03            X
WEBSTER FINANCIAL CORP.                947890109         739       25,600  SH                  X              03            X
WELLS FARGO CO                         949746101      32,418      924,597  SH                  X              03            X
WEYERHAEUSER CO                        962166104         202        3,650  SH                  X              03            X
WHITMAN CORP                           96647K102         273       15,900  SH                  X              03            X
</TABLE>


                                                                          Page 9
<PAGE>   14
<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1 & 2                  COLUMN 3      COLUMN 4          COLUMN 5           COLUMN 6        COLUMN 7      COLUMN 8
- ------------------------------------------------------------------------------------------------------------------------------------
                                                                                          INVESTMENT                     VOTING
NAME OF ISSUER AND TITLE OF CLASS       CUSIP         VALUE       SHRS OR  SH/  PUT/      DISCRETION      MANAGERS     AUTHORITY
                                                    (X 1000)      PRN AMT  PRN  CALL   SOLE  SHRD  OTHER            SOLE  SHRD  NONE
<S>                                    <C>         <C>        <C>          <C>  <C>    <C>   <C>   <C>    <C>       <C>   <C>   <C>
WISCONSIN CENT TRANSN CORP             976592105         156       11,800  SH                  X              03            X
WISCONSIN ENERGY CORP                  976657106         608       23,334  SH                  X              03            X
WRIGLEY WILLIAM JR CO                  982526105         617        6,823  SH                  X              03            X
XEROX CORP                             984121103         321        6,150  SH                  X              03            X
YES! ENTERTAINMENT                     985384100          39      435,555  SH           X                     01      X
COVERED BRIDGES                        990275232          23       23,000  SH                  X              03            X
FRUIT OF THE LOOM INC                  G3682L105         228       22,000  SH                  X              03            X
LORAL SPACE & COMMUNICATIONS           G56462107         793       55,000  SH                  X              03            X
TOMMY HILFIGER CORP                    G8915Z102       1,248       18,120  SH                  X              03            X


TOTAL                                              4,554,055  176,558,968
</TABLE>


                                                                         Page 10


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