FIRST SECURITY INVESTMENT MANAGEMENT INC
13F-HR, 1999-05-14
Previous: ESSEF CORP, 10-Q, 1999-05-14
Next: PENN TREATY AMERICAN CORP, 10-Q, 1999-05-14



INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     1


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 ABBOTT  LABORATORIES                    002824100
9120105     194822
X                194162          0        660
 ABC  RAIL  PRODUCTS  CORPORATION          000752105
15150       1200
X                  1200          0          0
 ACTIVISION  INC  NEW                     004930202
12          1
X                     1          0          0
 ADOBE  SYSTEMS  INCORPORATED             00724F101
11350        200
X                   200          0          0
 AEROQUIP  VICKERS  INCORPORATED          007869100
34388        600
X                   600          0          0
 AETNA  INCORPORATED                     008117103
40670        490
X                   490          0          0
 AFLAC  INCORPORATED                     001055102
1717394      31548
X                 30048          0       1500
 AGRIBRANDS  INTERNATIONAL  INC           00849R105
2170         66
X                    66          0          0
 AIR  PRODUCTS  &  CHEMICALS  INC           009158106
36990       1080
X                  1080          0          0
 AIRTOUCH  COMMUNICATIONS  INCORPORATED   00949T100
2012506      20828
X                  9886          0      10942
 ALBEMARLE  CORPORATION                  012653101
5444        260
X                   260          0          0
 ALBERTSONS  INCORPORATED                013104104
240731771    4422168
X               4318368          0     103800
 ALCOA  INCORPORATED                     013817101
63429       1540
X                  1490          0         50
 ALDILA  INCORPORATED                    014384101
469        250
X                   250          0          0
 ALLEGHENY  ENERGY  INCORPORATED          017361106
1148140      38920
X                 32270          0       6650
 ALLEN  TELECOM  INCORPORATED             018091108
31525       4850
X                  4850          0          0
 ALLIED  CAPITAL  CORPORATION  NEW         01903Q108
20213       1100
X                  1100          0          0
 ALLIED  SIGNAL  INCORPORATED             019512102
693298      14095
X                 10983          0       3112
 ALLSTATE  CORPORATION                   020002101
542113      14627
X                 12329          0       2298
 ALLTEL  CORPORATION                     020039103
349550       5604
X                  5604          0          0
 ALTA  GOLD  COMPANY                      021271101
785       1092
X                    92          0       1000
 ALTAIR  INTERNATIONAL  INC               02136W102
18181       2999
X                  2999          0          0
 ALTERA  CORPORATION                     021441100
2031925      34150
X                 34150          0          0
 ALZA  CORPORATION                       022615108
17213        450
X                   450          0          0
 AMERADA  HESS  CORPORATION               023551104
89540       1760
X                  1760          0          0
 AMEREN  CORPORATION                     023608102
358799       9915
X                  9915          0          0
 AMERICA  ONLINE  INCORPORATED  DELAWARE   02364J104
521850       3550
X                  2460        400        690
 AMERICAN  ELECTRIC  POWER  INCORPORATED   025537101
79216       1996
X                  1996          0          0
 AMERICAN  EXPRESS  COMPANY               025816109
12772931     108475
X                104105          0       4370
 AMERICAN  GENERAL  CORPORATION           026351106
38775        550
X                   550          0          0
 AMERICAN  GREETINGS  CORP-CLASS  A        026375105
10150        400
X                   300          0        100
 AMERICAN  HOME  PRODUCTS  CORPORATION     026609107
20286225     310900
X                301975          0       8925
 AMERICAN  INTERNATIONAL  GROUP  INC       026874107
14789349     122606
X                119031          0       3575
 AMERICAN  RESIDENTIAL  SERVICES  INC      028911105
6450       1200
X                  1200          0          0
 AMERICAN  SOFTWARE  INC-CLASS  A          029683109
625        200
X                   200          0          0
 AMERICAN  STORES  COMPANY  NEW            030096101
14143371     428587
X                415187          0      13400
 AMERICAN  TOWER  CORP                    029912201
235004       9592
X                  9592          0          0
 AMERISOURCE  HEALTH  CORPORATION-CL  A    03071P102
241022       7050
X                  6900          0        150
 AMERISTAR  CASINOS  INCORPORATED         03070Q101
6050       2200
X                  2000          0        200
 AMERITECH  CORPORATION  NEW              030954101
3641266      63189
X                 32821          0      30368
 AMGEN  INCORPORATED                     031162100
335066       4475
X                  4475          0          0
 AMP  INCORPORATED                       031897101
27981        523
X                   523          0          0
 AMR  CORPORATION  DELAWARE               001765106
99556       1700
X                  1640          0         60
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
326328017    5871808
5679558        400     191850
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     2


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 ANADARKO  PETROLEUM  CORPORATION         032511107
380067      10068
X                 10068          0          0
 ANALOG  DEVICES  INCORPORATED            032654105
7573428     254569
X                254019          0        550
 ANHEUSER  BUSCH  COS  INCORPORATED        035229103
143648       1887
X                  1887          0          0
 APPLE  COMPUTER  INCORPORATED            037833100
7188        200
X                   200          0          0
 APPLIED  MATERIALS  INCORPORATED         038222105
484247       7850
X                  7550          0        300
 APPLIED  MICROSYSTEMS  CORPORATION       037935103
863        300
X                   300          0          0
 APTARGROUP  INCORPORATED                038336103
68380       2630
X                  2630          0          0
 ARCH  CHEMICALS  INC                     03937R102
1675        100
X                   100          0          0
 ARCHER  DANIELS  MIDLAND  COMPANY         039483102
74803       5093
X                  5093          0          0
 ARCHSTONE  COMMUNITIES  TRUST-SBI        039581103
36487       1813
X                  1813          0          0
 ARMCO  INCORPORATED                     042170100
5103       1150
X                  1150          0          0
 ARMSTRONG  WORLD  INDUSTRIES  INC         042476101
147763       3270
X                  3270          0          0
 ASCEND  COMMUNICATIONS  INCORPORATED     043491109
531416       6350
X                  6350          0          0
 ASSOCIATES  FIRST  CAPITAL  CORP-CL  A     046008108
591750      13150
X                 13150          0          0
 AT  &  T  CORPORATION                     001957109
24510179     307097
X                297628          0       9469
 AT  HOME  CORPORATION-COMMON  SERIES  A    045919107
47250        300
X                   300          0          0
 AT&T  CORP  LIBERTY  MEDIA  GROUP-CL  A     001957208
4459247      84793
X                     0          0      84793
 ATLANTIC  RICHFIELD  COMPANY             048825103
2695022      36855
X                 36655          0        200
 ATMOS  ENERGY  CORPORATION               049560105
24063       1000
X                  1000          0          0
 ATRIX  LABS  INCORPORATED                04962L101
135         12
X                    12          0          0
 AURA  SYSTEMS  INCORPORATED              051526101
3188       8500
X                  8500          0          0
 AUTODESK  INCORPORATED                  052769106
26284        650
X                   650          0          0
 AUTOLIV  INCORPORATED                   052800109
29637        789
X                   789          0          0
 AUTOMATIC  DATA  PROCESSING  INC          053015103
78199       1890
X                  1890          0          0
 AUTOZONE  INCORPORATED                  053332102
3038        100
X                   100          0          0
 AVID  TECHNOLOGY  INCORPORATED           05367P100
5231        300
X                   300          0          0
 AVIRON                                 053762100
2025        100
X                   100          0          0
 AVISTA  CORPORATION                     05379B107
433696      26689
X                 26489          0        200
 AVON  PRODUCTS  INCORPORATED             054303102
28238        600
X                   600          0          0
 AZCO  MINING  INCORPORATED  DELAWARE      054774104
188        300
X                   300          0          0
 AZTAR  CORPORATION                      054802103
1203        250
X                   250          0          0
 BAKER  HUGHES  INCORPORATED              057224107
52272       2150
X                  2150          0          0
 BALDOR  ELECTRIC  COMPANY                057741100
53653       2666
X                     0          0       2666
 BALLARD  MEDICAL  PRODUCTS               058566100
830529      34073
X                 34073          0          0
 BALTIMORE  GAS  &  ELECTRIC  COMPANY       059165100
15225        600
X                   600          0          0
 BANCTEC  INCORPORATED                   059784108
1847        150
X                   150          0          0
 BANK  NEW  YORK  INCORPORATED             064057102
369294      10276
X                 10276          0          0
 BANK  ONE  CORPORATION                   06423A103
14544539     264146
X                238276          0      25870
 BANKAMERICA  CORPORATION                06605F102
15751494     223030
X                196593          0      26437
 BANKERS  TRUST  CORPORATION              066365107
58598        664
X                   664          0          0
 BARNES  &  NOBLE  INCORPORATED            067774109
6104        190
X                   190          0          0
 BAUSCH  &  LOMB  INCORPORATED             071707103
2600         40
X                    40          0          0
 BAXTER  INTERNATIONAL  INCORPORATED      071813109
151800       2300
X                  2300          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
74231596    1318940
1168455          0     150485
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     3


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 BECTON  DICKINSON  &  COMPANY             075887109
7663        200
X                   200          0          0
 BEDFORD  PPTY  INVS  INC-COM  PAR  $0.02    076446301
19013       1300
X                  1300          0          0
 BELL  ATLANTIC  CORPORATION              077853109
5440006     105248
X                 83470          0      21778
 BELLSOUTH  CORPORATION                  079860102
4100717     102358
X                 90058          0      12300
 BERGEN  BRUNSWIG  CORPORATION-CLASS  A    083739102
93200       4660
X                  4660          0          0
 BERKSHIRE  HATHAWAY  INC  DEL-CLASS  A     084670108
882000         12
X                    12          0          0
 BERKSHIRE  HATHAWAY  INC  DEL-CLASS  B     084670207
14898287       6337
X                  6210          0        127
 BESTFOODS                              08658U101
385400       8200
X                  8200          0          0
 BEVERLY  ENTERPRISES  INC-COMMON  NEW     087851309
30238       5900
X                  5900          0          0
 BIOGEN  INCORPORATED                    090597105
68588        600
X                   600          0          0
 BIOMET  INCORPORATED                    090613100
16775        400
X                   400          0          0
 BLACK  HILLS  CORPORATION                092113109
72569       3405
X                  3405          0          0
 BLOCK  H  &  R  INCORPORATED               093671105
14781        312
X                   312          0          0
 BMC  SOFTWARE  INCORPORATED              055921100
165299       4460
X                     0          0       4460
 BOEING  COMPANY                         097023105
2509982      73823
X                 64523          0       9300
 BOISE  CASCADE  CORPORATION              097383103
60114       1864
X                  1864          0          0
 BORG  WARNER  SECURITY  CORPORATION       099733107
5025        300
X                     0          0        300
 BORG-WARNER  AUTOMOTIVE  INCORPORATED    099724106
539755      11289
X                 11289          0          0
 BOSTON  LIFE  SCIENCES  INC-NEW           100843408
36          5
X                     5          0          0
 BOSTON  PROPERTIES  INCORPORATED         101121101
7906        250
X                   250          0          0
 BOSTON  SCIENTIFIC  CORPORATION          101137107
316875       7800
X                  7800          0          0
 BOWATER  INCORPORATED                   102183100
1052836      26570
X                 26570          0          0
 BOWLIN  OUTDOOR  ADVERTISING  &  TRAVEL    102595105
3500        500
X                     0          0        500
 BOYD  GAMING  CORPORATION                103304101
25696       6046
X                  6046          0          0
 BRADLEY  REAL  ESTATE  INCORPORATED       104580105
60775       3400
X                  3400          0          0
 BRANDYWINE  REALTY  TRUST-SBI  NEW        105368203
243750      15000
X                 15000          0          0
 BRE  PROPERTIES  INCORPORATED-CLASS  A    05564E106
19797        875
X                   700          0        175
 BRISTOL-MYERS  SQUIBB  COMPANY           110122108
13585074     211853
X                160429          0      51424
 BROWNING  FERRIS  INDUSTRIES  INC         115885105
30850        800
X                   800          0          0
 BRUNSWICK  CORPORATION                  117043109
19063       1000
X                  1000          0          0
 BUILDING  MATERIALS  HOLDING  CORP        120113105
10125       1000
X                  1000          0          0
 BURLINGTON  NORTHERN  SANTA  FE  CORP      12189T104
732061      22268
X                 22268          0          0
 BURLINGTON  RESOURCES  INCORPORATED      122014103
180957       4531
X                  4531          0          0
 BUTLER  MANUFACTURING  COMPANY  DEL       123655102
32906       1404
X                  1404          0          0
 CABLETRON  SYSTEMS  INCORPORATED         126920107
2456        300
X                   300          0          0
 CABOT  CORPORATION                      127055101
30813       1450
X                  1450          0          0
 CADENCE  DESIGN  SYSTEMS  INCORPORATED    127387108
8240        320
X                     0          0        320
 CALGON  CARBON  CORPORATION              129603106
21788       4200
X                  4200          0          0
 CALIFORNIA  COASTAL  COMMUNITIES  INC     129915104
228         35
X                    35          0          0
 CALLON  PETROLEUM  COMPANY  DELAWARE      13123X102
668         60
X                    60          0          0
 CALLOWAY  GOLF  COMPANY                  131193104
2038        200
X                   200          0          0
 CAMDEN  PROPERTY  TRUST                  133131102
3737        151
X                   151          0          0
 CAMPBELL  SOUP  COMPANY                  134429109
120110       2952
X                  2952          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
45821697     643638
542954          0     100684
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     4


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 CAPITAL  ONE  FINANCIAL  CORPORATION      14040H105
12115485      80235
X                 77035          0       3200
 CAPITAL  RE  CORPORATION                 140432105
8142        472
X                   472          0          0
 CARDINAL  HEALTH  INCORPORATED           14149Y108
27060        410
X                   410          0          0
 CARLISLE  COMPANIES  INCORPORATED        142339100
299200       6400
X                  6400          0          0
 CARNIVAL  CORPORATION                   143658102
8855129     182345
X                179795          0       2550
 CAROLINA  POWER  &  LIGHT  COMPANY         144141108
18906        500
X                   300          0        200
 CASCADE  CORPORATION                    147195101
19125       1800
X                  1800          0          0
 CATELLUS  DEVELOPMENT  CORPORATION       149111106
4227        316
X                   295          0         21
 CATERPILLAR  INCORPORATED               149123101
330750       7200
X                  7200          0          0
 CBS  CORPORATION                        12490K107
570559      13980
X                   980          0      13000
 CEC  ENTERTAINMENT  INCORPORATED         125137109
7175        200
X                   200          0          0
 CENDANT  CORPORATION                    151313103
4781        300
X                   300          0          0
 CENTER  BANCORP  INC                     151408101
1638        100
X                   100          0          0
 CENTRAL  &  SOUTH  WEST  CORPORATION       152357109
86953       3710
X                  3710          0          0
 CENTRAL  HUDSON  GAS  &  ELECTRIC          153609102
10744        300
X                   300          0          0
 CENTURY  TELEPHONE  ENTERPRISES  INC      156686107
8430        120
X                   120          0          0
 CERES  GROUP  INCORPORATED               156772105
1750        200
X                   200          0          0
 CHAMPION  INTERNATIONAL  CORPORATION     158525105
1930         47
X                    47          0          0
 CHARMING  SHOPPES  INCORPORATED          161133103
35844       9250
X                  9250          0          0
 CHASE  MANHATTAN  CORPORATION  NEW        16161A108
4860366      59728
X                 39878          0      19850
 CHELSEA  GCA  REALTY  INCORPORATED        163262108
13938        500
X                   500          0          0
 CHEMED  CORPORATION                     163596109
248488       9650
X                  9550          0        100
 CHEVRON  CORPORATION                    166751107
3111043      35054
X                 34254          0        800
 CHOICEPOINT  INCORPORATED               170388102
14713        295
X                   195          0        100
 CHUBB  CORPORATION                      171232101
311435       5318
X                  5318          0          0
 CIGNA  CORPORATION                      125509109
2431         29
X                    29          0          0
 CILCORP  INCORPORATED                   171794100
18019        300
X                   300          0          0
 CINCINNATI  BELL  INCORPORATED           171870108
57440       2560
X                  2560          0          0
 CINERGY  CORPORATION                    172474108
39600       1440
X                  1440          0          0
 CIRCUS  CIRCUS  ENTERPRISES  INC          172909103
258169      14700
X                 14700          0          0
 CIRRUS  LOGIC  INCORPORATED              172755100
1275        200
X                   200          0          0
 CISCO  SYSTEMS  INCORPORATED             17275R102
29781169     271819
X                256012        500      15307
 CITIGROUP  INCORPORATED                 172967101
6364761      99644
X                 68977          0      30667
 CITIZENS  UTILITIES  CO  DELAWARE-SER  B   177342201
57707       7446
X                  7446          0          0
 CLOROX  COMPANY                         189054109
206016       1758
X                  1758          0          0
 COASTAL  CORPORATION                    190441105
9462255     286735
X                277535          0       9200
 COCA  COLA  COMPANY                      191216100
15103897     246092
X                231822          0      14270
 COCA  COLA  ENTERPRISES  INCORPORATED     191219104
11162        369
X                   369          0          0
 COEUR  D  ALENE  MINES  CORP  IDAHO         192108108
4414       1070
X                  1070          0          0
 COGNICASE  INC                          192423101
1725        100
X                   100          0          0
 COHERENT  INCORPORATED                  192479103
39875       2900
X                  2900          0          0
 COLGATE  PALMOLIVE  COMPANY              194162103
221317500    2405625
X               2403625          0       2000
 COLONIAL  BANCGROUP  INCORPORATED        195493309
120000      10000
X                 10000          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
313815226    3771217
3659452        500     111265
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     5


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 COLUMBIA  ENERGY  GROUP                  197648108
8621        165
X                   165          0          0
 COLUMBIA  HCA  HEALTHCARE  CORPORATION    197677107
624938      33000
X                  1000          0      32000
 COLUMBIA  LABORATORIES  INCORPORATED     197779101
17813       3000
X                  3000          0          0
 COMCAST  CORPORATION-CLASS  A  SPECIAL    200300200
566438       9000
X                     0          0       9000
 COMERICA  INCORPORATED                  200340107
65559       1050
X                  1050          0          0
 COMMSCOPE  INCORPORATED                 203372107
10469        500
X                   500          0          0
 COMMUNITY  FIRST  BANKSHARES  INC         203902101
360000      18000
X                 18000          0          0
 COMPAQ  COMPUTER  CORPORATION            204493100
6198360     195609
X                161379          0      34230
 COMPUSA  INCORPORATED                   204932107
700        100
X                   100          0          0
 COMPUTER  ASSOCIATES  INTL  INC           204912109
894219      25145
X                  2362          0      22783
 COMPUWARE  CORPORATION                  205638109
77833       3260
X                     0          0       3260
 CONAGRA  INCORPORATED                   205887102
2043978      79765
X                 44720          0      35045
 CONECTIV  INCORPORATED                  206829103
9688        500
X                   500          0          0
 CONEXANT  SYS  INC                       207142100
47013       1698
X                  1698          0          0
 CONSOLIDATED  EDISON  INCORPORATED       209115104
304183       6713
X                  6713          0          0
 CONSOLIDATED  NATURAL  GAS  COMPANY       209615103
589898      12116
X                 12116          0          0
 CONSOLIDATED  STORES  CORPORATION        210149100
54563       1800
X                  1800          0          0
 CONVERGYS  CORP                         212485106
43840       2560
X                  2560          0          0
 CONVERSE  INCORPORATED  DELAWARE         212540108
99         33
X                     0          0         33
 COOPER  INDUSTRIES  INCORPORATED         216669101
67859       1592
X                  1592          0          0
 CORDANT  TECHNOLOGIES  INCORPORATED      218412104
31850        800
X                   800          0          0
 CORN  PRODUCTS  INTERNATIONAL  INC        219023108
15248        637
X                   637          0          0
 CORNING  INCORPORATED                   219350105
138000       2300
X                  2300          0          0
 CORPORATE  EXPRESS  INCORPORATED         219888104
22695       4375
X                  3625          0        750
 COUNTRYWIDE  CREDIT  INDUSTRIES  INC      222372104
6938        185
X                     0          0        185
 COVANCE  INCORPORATED                   222816100
13158        525
X                   525          0          0
 COVOL  TECHNOLOGIES  INCORPORATED        223575101
1025        200
X                   200          0          0
 COX  COMMUNICATIONS  INC  NEW-CLASS  A     224044107
44997        595
X                   595          0          0
 CRESCENDO  PHARMACEUTICALS  CORP         225637107
428         30
X                    30          0          0
 CROSS  TIMBERS  OIL  COMPANY              227573102
7063       1000
X                  1000          0          0
 CRYOLIFE  INCORPORATED                  228903100
5500        500
X                   500          0          0
 CSK  AUTO  CORPORATION                   125965103
5988        200
X                   200          0          0
 CSX  CORPORATION                        126408103
120473       3094
X                  3094          0          0
 CVS  CORPORATION                        126650100
71250       1500
X                   220          0       1280
 CYPRUS  AMAX  MINERALS  COMPANY           232809103
7311        603
X                   603          0          0
 CYTEC  INDUSTRIES  INCORPORATED          232820100
64461       2889
X                  2289          0        600
 D  P  L  INCORPORATED                     233293109
2256573     136762
X                136762          0          0
 DAIMLERCHRYSLER  AG                     D1668R123
1613876      18807
X                  5262          0      13545
 DALLAS  SEMICONDUCTOR  CORPORATION       235204104
3863        100
X                   100          0          0
 DANAHER  CORPORATION                    235851102
20900        400
X                     0          0        400
 DARDEN  RESTAURANTS  INCORPORATED        237194105
33000       1600
X                  1600          0          0
 DAW  TECHNOLOGIES  INCORPORATED          239220106
1920       1280
X                     0          0       1280
 DAYTON  HUDSON  CORPORATION              239753106
13636472     204675
X                181985          0      22690
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
30109060     778663
601582          0     177081
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     6


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 DEERE  &  COMPANY                        244199105
67787       1755
X                  1600          0        155
 DELIA*S  INCORPORATED                   246885107
7214        229
X                   229          0          0
 DELL  COMPUTER  CORPORATION              247025109
12740043     311683
X                303543          0       8140
 DELUXE  CORPORATION                     248019101
3612        124
X                   124          0          0
 DII  GROUP  INCORPORATED                 232949107
5499        188
X                   188          0          0
 DISNEY  WALT  COMPANY                    254687106
11218477     360433
X                324558          0      35875
 DIXIE  GROUP  INCORPORATED-CLASS  A       255519100
7125       1000
X                     0          0       1000
 DOLE  FOOD  COMPANY                      256605106
312750      10425
X                 10425          0          0
 DOLLAR  TREE  STORES  INCORPORATED        256747106
1043522      33730
X                 28180          0       5550
 DOMINION  RES  BLACK  WARRIOR  TRUST       25746Q108
7406        500
X                     0          0        500
 DOMINION  RESOURCES  INC  VIRGINIA        257470104
85954       2327
X                  2249          0         78
 DONNELLEY  R  R  &  SONS  COMPANY           257867101
263938       8200
X                  8200          0          0
 DOVER  CORPORATION                      260003108
185777       5651
X                  5651          0          0
 DOW  CHEMICAL  COMPANY                   260543103
474790       5095
X                  5095          0          0
 DQE  INCORPORATED                       23329J104
179019       4665
X                  4665          0          0
 DTE  ENERGY  COMPANY                     233331107
1052227      27375
X                 27025          0        350
 DU  PONT  E  I  DE  NEMOURS  &  COMPANY       263534109
6837382     117759
X                104019          0      13740
 DUKE  ENERGY  CORPORATION                264399106
766224      13979
X                 13979          0          0
 DUN  &  BRADSTREET  CORPORATION  DEL       26483B106
41503       1165
X                  1165          0          0
 DURA  PHARMACEUTICALS  INCORPORATED      26632S109
2825        200
X                   200          0          0
 DYERSBURG  CORPORATION                  267575108
156        100
X                   100          0          0
 DYNATRONICS  CORPORATION                268157104
2391       1500
X                  1500          0          0
 EAGLE  HARDWARE  &  GARDEN  INCORPORATED   26959B101
1629346      42667
X                 42667          0          0
 EARTHGRAINS  COMPANY                    270319106
1243         56
X                    56          0          0
 EARTHWEB  INCORPORATED                  27032C108
6303        115
X                   115          0          0
 EASTMAN  CHEMICAL  COMPANY               277432100
31631        752
X                   590          0        162
 EASTMAN  KODAK  COMPANY                  277461109
325124       5090
X                  4420          0        670
 ECHELON  INTERNATIONAL  CORP  INC         278747100
393         20
X                    20          0          0
 EDISON  INTERNATIONAL                   281020107
209106       9398
X                  9398          0          0
 EFTC  CORPORATION                       268443108
2775        600
X                   600          0          0
 EG&G  INCORPORATED                      268457108
63300       2400
X                  2400          0          0
 EL  PASO  ENERGY  CORPORATION  DEL         283905107
19286        590
X                   590          0          0
 ELECTRONIC  DATA  SYSTEMS  CORPORATION    285661104
1931190      39665
X                 19541          0      20124
 ELXSI  CORPORATION-COMMON  NEW           268613205
205         20
X                    20          0          0
 EMC  CORPORATION  MASSACHUSETTS          268648102
196735       1540
X                   110          0       1430
 EMERSON  ELECTRIC  COMPANY               291011104
607087      11468
X                 11468          0          0
 EMPIRE  DISTRICT  ELECTRIC  COMPANY       291641108
4563        200
X                   200          0          0
 ENERGEN  CORPORATION                    29265N108
26888       1800
X                  1800          0          0
 ENERGY  CONVERSION  DEVICES  INC          292659109
18500       2000
X                     0          0       2000
 ENRON  CORPORATION                      293561106
1033975      16093
X                  5093          0      11000
 ENTERGY  CORPORATION  NEW                29364G103
8498        309
X                   309          0          0
 EQUIFAX  INCORPORATED                   294429105
214844       6250
X                  2550          0       3700
 EQUITABLE  COMPANIES  INCORPORATED       29444G107
5040         72
X                    72          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
41641653    1049188
944714          0     104474
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     7


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 EQUITY  OIL  COMPANY                     294749106
660        704
X                   704          0          0
 ETHYL  CORPORATION                      297659104
2210        520
X                   520          0          0
 EVANS  &  SUTHERLAND  COMPUTER  CORP       299096107
6600        550
X                   550          0          0
 EVEREST  REINSURANCE  HOLDINGS  INC       299808105
15594        500
X                   500          0          0
 EXXON  CORPORATION                      302290101
30194047     427905
X                409071          0      18834
 FAMILY  GOLF  CENTERS  INCORPORATED       30701A106
19709       2650
X                  2650          0          0
 FANNIE  MAE                             313586109
17572326     253752
X                242427          0      11325
 FEDERAL  TR  CORP                        314012105
2623        976
X                   976          0          0
 FIFTH  THIRD  BANCORP                    316773100
44508        675
X                   675          0          0
 FINANCIAL  INDUSTRIES  CORPORATION       317574101
240000      20000
X                 20000          0          0
 FIRST  AMERICAN  CORPORATION  TENNESSEE   318900107
39309       1066
X                  1066          0          0
 FIRST  DATA  CORPORATION                 319963104
104567       2446
X                   146          0       2300
 FIRST  INDUSTRIAL  REALTY  TRUST  INC      32054K103
81388       3400
X                  3400          0          0
 FIRST  SECURITY  CORPORATION  DEL         336294103
303221874   15700809
X              14885787          0     815022
 FIRST  SOUTHN  BANCSHARES  INC            33645B107
1350        100
X                   100          0          0
 FIRST  TENNESSEE  NATIONAL  CORP          337162101
91563       2500
X                  2500          0          0
 FIRST  UNION  CORPORATION                337358105
74813       1400
X                  1400          0          0
 FIRSTAR  CORPORATION  NEW  WIS            33763V109
261430       2921
X                  2921          0          0
 FIRSTENERGY  CORPORATION                337932107
16940        605
X                   605          0          0
 FLEET  FINANCIAL  GROUP  INC  NEW          338915101
67725       1800
X                  1800          0          0
 FLORIDA  PROGRESS  CORPORATION           341109106
47188       1250
X                  1250          0          0
 FLORSHEIM  GROUP  INCORPORATED           343302105
88         16
X                     0          0         16
 FLOWERS  INDUSTRIES  INCORPORATED        343496105
27408       1113
X                  1113          0          0
 FOOTSTAR  INCORPORATED                  344912100
5888        184
X                     0          0        184
 FORD  MOTOR  COMPANY  DELAWARE            345370100
2617319      46171
X                 41371          0       4800
 FORELAND  CORPORATION-COMMON  NEW        345458301
147        147
X                   147          0          0
 FOREST  LABORATORIES  INCORPORATED       345838106
338          6
X                     6          0          0
 FORTUNE  BRANDS  INCORPORATED            349631101
129514       3364
X                  2092          0       1272
 FPL  GROUP  INCORPORATED                 302571104
990450      18600
X                 18600          0          0
 FRANCHISE  FINANCE  CORP  AMERICA         351807102
12006        570
X                   570          0          0
 FRANKLIN  COVEY  COMPANY                 353469109
1800        200
X                   200          0          0
 FRANKLIN  RESOURCES  INCORPORATED        354613101
299531      10650
X                 10650          0          0
 FREDDIE  MAC                            313400301
139269       2430
X                    20          0       2410
 FREMONT  GENERAL  CORPORATION            357288109
95313       5000
X                  5000          0          0
 FURNITURE  BRANDS  INTERNATIONAL  INC     360921100
664         30
X                     0          0         30
 GAINSCO  INCORPORATED                   363127101
4875       1000
X                  1000          0          0
 GANNETT  INCORPORATED                   364730101
50400        800
X                   800          0          0
 GAP  INCORPORATED                       364760108
1201461      17849
X                 17849          0          0
 GARDNER  DENVER  MACHINERY  INC           365558105
429         27
X                    27          0          0
 GATEWAY  2000  INCORPORATED              367833100
27425        400
X                   400          0          0
 GATX  CORPORATION                       361448103
13175        400
X                   400          0          0
 GENCOR  INDS  INC                        368678108
631        100
X                   100          0          0
 GENERAL  CABLE  CORPORATION  DEL  NEW      369300108
19013       1800
X                  1500          0        300
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
357743568   16537386
15680893          0     856493
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     8


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 GENERAL  COMMUNICATIONS  INC-CLASS  A     369385109
41916       9187
X                   120          0       9067
 GENERAL  ELECTRIC  COMPANY               369604103
1831666358   16557436
X              14633956       6880    1916600
 GENERAL  MILLS  INCORPORATED             370334104
690944       9144
X                  8644          0        500
 GENERAL  MOTORS  CORPORATION             370442105
10177956     116988
X                115788          0       1200
 GENUINE  PARTS  COMPANY                  372460105
260840       9053
X                  9053          0          0
 GENZYME  CORP-MOLECULAR  ONCOLOGY  DIV    372917500
2981        795
X                   795          0          0
 GENZYME  CORPORATION-GENERAL  DIVISION   372917104
471338       9345
X                  9345          0          0
 GEORGIA  PACIFIC  CORP  TIMBER  GROUP      373298702
289444      12900
X                 12900          0          0
 GEORGIA  PACIFIC  GROUP                  373298108
957825      12900
X                 12900          0          0
 GILLETTE  COMPANY                       375766102
12479498     209960
X                202270          0       7690
 GLENBOROUGH  REALTY  TRUST  INC           37803P105
20213       1189
X                  1189          0          0
 GLOBAL  MARINE  INCORPORATED-COM-NEW     379352404
1175        100
X                     0          0        100
 GLOBAL  PAYMENT  TECHNOLOGIES  INC        37936S109
1088        100
X                   100          0          0
 GLOBALSTAR  TELECOMMUNICATIONS          G3930H104
5356        386
X                   386          0          0
 GOODRICH  B  F  COMPANY                   382388106
4199678     122395
X                117345          0       5050
 GPU  INCORPORATED                       36225X100
7463        200
X                   200          0          0
 GRAINGER  W  W  INCORPORATED              384802104
30144        700
X                   700          0          0
 GREAT  NORTHERN  IRON  ORE  PROPERTIES     391064102
24000        400
X                   300          0        100
 GTE  CORPORATION                        362320103
3608402      59643
X                 55008          0       4635
 GTS  DURATEK  INCORPORATED               36237J107
1025        200
X                   200          0          0
 GUIDANT  CORPORATION                    401698105
3681425      60850
X                 60850          0          0
 HALLIBURTON  COMPANY                    406216101
306422       7959
X                  6809          0       1150
 HALTER  MARINE  GROUP  INCORPORATED       40642Y105
5813       1000
X                     0          0       1000
 HANNAFORD  BROTHERS  COMPANY             410550107
68156       1500
X                     0          0       1500
 HARLAND  JOHN  H  COMPANY                 412693103
31050       2400
X                  2400          0          0
 HARLEY  DAVIDSON  INCORPORATED           412822108
81014       1412
X                   500          0        912
 HARNISCHFEGER  INDUSTRIES  INC           413345109
29575       5200
X                  5200          0          0
 HARRAHS  ENTERTAINMENT  INCORPORATED     413619107
145161       7615
X                  7350          0        265
 HARTFORD  FINANCIAL  SERVICES  GRP  INC    416515104
22725        400
X                   400          0          0
 HAWAIIAN  ELECTRIC  INDUSTRIES  INC       419870100
21038        600
X                   600          0          0
 HEALTH  CARE  PROPERTIES  INVS  INC        421915109
195500       6800
X                  6800          0          0
 HEALTH  MANAGEMENT  SYSTEMS  INC          42219M100
1425        300
X                   300          0          0
 HECLA  MINING  COMPANY                   422704106
134         50
X                    50          0          0
 HEILIG  MEYERS  COMPANY                  422893107
10375       2000
X                  2000          0          0
 HEINZ  H  J  COMPANY                      423074103
4139391      87375
X                 86175          0       1200
 HELMERICH  &  PAYNE  INCORPORATED         423452101
34031       1500
X                  1320          0        180
 HERTZ  TECHNOLOGY  GROUP  INC             42804Y303
39375       3000
X                  3000          0          0
 HEWLETT  PACKARD  COMPANY                428236103
16880362     248927
X                225247          0      23680
 HILLENBRAND  INDUSTRIES                 431573104
73900       1600
X                  1600          0          0
 HILTON  HOTELS  CORPORATION              432848109
126070       8965
X                  7965          0       1000
 HOME  DEPOT  INCORPORATED                437076102
14951454     240184
X                216668          0      23516
 HOMESTAKE  MINING  COMPANY               437614100
1725        200
X                     0          0        200
 HOMESTEAD  VILLAGE  INC                  437851108
407        167
X                   167          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
1905784172   17823025
15816600       6880    1999545
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE     9


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 HOUSEHOLD  INTERNATIONAL  INCORPORATED   441815107
605124      13263
X                 12963          0        300
 HS  RES  INC                             404297103
26          3
X                     3          0          0
 HUMANA  INCORPORATED                    444859102
863         50
X                    50          0          0
 HUNTINGTON  BANCSHARES  INC              446150104
123533       3993
X                  3993          0          0
 HURCO  COMPANIES  INCORPORATED           447324104
7416       1648
X                  1648          0          0
 I-LINK  CORPORATION                     449927102
72583      29400
X                 29300          0        100
 IDACORP  INCORPORATED                   451107106
709326      24096
X                 22596          0       1500
 IDEX  CORPORATION                       45167R104
70688       3000
X                     0          0       3000
 IKON  OFFICE  SOLUTIONS  INCORPORATED     451713101
8328        650
X                   650          0          0
 ILLINOVA  CORPORATION                   452317100
44494       2100
X                  2100          0          0
 IMATION  CORPORATION                    45245A107
1980        120
X                   120          0          0
 IMPERIAL  CREDIT  INDUSTRIES  INC         452729106
729159      99714
X                 95314          0       4400
 IMPERIAL  SUGAR  CO  NEW                  453096109
613        100
X                   100          0          0
 IMS  HEALTH  INCORPORATED                449934108
10931        330
X                   330          0          0
 INACOM  CORPORATION                     45323G109
10912       1408
X                  1408          0          0
 INDYMAC  MORTGAGE  HOLDINGS  INC          456607100
15704       1444
X                  1144          0        300
 INGERSOLL  RAND  COMPANY                 456866102
468956       9450
X                  9450          0          0
 INNKEEPERS  USA  TRUST                   4576J0104
483319      51900
X                 50700          0       1200
 INTEGRATED  DEVICE  TECHNOLOGY  INC       458118106
4325        800
X                   800          0          0
 INTEL  CORPORATION                      458140100
28061157     236056
X                210761          0      25295
 INTERFACE  INCORPORATED-CLASS  A         458665106
19731       2050
X                  2050          0          0
 INTERGROUP  CORPORATION                 458685104
15678       1293
X                  1293          0          0
 INTERNATIONAL  BUSINESS  MACHINES  CORP   459200101
28219795     159209
X                144009          0      15200
 INTERNATIONAL  PAPER  COMPANY            460146103
156727       3715
X                  3515          0        200
 INTERNATIONAL  RECTIFIER  CORPORATION    460254105
38150       5450
X                  5450          0          0
 INTERNATIONAL  REMOTE  IMAGING  SYS  INC   460259500
163        200
X                   200          0          0
 INTERPUBLIC  GROUP  COMPANIES  INC        460690100
103574       1330
X                   270          0       1060
 INTERSTATE  ENERGY  CORPORATION  WISC     460845100
1547285      58114
X                 57658          0        456
 INTUIT                                 461202103
10175        100
X                   100          0          0
 INVIVO  CORPORPORATION                  461858102
1350        100
X                   100          0          0
 IOMEGA  CORPORATION                     462030107
2050        400
X                     0          0        400
 IONICS  INCORPORATED                    462218108
73023       2424
X                  2424          0          0
 IPALCO  ENTERPRISES  INCORPORATED        462613100
157687       7188
X                  7188          0          0
 ITT  INDUSTRIES  INCORPORATED  INDIANA    450911102
7075        200
X                   200          0          0
 IVAX  CORPORATION                       465823102
2953        250
X                   250          0          0
 JCC  HOLDING  COMPANY-CLASS  A            46611Q205
0        487
X                   487          0          0
 JDN  REALTY  CORPORATION                 465917102
794583      39979
X                 39979          0          0
 JOHNSON  &  JOHNSON                      478160104
12901598     137985
X                133935          0       4050
 JOHNSON  CONTROLS  INCORPORATED          478366107
43039        690
X                   690          0          0
 JOSTENS  INCORPORATED                   481088102
5908        278
X                   278          0          0
 JP  REALTY  INCORPORATED                 46624A106
16242        825
X                   825          0          0
 K  MART  CORPORATION                     482584109
178213      10600
X                  5200          0       5400
 K  N  ENERGY  INCORPORATED                482620101
478500      24000
X                 24000          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
76202936     936392
873531          0      62861
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    10


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 KELLOGG  COMPANY                        487836108
105495       3120
X                  3120          0          0
 KEMET  CORPORATION                      488360108
24150       2100
X                  2100          0          0
 KENNAMETAL  INCORPORATED                489170100
3525        200
X                   200          0          0
 KENNEDY  WILSON  INC-COMMON  NEW          489399204
3994        450
X                   450          0          0
 KERR  MCGEE  CORPORATION                 492386107
118125       3600
X                  3600          0          0
 KEY  PRODUCTION  INCORPORATED            493138101
2237        314
X                   314          0          0
 KEYCORP  NEW                            493267108
4192704     138316
X                138316          0          0
 KEYSPAN  ENERGY  CORPORATION             49337K106
4422        176
X                   176          0          0
 KIMBERLY  CLARK  CORPORATION             494368103
3512333      73269
X                 66744          0       6525
 KINROSS  GOLD  CORPORATION               496902107
138         65
X                    65          0          0
 KOHLS  CORPORATION                      500255104
194198       2740
X                     0          0       2740
 KROGER  COMPANY                         501044101
1387603      23175
X                 23175          0          0
 LATTICE  SEMICONDUCTOR  CORPORATION      518415104
18225        400
X                   400          0          0
 LAUDER  ESTEE  COMPANIES  INC-CLASS  A     518439104
10868        115
X                   115          0          0
 LCA  VISION  INCORPORATED-COMMON  NEW     501803209
84         21
X                    21          0          0
 LEAR  CORPORATION                       521865105
1328435      31120
X                 31065          0         55
 LEHMAN  BROTHERS  HOLDINGS  INC           524908100
56165        940
X                   940          0          0
 LEUCADIA  NATIONAL  CORPORATION          527288104
3025        100
X                   100          0          0
 LEXMARK  INTL  GROUP  INC-CL  A            529771107
10069         90
X                    90          0          0
 LIBERTY  PROPERTY  TRUST-SH  BEN  INT      531172104
18675        900
X                   900          0          0
 LILLY  ELI  &  COMPANY                    532457108
1541754      18165
X                 12825          0       5340
 LOCKHEED  MARTIN  CORPORATION            539830109
1290295      34180
X                 33980          0        200
 LONG  DRUG  STORES  CORPORATION           543162101
24350        800
X                   800          0          0
 LORAL  SPACE  &  COMMUNICATIONS           G56462107
1444        100
X                   100          0          0
 LOUIS  DREYFUS  NATIONAL  GAS  CORP        546011107
73          5
X                     5          0          0
 LOUISIANA  PACIFIC  CORPORATION          546347105
201411      10814
X                 10814          0          0
 LOWES  COMPANIES  INCORPORATED           548661107
84700       1400
X                  1400          0          0
 LSI  LOGIC  CORPORATION                  502161102
12787        410
X                   300          0        110
 LTC  PROPERTIES  INCORPORATED            502175102
261088      21533
X                 21333          0        200
 LTV  CORPORATION  NEW                    501921100
43000       8000
X                  8000          0          0
 LUCENT  TECHNOLOGIES  INCORPORATED       549463107
29659284     274623
X                266670          0       7953
 MAGNETEK  INCORPORATED                  559424106
23869       2850
X                  2850          0          0
 MAGYAR  TAVKOZLESI  RT                   559776109
2675        100
X                   100          0          0
 MALLINCKRODT  INCORPORATED  NEW          561232109
65444       2458
X                  2458          0          0
 MARRIOTT  INTERNATIONAL  INC  NEW-CL  A    571903202
40350       1200
X                  1000          0        200
 MARSHALL  &  ILSLEY  CORPORATION          571834100
49894        900
X                   900          0          0
 MASCO  CORPORATION                      574599106
48025       1700
X                  1700          0          0
 MATERIAL  SCIENCES  CORP                 576674105
14981       2350
X                  2350          0          0
 MATHSOFT  INCORPORATED                  576798102
3188       1000
X                  1000          0          0
 MATTEL  INCORPORATED                    577081102
188602       7563
X                  4412          0       3151
 MAY  DEPARTMENT  STORES  COMPANY          577778103
548141      14010
X                  8610          0       5400
 MCDERMOTT  INTERNATIONAL  INCORPORATED   580037109
41766       1650
X                  1650          0          0
 MCDONALDS  CORPORATION                  580135101
4903809     108222
X                105162          0       3060
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
50045400     795244
760310          0      34934
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    11


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 MCGRAW  HILL  COMPANIES  INCORPORATED     580645109
11583430     212540
X                206540          0       6000
 MCI  WORLDCOM  INCORPORATED              55268B106
26666612     301105
X                269291          0      31814
 MCKESSON  HBOC  INCORPORATED             58155Q103
3904890      59165
X                 52746          0       6419
 MCN  CORPORATION                        55267J100
112438       7000
X                  7000          0          0
 MDU  RESOURCES  GROUP  INCORPORATED       552690109
52086       2277
X                  2277          0          0
 MEAD  CORPORATION                       582834107
49200       1600
X                  1600          0          0
 MEDIAONE  GROUP  INCORPORATED            58440J104
1440919      22714
X                 22150          0        564
 MEDITRUST-PAIRED  CERTIFICATE           58501T306
5373        432
X                   432          0          0
 MEDTRONIC  INCORPORATED                 585055106
2739300      38112
X                 35912          0       2200
 MELLON  BANK  CORPORATION                585509102
56300        800
X                   800          0          0
 MERCANTILE  BANCORPORATION              587342106
129200       2720
X                  2720          0          0
 MERCK  &  COMPANY  INCORPORATED           589331107
36476746     455248
X                422358          0      32890
 MERITOR  AUTOMOTIVE  INCORPORATED        59000G100
14958        965
X                   965          0          0
 MERRILL  LYNCH  &  COMPANY  INCORPORATED   590188108
1308030      14780
X                   800          0      13980
 METROMEDIA  INTERNATIONAL  GROUP  INC     591695101
570        117
X                   117          0          0
 MEYER  FRED  INCORPORATED  DELAWARE  NEW   592907109
6985107     118643
X                118643          0          0
 MGC  COMMUNICATIONS  INC                 552763302
900000      90000
X                 90000          0          0
 MGM  GRAND  INCORPORATED                 552953101
45495       1353
X                  1188          0        165
 MICHAELS  STORES  INCORPORATED           594087108
56781       2300
X                  2300          0          0
 MICRON  ELECTRONICS  INCORPORATED        595100108
36131       3075
X                   400          0       2675
 MICRON  TECHNOLOGY  INCORPORATED         595112103
236119       4900
X                  3600          0       1300
 MICROSOFT  CORPORATION                  594918104
33814796     377292
X                361638          0      15654
 MID  AMERICA  APARTMENT  CMNTYS  INC       59522J103
29925       1400
X                  1250          0        150
 MID  ATLANTIC  REALTY  TRUST-SH  BEN  INT   595232109
304425      29700
X                 29700          0          0
 MIDWAY  GAMES  INCORPORATED              598148104
1738        200
X                   200          0          0
 MIKOHN  GAMING  CORPORATION              59862K108
300        100
X                   100          0          0
 MILLS  CORPORATION-REIT                 601148109
17938       1000
X                  1000          0          0
 MINING  SVCS  INTL  CORP                  603665209
10          2
X                     2          0          0
 MINNESOTA  MINING  &  MANUFACTURING  CO    604059105
307126       4341
X                  4341          0          0
 MINNESOTA  POWER  &  LIGHT  COMPANY        604110106
23700       1200
X                  1200          0          0
 MIRAGE  RESORTS  INCORPORATED            60462E104
29750       1400
X                  1400          0          0
 MOBIL  CORPORATION                      607059102
14334232     162889
X                159059          0       3830
 MOMENTUM  BUSINESS  APPLICATIONS  INC     60877P108
197         22
X                    22          0          0
 MONSANTO  COMPANY                       611662107
7816725     170160
X                154790          0      15370
 MONTANA  POWER  COMPANY                  612085100
185525       2522
X                  2317          0        205
 MONY  GROUP  INCORPORATED                615337102
65819       2646
X                  2646          0          0
 MORGAN  J  P  &  COMPANY  INCORPORATED      616880100
1348612      10931
X                 10931          0          0
 MORGAN  STANLEY  DEAN  WITTER  DISCOVER    617446448
1814665      18158
X                  6213          0      11945
 MORRISON  KNUDSEN  CORPORATION  NEW       61844A109
3975        400
X                   400          0          0
 MORTON  INTERNATIONAL  INC  IND  NEW       619335102
80152       2181
X                  2181          0          0
 MOTOROLA  INCORPORATED                  620076109
2686444      36675
X                 35075          0       1600
 MULTIPLE  ZONES  INTL  INC                624906103
859         50
X                    50          0          0
 MYLAN  LABORATORIES  INCORPORATED        628530107
1214384      44260
X                 44260          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
156880982    2207375
2060614          0     146761
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    12


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 MYRIAD  GENETICS  INCORPORATED           62855J104
4500        500
X                   100          0        400
 NABISCO  HOLDINGS  CORPORATION-CLASS  A   629526104
4281        103
X                   103          0          0
 NABORS  INDUSTRIES  INCORPORATED         629568106
53653       2950
X                  2950          0          0
 NALCO  CHEMICAL  COMPANY                 629853102
7969        300
X                   300          0          0
 NAPRO  BIOTHERAPEUTICS  INCORPORATED     630795102
722        300
X                   300          0          0
 NASDAQ  GOLD  TR                         631100104
31481        300
X                   300          0          0
 NATIONAL  CITY  CORPORATION              635405103
257535       3880
X                  1480          0       2400
 NATIONWIDE  HEALTH  PROPERTIES  INC       638620104
351728      18512
X                 18312          0        200
 NCR  CORPORATION-NEW                    62886E108
58300       1166
X                  1054          0        112
 NEOTHERAPEUTICS  INCORPORATED           640656104
1825        200
X                   200          0          0
 NETMANAGE  INCORPORATED                 641144100
722        300
X                   300          0          0
 NETMED  INCORPORATED  OHIO               64114Q101
188       2000
X                  2000          0          0
 NETWORK  APPLIANCE  INCORPORATED         64120L104
20756        410
X                   410          0          0
 NETWORK  EVENT  THEATER  INCORPORATED     640924106
12625       1000
X                  1000          0          0
 NETWORKS  ASSOCIATES  INCORPORATED       640938106
18413        600
X                   600          0          0
 NEVADA  POWER  COMPANY                   641423108
29700       1200
X                  1200          0          0
 NEW  CENTURY  ENERGIES  INC               64352U103
1453277      42665
X                 42665          0          0
 NEW  PLAN  EXCEL  REALTY  TRUST  INC        648053106
116660       6080
X                  6080          0          0
 NEWMONT  MINING  CORPORATION             651639106
17448        997
X                   976          0         21
 NEWPORT  NEWS  SHIPBUILDING  INC          652228107
3169        100
X                   100          0          0
 NIELSEN  MEDIA  RESEARCH  INC-COM  NEW     653929307
1062         43
X                    43          0          0
 NL  INDUSTRIES  INCORPORATED-COM  NEW     629156407
118827      13203
X                 13203          0          0
 NOBLE  AFFILIATES  INCORPORATED          654894104
84100       2900
X                  2900          0          0
 NORDSTROM  INCORPORATED                 655664100
1544871      37795
X                 37795          0          0
 NORFOLK  SOUTHERN  CORPORATION           655844108
239063       9064
X                  9064          0          0
 NORTH  FORK  BANCORPORATION  INC  N  Y      659424105
63375       3000
X                     0          0       3000
 NORTHERN  STATES  POWER  CO  MINN          665772109
4753        205
X                   205          0          0
 NORTHERN  TRUST  CORPORATION             665859104
457207       5148
X                  5148          0          0
 NORTHWEST  AIRLINES  CORPORATION-CL  A    667280101
13906        500
X                     0          0        500
 NORTHWEST  NATURAL  GAS  COMPANY          667655104
60703       2775
X                  2775          0          0
 NOVELL  INCORPORATED                    670006105
33978       1349
X                   849          0        500
 OCCIDENTAL  PETROLEUM  CORPORATION       674599105
5400        300
X                   300          0          0
 OGE  ENERGY  CORPORATION                 670837103
45125       2000
X                  2000          0          0
 OLIN  CORPORATION-COMMON  PAR  $1.00      680665205
2013        200
X                   200          0          0
 OMEGA  HEALTHCARE  INVESTORS  INC         681936100
16056        700
X                   700          0          0
 OMNI  ENERGY  SERVICES  CORPORATION       68210T109
1008        250
X                   250          0          0
 OMNICOM  GROUP                          681919106
110314       1380
X                  1380          0          0
 ONEOK  INCORPORATED                     682680103
14850        600
X                   600          0          0
 ONYX  SOFTWARE  CORPORATION              683402101
3913        100
X                   100          0          0
 ORACLE  SYSTEMS  CORPORATION             68389X105
955303      36220
X                  6700          0      29520
 ORANGE  &  ROCKLAND  UTILITIES  INC        684065105
11488        200
X                   200          0          0
 PACIFICORP                             695114108
1796674     104155
X                103269          0        886
 PAGING  NETWORK  INCORPORATED            695542100
7969       1700
X                  1700          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
8036910     307350
269811          0      37539
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    13


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 PAINE  WEBBER  GROUP  INCORPORATED        695629105
11963        300
X                   300          0          0
 PAIRGAIN  TECHNOLOGIES  INCORPORATED     695934109
30225       3100
X                  3100          0          0
 PAR  TECHNOLOGY  CORPORATION             698884103
2100        400
X                     0          0        400
 PARAGON  TRADE  BRANDS  INCORPORATED      69912K107
5000       2000
X                     0          0       2000
 PARK  PL  ENTMT  CORP                     700690100
56832       7515
X                  6515          0       1000
 PAYLESS  SHOESOURCE  INCORPORATED        704379106
26784        576
X                     0          0        576
 PECO  ENERGY  COMPANY                    693304107
18500        400
X                   400          0          0
 PENNEY  J  C  INCORPORATED                708160106
938709      23178
X                 20178          0       3000
 PENNZENERGY  COMPANY                    70931Q109
2100        200
X                   200          0          0
 PENNZOIL-QUAKER  ST  CO                  709323109
29378       2374
X                  2374          0          0
 PENTON  MEDIA  INCORPORATED              709668107
31995       1422
X                  1422          0          0
 PEOPLES  ENERGY  CORPORATION             711030106
220791       6833
X                  6833          0          0
 PEOPLESOFT  INCORPORATED                712713106
14625       1000
X                  1000          0          0
 PEPSICO  INCORPORATED                   713448108
13358196     340879
X                312809          0      28070
 PERKIN  ELMER  CORPORATION               714041100
36884        380
X                   380          0          0
 PETCO  ANIMAL  SUPPLIES  INCORPORATED     716016100
29500       2950
X                  2950          0          0
 PFIZER  INCORPORATED                    717081103
20764770     149656
X                142086          0       7570
 PG&E  CORPORATION                       69331C108
202496       6519
X                  6519          0          0
 PHARMACIA  &  UPJOHN  INCORPORATED        716941109
466877       7485
X                  7485          0          0
 PHARMAPRINT  INCORPORATED               716950100
18000       2000
X                  2000          0          0
 PHELPS  DODGE  CORPORATION               717265102
64025       1300
X                  1300          0          0
 PHILIP  MORRIS  COS  INCORPORATED         718154107
3561925     101227
X                 94822          0       6405
 PHILLIPS  PETROLEUM  COMPANY             718507106
5210636     110278
X                110278          0          0
 PHYCOR  INCORPORATED                    71940F100
475        100
X                   100          0          0
 PHYSICIAN  RELIANCE  NETWORK  INC         71940G108
5100        600
X                   600          0          0
 PIEDMONT  NATURAL  GAS  COMPANY           720186105
71505       2043
X                  2043          0          0
 PIER  1  IMPORTS  INCORPORATED            720279108
29656       3650
X                  3650          0          0
 PINNACLE  WEST  CAPITAL  CORPORATION      723484101
18188        500
X                   500          0          0
 PIONEER  HI  BRED  INTERNATIONAL  INC      723686101
8654        230
X                     0          0        230
 PITTWAY  CORPORATION  DELAWARE-CLASS  A   725790208
59466       2244
X                  2244          0          0
 PNC  FINANCIAL  CORPORATION              693475105
33338        600
X                   600          0          0
 POOL  ENERGY  SERVICES  COMPANY           732788104
9188        600
X                   600          0          0
 POTLATCH  CORPORATION                   737628107
80093       2360
X                  2360          0          0
 POTOMAC  ELECTRIC  POWER  COMPANY         737679100
92194       3976
X                  3976          0          0
 PP  &  L  RESOURCES  INCORPORATED          693499105
8093        327
X                   327          0          0
 PPG  INDUSTRIES  INCORPORATED            693506107
603213      11770
X                 11770          0          0
 PRAXAIR  INCORPORATED                   74005P104
419263      11626
X                 11626          0          0
 PRECISION  CASTPARTS  CORPORATION        740189105
414575      10300
X                 10300          0          0
 PREMARK  INTERNATIONAL  INCORPORATED     740459102
14822        450
X                   450          0          0
 PREMIERE  TECHNOLOGIES  INCORPORATED     74058F102
11375       1000
X                  1000          0          0
 PRIMEX  TECHNOLOGIES  INCORPORATED       741597108
4150        200
X                   200          0          0
 PROCTER  &  GAMBLE  COMPANY               742718109
3678043      37555
X                 33955          0       3600
 PROLOGIS  TRUST-SBI                     743410102
106375       5189
X                  5189          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
50770077     867292
814441          0      52851
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    14


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 PUBLIC  SERVICE  CO  NEW  MEXICO           744499104
136833       8049
X                  8049          0          0
 PUBLIC  SERVICE  ENTERPRISE  GROUP        744573106
289499       7581
X                  7581          0          0
 PUBLIC  STORAGE  INCORPORATED            74460D109
256825      10273
X                  5437          0       4836
 PUGET  SOUND  POWER  &  LIGHT  CO           745332106
159869       6932
X                  6932          0          0
 PYRAMID  BREWERIES  INCORPORATED         747135101
88         50
X                    50          0          0
 QUAKER  CHEMICAL  CORP                   747316107
113000       8000
X                  8000          0          0
 QUAKER  OATS  COMPANY                    747402105
653127      10492
X                  4892          0       5600
 QUALCOMM  INCORPORATED                  747525103
13681        110
X                   110          0          0
 QUANTUM  CORPORATION                    747906105
9000        500
X                     0          0        500
 QUEST  DIAGNOSTICS  INCORPORATED         74834L100
5830        262
X                   262          0          0
 QUESTAR  CORPORATION                    748356102
105464748    6226701
X               6217701          0       9000
 QUORUM  HEALTH  GROUP  INCORPORATED       749084109
43500       4350
X                  2100          0       2250
 QWEST  COMMUNICATIONS  INTL  INC          749121109
21723664     301325
X                293735          0       7590
 R  &  B  FALCON  CORPORATION               74912E101
196348      22765
X                 22065          0        700
 R  H  DONNELLEY  CORP                     74955W307
3566        231
X                   231          0          0
 RALCORP  HOLDINGS  INCORPORATED  NEW      751028101
13604        716
X                   716          0          0
 RALSTON  PURINA  COMPANY                 751277302
52841       1980
X                  1980          0          0
 RAYTHEON  COMPANY-CLASS  A               755111309
102564       1776
X                  1762          0         14
 RAYTHEON  COMPANY-CLASS  B               755111408
134251       2290
X                  2260          0         30
 REALTY  INCOME  CORPORATION              756109104
87423       4163
X                  4163          0          0
 RELIANT  ENERGY  INCORPORATED            75952J108
440456      16900
X                 16900          0          0
 REYNOLDS  &  REYNOLDS  COMPANY            761695105
150841       7939
X                  7939          0          0
 REYNOLDS  METALS  COMPANY                761763101
4541         94
X                    94          0          0
 RITE  AID  CORPORATION                   767754104
5107925     204317
X                182006          0      22311
 RJR  NABISCO  HOLDINGS  CORPORATION       74960K876
4575        183
X                   183          0          0
 ROCKWELL  INTERNATIONAL  CORP  NEW        773903109
144118       3396
X                  3396          0          0
 ROLLINS  TRUCK  LEASING  CORPORATION      775741101
26425       2800
X                  2800          0          0
 ROWAN  COMPANIES  INCORPORATED           779382100
1640050     129265
X                129065          0        200
 ROYAL  BK  SCOTLAND  GROUP  PLC-SPNS  ADR   780097606
107750       4000
X                  4000          0          0
 ROYAL  CARIBBEAN  CRUISES  LTD            V7780T103
15600        400
X                   400          0          0
 RTI  INTERNATIONAL  METALS  INC           74973W107
17500       1750
X                  1750          0          0
 SAFECO  CORPORATION                     786429100
10109        250
X                   250          0          0
 SANTA  FE  ENERGY  RESOURCES  INC          802012104
4713        639
X                   639          0          0
 SANTA  FE  GAMING  CORPORATION            801904103
4339       7713
X                  7713          0          0
 SANTA  FE  INTERNATIONAL  CORP            G7805C108
437288      23400
X                     0          0      23400
 SARA  LEE  CORPORATION                   803111103
3121099     126105
X                121405          0       4700
 SBC  COMMUNICATIONS  INCORPORATED        78387G103
18297142     387754
X                379105          0       8649
 SCHERING  PLOUGH  CORPORATION            806605101
25364115     459079
X                408279          0      50800
 SCHWEITZER  MAUDUIT  INTERNATIONAL  INC   808541106
12282       1068
X                  1068          0          0
 SEALED  AIR  CORPORATION  NEW             81211K100
147563       3000
X                     0          0       3000
 SEARS  ROEBUCK  &  COMPANY                812387108
1291097      28572
X                 27132          0       1440
 SEATTLE  FILMWORKS  INCORPORATED         812572105
1225        400
X                   400          0          0
 SEMPRA  ENERGY                          816851109
93539       4875
X                  4875          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
185904553    8032445
7887425          0     145020
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    15


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 SENSORMATIC  ELECTRONICS  CORPORATION    817265101
3800        400
X                   400          0          0
 SEPRACOR  INCORPORATED                  817315104
11225        100
X                     0          0        100
 SEQUENT  COMPUTER  SYSTEMS  INC           817338106
600391      66250
X                  1250          0      65000
 SERVICE  CORPORATION  INTERNATIONAL      817565104
227587      15971
X                 15971          0          0
 SERVICEMASTER  COMPANY                  81760N109
9141        450
X                   450          0          0
 SHERWIN  WILLIAMS  COMPANY               824348106
360000      12800
X                 12800          0          0
 SHURGARD  STORAGE  CTRS  INC-CLASS  A      82567D104
242148       9590
X                  9440          0        150
 SIERRA  PACIFIC  RESOURCES               826425100
136528       3880
X                  3880          0          0
 SIGMA  ALDRICH  CORPORATION              826552101
105300       3600
X                  3600          0          0
 SIMON  PROPERTY  GROUP                   828806109
16792        612
X                   612          0          0
 SIMPSON  INDUSTRIES  INCORPORATED        829060102
105875      11000
X                 11000          0          0
 SINGER  COMPANY  N  V                     82930F109
1010        265
X                     0          0        265
 SIZELER  PROPERTY  INVESTORS  INC         830137105
46200       5600
X                  5200          0        400
 SKYWEST  INCORPORATED                   830879102
3067507     106234
X                106234          0          0
 SMITH  INTERNATIONAL  INCORPORATED       832110100
600000      15000
X                     0          0      15000
 SODEXHO  MARRIOTT  SERVICES  INC          833793102
3309        150
X                   125          0         25
 SOLECTRON  CORPORATION                  834182107
55556       1144
X                  1144          0          0
 SOLUTIA  INCORPORATED                   834376105
154811       8910
X                  6701          0       2209
 SONAT  INCORPORATED                     835415100
18720        624
X                   624          0          0
 SONOSIGHT  INCORPORATED                 83568G104
6559        477
X                   421          0         56
 SOUTHERN  COMPANY                       842587107
1946151      83481
X                 83261          0        220
 SOUTHWEST  AIRLINES  COMPANY             844741108
156544       5175
X                  4950          0        225
 SOUTHWEST  GAS  CORPORATION              844895102
7095        258
X                   258          0          0
 SPACELABS  MEDICAL  INCORPORATED         846247104
2875        171
X                     0          0        171
 SPDR  TRUST-UNIT  SERIES  1               78462F103
246737       1922
X                  1922          0          0
 SPRINT  CORPORATION                     852061100
2001946      20402
X                 18402          0       2000
 SPRINT  CORPORATION-PCS  GROUP           852061506
443347      10005
X                  9005          0       1000
 ST  JUDE  MEDICAL  INCORPORATED           790849103
5777        237
X                   237          0          0
 ST  PAUL  COMPANIES  INCORPORATED         792860108
286427       9221
X                  9221          0          0
 STAPLES  INCORPORATED                   855030102
179004       5445
X                  1200          0       4245
 STARWOOD  HOTELS  &  RESORTS  WORLDWIDE    85590A203
2658141      93064
X                 84664          0       8400
 STATION  CASINOS  INCORPORATED           857689103
30281       2375
X                  1375          0       1000
 STORAGE  TECHNOLOGY  CORPORATION         862111200
16725        600
X                   600          0          0
 STRYKER  CORPORATION                    863667101
60525       1200
X                  1200          0          0
 SUMMIT  BANCORP                         866005101
883623      22657
X                 22657          0          0
 SUMMIT  TECHNOLOGY  INCORPORATED         86627E101
825         75
X                    75          0          0
 SUN  HEALTHCARE  GROUP  INCORPORATED      866933104
300        300
X                   300          0          0
 SUN  MICROSYSTEMS  INCORPORATED          866810104
308404       2466
X                  1876          0        590
 SUNOCO  INCORPORATED                    86764P109
30076        834
X                   834          0          0
 SUNRISE  MEDICAL  INCORPORATED           867910101
20313       3250
X                  3250          0          0
 SUNSHINE  MINING  &  REFINING  COMPANY     867833105
20000      40000
X                     0          0      40000
 SUNSTONE  HOTEL  INVESTORS  INC           867933103
222992      31025
X                 31025          0          0
 SUNTRUST  BANKS  INCORPORATED            867914103
12388        199
X                   199          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
15312955     597419
456363          0     141056
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    16


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 SUPERVALU  INCORPORATED                 868536103
111788       5420
X                  5420          0          0
 SURETY  CAPITAL  CORPORATION-COM  NEW     868666207
5063       3000
X                  3000          0          0
 SYLVAN  LEARNING  SYSTEMS  INCORPORATED   871399101
2738        100
X                     0          0        100
 SYMMETRICOM  INCORPORATED               871543104
8206       1300
X                  1300          0          0
 SYNOPSYS  INCORPORATED                  871607107
354750       6600
X                     0          0       6600
 SYSCO  CORPORATION                      871829107
5263        200
X                   200          0          0
 S3  INCORPORATED                        784849101
22500       3000
X                  3000          0          0
 TCI  SATELLITE  ENTMT  INC-CLASS  A        872298104
5907       9000
X                     0          0       9000
 TECO  ENERGY  INCORPORATED               872375100
49688       2500
X                  2500          0          0
 TELEFLEX  INCORPORATED                  879369106
126031       3700
X                  1700          0       2000
 TELLABS  INCORPORATED                   879664100
193545       1980
X                     0          0       1980
 TENNECO  INCORPORATED  NEW               88037E101
44141       1580
X                  1580          0          0
 TERADYNE  INCORPORATED                  880770102
24553        450
X                   450          0          0
 TETRA  TECH  INCORPORATED  NEW            88162G103
10257        487
X                   487          0          0
 TEXACO  INCORPORATED                    881694103
10901448     192096
X                165596          0      26500
 TEXAS  INSTRUMENTS  INCORPORATED         882508104
1793448      18070
X                 10500          0       7570
 TEXAS  UTILITIES  COMPANY                882848104
1486758      35399
X                 30799          0       4600
 TEXTRON  INCORPORATED                   883203101
177963       2300
X                  2300          0          0
 THERMO  ECOTEK  CORP                     88355R106
4800        600
X                   600          0          0
 THERMO  ELECTRON  CORPORATION            883556102
44078       3250
X                  3250          0          0
 THERMO  FIBERTEK  INC                    88355W105
7655       1065
X                  1065          0          0
 THERMO  VOLTEK  CORP                     883602104
2081        300
X                   300          0          0
 THRUSTMASTER  INCORPORATED              886027101
29625       2000
X                  2000          0          0
 TIG  HOLDINGS  INCORPORATED              872469101
32625       2000
X                  2000          0          0
 TIME  WARNER  INCORPORATED               887315109
70813       1000
X                  1000          0          0
 TIMES  MIRROR  COMPANY  NEW-COM  SER  A     887364107
33558        620
X                   620          0          0
 TIMKEN  COMPANY                         887389104
13000        800
X                   800          0          0
 TITANIUM  METALS  CORPORATION            888339108
23288       4050
X                  4050          0          0
 TJ  INTERNATIONAL  INCORPORATED          872534102
242456      10050
X                 10050          0          0
 TJX  COMPANIES  INCORPORATED  NEW         872540109
27200        800
X                   800          0          0
 TORCH  ENERGY  RTY  TR-UNIT  BEN  INT       891013104
3900        800
X                     0          0        800
 TOYS  R  US  INCORPORATED                 892335100
1881        100
X                   100          0          0
 TRANSAMERICA  CORPORATION               893485102
67166        946
X                   946          0          0
 TREMONT  CORPORATION                    894745207
23741       1347
X                  1347          0          0
 TRI  CONTINENTAL  CORPORATION            895436103
95729       3301
X                  3301          0          0
 TRICON  GLOBAL  RESTAURANTS  INC          895953107
303902       4326
X                  4226          0        100
 TUPPERWARE  CORPORATION                 899896104
9000        500
X                   500          0          0
 TYCO  INTERNATIONAL  LTD-NEW             902124106
20614349     287308
X                274053          0      13255
 U  S  FOODSERVICE                        90331R101
3717675      79950
X                 73850          0       6100
 U  S  WEST  INCORPORATED  NEW              91273H101
5886181     106900
X                106122          0        778
 UAL  CORPORATION-COMMON  PAR  $0.01       902549500
17444        224
X                   224          0          0
 UGI  CORPORATION  NEW                    902681105
8344        500
X                   500          0          0
 UMB  FINANCIAL  CORPORATION              902788108
51654       1333
X                  1333          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
46656192     801252
721869          0      79383
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    17


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 UNICOM  CORPORATION                     904911104
62156       1700
X                  1700          0          0
 UNION  CARBIDE  CORPORATION              905581104
19973        442
X                   442          0          0
 UNION  PACIFIC  CORPORATION              907818108
8703366     162870
X                156090          0       6780
 UNION  PACIFIC  RESOURCES  GROUP  INC      907834105
1412413     118940
X                114617          0       4323
 UNISOURCE  WORLDWIDE  INCORPORATED       909208100
2316        325
X                   325          0          0
 UNISYS  CORPORATION                     909214108
720         26
X                    26          0          0
 UNITED  HEALTHCARE  CORPORATION          910581107
177873       3380
X                  3380          0          0
 UNITED  RD  SVCS  INC                     911384105
77813      15000
X                 15000          0          0
 UNITED  STATES  FILTER  CORPORATION       911843209
12761009     416686
X                404311          0      12375
 UNITED  TECHNOLOGIES  CORPORATION        913017109
466447       3444
X                  3444          0          0
 UNIVERSAL  HEALTH  REALTY  INCOME  TR      91359E105
23400       1200
X                  1200          0          0
 UNIVIEW  TECHNOLOGIES-COM  PAR  $0.10     915282206
656        500
X                   500          0          0
 UNOCAL  CORPORATION                     915289102
106421       2886
X                  2886          0          0
 US  BANCORP  DELAWARE                    902973106
9348078     274439
X                235803          0      38636
 US  FREIGHTWAYS  CORPORATION             916906100
1286399      39130
X                 39005          0        125
 USX  MARATHON  GROUP-COMMON  NEW          902905827
55743       2027
X                  1860          0        167
 USX  U  S  STEEL  GROUP                    90337T101
7050        300
X                   300          0          0
 UTILICORP  UNITED  INCORPORATED          918005109
18769        825
X                   825          0          0
 VALERO  ENERGY  CORPORATION              91913Y100
11816        475
X                   475          0          0
 VETERINARY  CENTERS  OF  AMERICA  INC      925514101
4238        300
X                   300          0          0
 VIACOM  INCORPORATED-CLASS  B            925524308
7554         90
X                    90          0          0
 VIGNETTE  CORP                          926734104
4515         60
X                    60          0          0
 VISHAY  INTERTECHNOLOGY  INCORPORATED    928298108
47749       3293
X                  3293          0          0
 VLASIC  FOODS  INTERNATIONAL  INC         928559103
3040        235
X                   235          0          0
 VULCAN  MATERIALS  COMPANY               929160109
30984        750
X                     0          0        750
 WACHOVIA  CORPORATION  NEW               929771103
25899        319
X                   319          0          0
 WACKENHUT  CORRECTIONS  CORPORATION      929798106
21920       1135
X                  1135          0          0
 WAL  MART  STORES  INCORPORATED           931142103
17095988     185448
X                178418          0       7030
 WALGREEN  COMPANY                       931422109
261030       9240
X                  7100          0       2140
 WALTER  INDUSTRIES  INCORPORATED         93317Q105
3375        300
X                     0          0        300
 WARNACO  GROUP  INCORPORATED-CLASS  A     934390105
2469        100
X                     0          0        100
 WARNER  LAMBERT  COMPANY                 934488107
16444840     248224
X                225979          0      22245
 WASHINGTON  GAS  LIGHT  COMPANY           938837101
294125      13000
X                 13000          0          0
 WASHINGTON  MUTUAL  INCORPORATED         939322103
23013        563
X                   563          0          0
 WASTE  MANAGEMENT  INCORPORATED  DEL      94106L109
41402        933
X                   833          0        100
 WATSON  PHARMACEUTICALS  INCORPORATED    942683103
18444        418
X                   418          0          0
 WD  40  COMPANY                          929236107
20300        700
X                   700          0          0
 WEATHERFORD  INTERNATIONAL  INC  NEW      947074100
45510       1742
X                  1742          0          0
 WELLS  FARGO  &  COMPANY  NEW              949746101
9244298     263652
X                251262          0      12390
 WENDYS  INTERNATIONAL  INCORPORATED      950590109
41234       1450
X                  1300          0        150
 WESTERN  BANCORP                        957683105
14386        465
X                   465          0          0
 WESTERN  RESOURCES  INCORPORATED         959425109
13344        500
X                   500          0          0
 WEYERHAEUSER  COMPANY                   962166104
189477       3414
X                  3414          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
78441552    1780926
1673315          0     107611
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    18


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 WILLIAMS  COMPANIES  INCORPORATED        969457100
213498       5405
X                  5270          0        135
 WILMINGTON  TRUST  CORPORATION           971807102
22850        400
X                   400          0          0
 WINDMERE  CORPORATION                   973411101
19250       2750
X                  2750          0          0
 WINN  DIXIE  STORES  INCORPORATED         974280109
2504         67
X                    67          0          0
 WISCONSIN  ENERGY  CORPORATION           976657106
79829       3063
X                  3063          0          0
 WITCO  CORPORATION                      977385103
21463       1700
X                  1700          0          0
 WOLVERINE  TUBE  INCORPORATED            978093102
10563        500
X                   500          0          0
 WORTHINGTON  INDUSTRIES  INCORPORATED    981811102
2244        191
X                   191          0          0
 WPS  RESOURCES  CORPORATION              92931B106
37111       1258
X                  1258          0          0
 WRIGLEY  WM  JR  COMPANY                  982526105
140178       1550
X                  1550          0          0
 WSI  INDUSTRIES  INCORPORATED            92932Q102
5414       1125
X                  1125          0          0
 WYMAN  GORDON  COMPANY                   983085101
37925       4100
X                  4100          0          0
 XEROX  CORPORATION                      984121103
224659       4310
X                  4200          0        110
 XILINX  INCORPORATED                    983919101
56788       1400
X                  1000          0        400
 XOOM  INCORPORATED                      98413F101
22131        330
X                   330          0          0
 XYLAN  CORPORATION                      984151100
5522        150
X                   150          0          0
 ZIONS  BANCORPORATION                   989701107
3064985      46090
X                 44090          0       2000
 3COM  CORPORATION                       885535104
32638       1400
X                  1400          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  COMMON  STOCK
3767726098   64195349
59685031       7780    4502538
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    19


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                 FOREIGN  COMMON  STOCK
             ------------------------------

 ALCATEL  ALSTHOM-SP  ADR  RPSTG  1/5  SH    013904305
7414        325
X                   325          0          0
 ANGLO  AMERICAN  GOLD  ADR                034870501
234         50
X                    50          0          0
 ASIA  PACIFIC  RESOURCES  LIMITED         044902104
17400       9600
X                     0          0       9600
 BARRICK  GOLD  CORPORATION               067901108
13326        781
X                   781          0          0
 BP  AMOCO  PLC-SPONSORED  ADR             055622104
9952338      98538
X                 98512          0         26
 CABLE  &  WIRELESS  PLC-ADR               126830207
18469        500
X                   400          0        100
 CORE  LABORATORIES  N  V                  N22717107
5288        300
X                   300          0          0
 ELAN  CORPORATION  PLC-SPONS  ADR         284131208
163424       2343
X                  2343          0          0
 ERICSSON  L  M  TEL  CO-ADR  CL  B  SEK  10    294821400
61913       2600
X                  2600          0          0
 ESPIRITO  SANTO  FINL-SPRD  ADR           29665F200
3953        250
X                   250          0          0
 FIRST  AUSTRALIA  PRIME  INCOME  FD  INC    318653102
23526       3841
X                  3841          0          0
 GALLAHER  GROUP  PLC-SPONSORED  ADR       363595109
43616       1856
X                   584          0       1272
 GLAXO  PUBLIC  LTD  CO-SPONSORED  ADR      37733W105
98733       1475
X                  1475          0          0
 HONG  KONG  TELECOMNS  LTD-ADR            438579203
5869        300
X                   300          0          0
 MINORCO-SPNSRD  AMERN  DEPOSITORY  RCPT   604340307
16150        950
X                   950          0          0
 NOKIA  CORPORATION-SPONSORED  ADR        654902204
62300        400
X                   400          0          0
 NORTHERN  TELECOM  LTD                   665815106
18638        300
X                   300          0          0
 PLACER  DOME  INCORPORATED               725906101
3636        325
X                   325          0          0
 POHANG  IRON  &  STL  LTD-SPNSRD  ADR       730450103
3575        200
X                   200          0          0
 POTASH  CORP  SASK  INCORPORATED          73755L107
77308       1445
X                  1445          0          0
 PREMIER  FARNELL  PLC-SPNSRD  ADR         74050U206
10863        612
X                   612          0          0
 REUTERS  GROUP  PLC-SPONSORED  ADR        76132M102
87          1
X                     0          0          1
 RIO  TINTO  PLC-SP  ADR                   767204100
11000        200
X                   200          0          0
 ROYAL  DUTCH  PETE  CO  -  NY  REG  5  GLDR    780257804
7207512     138606
X                135406          0       3200
 SAP  AKTIENGESELLSCHAFT-SPONSORED  ADR   803054204
21050        800
X                   800          0          0
 SCHLUMBERGER  LIMITED                   806857108
2684964      44610
X                 40335          0       4275
 SHELL  TRANS  &  TRADING  PLC-NY  SHS  NEW   822703609
2891363      71172
X                 71172          0          0
 SMITHKLINE  BEECHAM-ADR  REPSTG  ORD  A    832378301
8236800     115200
X                114725          0        475
 SUPERMERCADOS  UNIMARC  SA-SO  ADR        868453101
613        200
X                   200          0          0
 TECHNOLOGY  SECTOR  SPDR  TR              81369Y803
42998       1175
X                  1175          0          0
 TELEFONOS  DE  MEXICO  S  A-SPNSD  ADR      879403780
24750        375
X                   375          0          0
 TRANSCANADA  PIPELINES  LIMITED          893526103
3844        300
X                   300          0          0
 UNILEVER  PUBLIC  LTD  CO-AMERN  SHARES    904767605
5920        160
X                   160          0          0
 WMC  LIMITED-SP  ADR                     928947100
6438        500
X                   500          0          0
 ZI  CORPORATION                         988918108
300        200
X                   200          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  FOREIGN  COMMON  STOCK
31745612     500490
481541          0      18949
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    20


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                  RIGHTS  AND  WARRANTS
             ------------------------------

 ALZA  CORP-WT                12/31/99   022615157
5         34
X                    34          0          0
 MORRISON  KNUDSEN  CORP  NEW-W  3/11/03   61844A117
2928        732
X                   657          0         75
 T  J  T  INC-WARRANT           12/22/00   872538111
58       1850
X                  1850          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  RIGHTS  AND  WARRANTS
2991       2616
2541          0         75
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    21

 *SUMMARY  PAGE  FOR  A.  COMMON  STOCK  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 39  COMMON  STOCK
3767726098   64195349
59685031       7780    4502538
 40  FOREIGN  COMMON  STOCK
31745612     500490
481541          0      18949
 42  RIGHTS  AND  WARRANTS
2991       2616
2541          0         75
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
3799474701   64698455
60169113       7780    4521562
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    22


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 B.  PREFERRED  STOCK
INSTR  OTHER

V
                    PREFERRED  STOCK
             ------------------------------

 FREEPORT  MCMORAN  COPPER  GO-PFD  DEP     35671D501
3175        200
X               N.A.       N.A.       N.A.
 GENERAL  AMERICAN  INVESTORS  INC         368802104
54950       1741
X               N.A.       N.A.       N.A.
 GENERAL  MOTORS  CORPORATION  CLASS  H     370442832
9684        192
X               N.A.       N.A.       N.A.
 SEALED  AIR-PFD  CONV  SERIES  A  $2        81211K209
356400       7200
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  PREFERRED  STOCK
424209       9333
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    23


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 B.  PREFERRED  STOCK
INSTR  OTHER

V
              CONVERTIBLE  PREFERRED  STOCK
             ------------------------------

 ALBERTO  CULVER  COMPANY-CLASS  B  CONV    013068101
28050       1200
X               N.A.       N.A.       N.A.
 AMERICAN  HOME  PRODS  CORP-PFD  CONV  $2   026609206
126000         60
X               N.A.       N.A.       N.A.
 ARMCO  INC-PFD  CONV  $2.10               042170209
9601        385
X               N.A.       N.A.       N.A.
 ATLANTIC  RICHFIELD  CO-PFD  CONV  $2.80   048825400
120000        400
X               N.A.       N.A.       N.A.
 AVISTA  CORP-PFD  $1.24  11/01/01  SER  L   05379B503
5138        300
X               N.A.       N.A.       N.A.
 ENRON  CORPORATION-2ND  PFD  CONV  $10.5   293561601
50445         59
X               N.A.       N.A.       N.A.
 EQUITY  RESDL  PPTYS-PFD  CONV  J  $2.15    29476L826
4017000     154500
X               N.A.       N.A.       N.A.
 MICROSOFT  CORP  SERIES  A-PFD            594918203
9850        100
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  CONVERTIBLE  PREFERRED  STOCK
4366084     157004
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    24

 *SUMMARY  PAGE  FOR  B.  PREFERRED  STOCK  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 36  PREFERRED  STOCK
424209       9333
N.A.       N.A.       N.A.
 37  CONVERTIBLE  PREFERRED  STOCK
4366084     157004
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
4790293     166337
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    25


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
                    CORPORATE  BONDS
             ------------------------------

 KENT  ELECTRONICS  CORP  4.5%  9/01/04  *  490553AA2
10500      14000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  CORPORATE  BONDS
10500      14000
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    26


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
              CONVERTIBLE  CORPORATE  BONDS
             ------------------------------

 AMERN  RET-CONV  DEB    5.75%  10/01/02  *  028913AA9
348000     435000
X               N.A.       N.A.       N.A.
 INTEGR  DEVICE-CONV  NT  5.5%  6/01/02  *  458118AA4
7088      10000
X               N.A.       N.A.       N.A.
 MICRON  TECHN-CONV  NT     7%  7/01/04  *  595112AB9
123874     117000
X               N.A.       N.A.       N.A.
 NORTHWEST  NAT  GAS-CONV  7.25%  3/1/12  *  667655AM6
6100       5000
X               N.A.       N.A.       N.A.
 ORYX  ENERGY-CONV  DEB   7.5%  5/15/14  *  68763FAD2
447188     450000
X               N.A.       N.A.       N.A.
 ROBBINS  &  MYERS-CONV   6.5%  9/01/03  *  770196AA1
191350     215000
X               N.A.       N.A.       N.A.
 SCAND  BROADCSTNG-CONV  7.25%  8/01/05  *  805906AA2
273175     245000
X               N.A.       N.A.       N.A.
 SUN  HLTHCARE-CONV  DEB    6%  3/01/04  *  866933AA2
50000     500000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  CONVERTIBLE  CORPORATE  BONDS
1446775    1977000
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    27


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
              MUTUAL  FD/INV  TRUSTS-EQUITY
             ------------------------------

 AMERICAN  INDL  PPTYS  REIT             *  026791202
14938       1285
X               N.A.       N.A.       N.A.
 AMERN  STRATEGIC  INCOME  PRTFL  INC  III  *  03009T101
8138        700
X               N.A.       N.A.       N.A.
 DRESDNER  RCM  EUROPE  FUND             *  26156W106
1200        100
X               N.A.       N.A.       N.A.
 DUFF  &  PHELPS  SELECTED  UTILS  INCOME  *  264324104
135697      12623
X               N.A.       N.A.       N.A.
 EQUITY  INCOME  FD-UNIT  1ST  EXCH  AT&T  *  294700703
191253       1079
X               N.A.       N.A.       N.A.
 FIDELITY  ADVISOR  EMERGING  ASIA  FUND  *  315803106
4000        400
X               N.A.       N.A.       N.A.
 GABELLI  EQUITY  TR  INC                *  362397101
26125       2200
X               N.A.       N.A.       N.A.
 GLOBAL  SMALL  CAP  FD  INC              *  37935V103
1288        100
X               N.A.       N.A.       N.A.
 INDIA  GROWTH  FUND  INCORPORATED       *  454090101
1025        100
X               N.A.       N.A.       N.A.
 IRISH  INVESTMENT  FUND  INCORPORATED   *  462710104
23834       1315
X               N.A.       N.A.       N.A.
 LIBERTY  ALL  STAR  EQUITY  FD  -  SBI     *  530158104
35875       2800
X               N.A.       N.A.       N.A.
 LL  &  E  ROYALTY  TRUST                 *  502003106
2750       1000
X               N.A.       N.A.       N.A.
 MASSMUTUAL  PARTN  INVESTORS-SBI       *  576299101
4344        362
X               N.A.       N.A.       N.A.
 MFS  CHARTER  INCOME  TRUST-SH  BEN  INT  *  552727109
42469       4500
X               N.A.       N.A.       N.A.
 NUVEEN  QUALITY  INCOME  MUN  FD  INC     *  670977107
17128       1050
X               N.A.       N.A.       N.A.
 OXFORD  TAX  EXEMPT  FD  II  LTD          *  69181P100
18047        750
X               N.A.       N.A.       N.A.
 PORTUGAL  FUND  INCORPORATED           *  737265108
9265        680
X               N.A.       N.A.       N.A.
 PUTNAM  PREMIER  INCOME  TRUST-SBI      *  746853100
139644      18314
X               N.A.       N.A.       N.A.
 PUTNAM  TAX  FREE  HEALTH  CARE  FUND-SBI  *  746920107
67497       4426
X               N.A.       N.A.       N.A.
 RCM  STRATEGIC  GLOBAL  GOVT  FD  INC     *  74936A101
7803        816
X               N.A.       N.A.       N.A.
 SALOMON  BROTHERS  FUND  INCORPORATED   *  795477108
96045       5392
X               N.A.       N.A.       N.A.
 SALOMON  BROTHERS  HIGH  INCOME  FUND  II  *  794907105
37500       3000
X               N.A.       N.A.       N.A.
 SOURCE  CAPITAL  INCORPORATED          *  836144105
914         20
X               N.A.       N.A.       N.A.
 WEBS  INDEX-NETHERLANDS  WEBS  INDEX    *  92923H855
2850        120
X               N.A.       N.A.       N.A.
 WEBS  INDEX-SWEDEN  WEBS  INDEX  SERIES  *  92923H822
3000        150
X               N.A.       N.A.       N.A.
 WESTERN  INVT  REAL  ESTATE  TRUST   SBI  *  958468100
5188        500
X               N.A.       N.A.       N.A.
 ZWEIG  FUND  INCORPORATED              *  989834106
20069       1900
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-EQUITY
917886      65682
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    28


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-BOND
             ------------------------------

 COLONIAL  INTERMEDIATE  HIGH  INCOME  FD  *  195763107
6547       1017
X               N.A.       N.A.       N.A.
 DEBT  STRATEGIES  FD  INC               *  242768109
17963       2395
X               N.A.       N.A.       N.A.
 LINCOLN  NATIONAL  INCOME  FUND  INC  NEW  *  534217104
18813       1400
X               N.A.       N.A.       N.A.
 MFS  MULTIMARKET  INCOME  TRUST  -  SBI   *  552737108
37338       5857
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-BOND
80661      10669
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    29


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-MUNI
             ------------------------------

 BLACKROCK  INSD  MUN  TERM  TR  INC       *  092474105
11563       1000
X               N.A.       N.A.       N.A.
 GREENWICH  STREET  MUNICIPAL  FUND  INC  *  39701A107
53457       5061
X               N.A.       N.A.       N.A.
 INSURED  MUNICIPAL  INCOME  FUND        *  45809F104
13082        918
X               N.A.       N.A.       N.A.
 MFS  MUN  INCOME  TR                    *  552738106
11230       1302
X               N.A.       N.A.       N.A.
 MORGAN  STANLEY  DEAN  WITTER           *  61745P866
9213        592
X               N.A.       N.A.       N.A.
 MORGAN  STANLEY  DEAN  WITTER           *  61745P791
31343       2116
X               N.A.       N.A.       N.A.
 MORGAN  STANLEY  DEAN  WITTER           *  61745P437
10067       1081
X               N.A.       N.A.       N.A.
 MSDW  -  MUNICIPAL  INC  OPPORTUNITIES   *  61745P452
56078       5942
X               N.A.       N.A.       N.A.
 MUNICIPAL  YIELD  FUND  INCORPORATED    *  626299101
57893       3735
X               N.A.       N.A.       N.A.
 MUNIVEST  FUND  INCORPORATED           *  626295109
49063       5000
X               N.A.       N.A.       N.A.
 MUNIYIELD  QUALITY  FUND  II  INC        *  62630T104
108750       7500
X               N.A.       N.A.       N.A.
 NUVEEN  MUNICIPAL  MKT  OPPORTUNITY  FD  *  67062W103
34238       2075
X               N.A.       N.A.       N.A.
 NUVEEN  MUNICIPAL  VALUE  FUND  INC      *  670928100
62825       6362
X               N.A.       N.A.       N.A.
 NUVEEN  PERFORMANCE  PLUS  MUN  FD  INC   *  67062P108
61509       4050
X               N.A.       N.A.       N.A.
 NUVEEN  PREM  INCOME  MUNICIPAL  FD  INC  *  67062T100
5835        389
X               N.A.       N.A.       N.A.
 PUTNAM  HIGH  YIELD  MUN  TR             *  746781103
10938       1000
X               N.A.       N.A.       N.A.
 PUTNAM  MANAGED  MUNICIPAL  INCOME  TR   *  746823103
20305       1815
X               N.A.       N.A.       N.A.
 PUTNAM  MUN  OPPORTUNITIES  TR-SBI      *  746922103
5975        400
X               N.A.       N.A.       N.A.
 SMITH  BARNEY  MUNICIPAL  FUND          *  831902101
56700       4050
X               N.A.       N.A.       N.A.
 VAN  KAMPEN  AMERN  CAP  MUN             *  920935103
5797        350
X               N.A.       N.A.       N.A.
 VAN  KAMPEN  AMERN  TR  INVT  GRADE  MUNS  *  920929106
36713       2200
X               N.A.       N.A.       N.A.
 VAN  KAMPEN  MERRITT  INVT  GRADE  MUN  TR  *  920915105
19800       1800
X               N.A.       N.A.       N.A.
 VAN  KAMPEN  MERRITT  STRTGC  SECTOR  MUN  *  920943107
10950        800
X               N.A.       N.A.       N.A.
 VAN  KAMPEN  MERRITT  VALUE  MUN  INC  TR  *  921132106
20125       1400
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-MUNI
763449      60938
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    30


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-GOVT
             ------------------------------

 ACM  GOVERNMENT  INCOME  FUND           *  000912105
10125       1200
X               N.A.       N.A.       N.A.
 ALLIANCE  WORLD  DLR  GOVT  FD  II        *  01879R106
9313       1000
X               N.A.       N.A.       N.A.
 ALLIANCE  WORLD  DOLLAR  GOVT  FUND  INC  *  018796102
25309       2275
X               N.A.       N.A.       N.A.
 BLACKROCK  TARGET  TERM  TRUST  INC      *  092476100
23076       2382
X               N.A.       N.A.       N.A.
 MFS  GOVERNMENT  MKTS  INCOME  TR-S  B  I  *  552939100
6313       1000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-GOVT
74136       7857
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    31


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
             LTD  PARTNERSHIPS  REAL  ESTATE
             ------------------------------

 AMERN  INSD  MTG  INVS  LP  SER  88        *  02686G101
37172       3250
X               N.A.       N.A.       N.A.
 KANEB  PIPE  LINE  PARTNERS  L  P-SR  PREF  *  484169107
158100       5100
X               N.A.       N.A.       N.A.
 LAKEHEAD  PIPE  LINE  PARTNERS  L  P-PREF  *  511557100
151650       3370
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  LTD  PARTNERSHIPS  REAL  ESTATE
346922      11720
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    32


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
             LTD  PARTNERSHIPS  NON  REAL  EST
             ------------------------------

 ALLIANCE  CAPITAL  MANAGEMENT-LP       *  018548107
12656        500
X               N.A.       N.A.       N.A.
 AMERIGAS  PARTNERS  L  P                *  030975106
19938       1000
X               N.A.       N.A.       N.A.
 CEDAR  FAIR  LTD  PARTN-DEPOSITORY  UNIT  *  150185106
10050        400
X               N.A.       N.A.       N.A.
 CROWN  PAC  PARTNERS  L  P               *  228439105
20938       1000
X               N.A.       N.A.       N.A.
 GENESIS  ENERGY  LIMITED  PARTNERSHIP   *  371927104
60000       4000
X               N.A.       N.A.       N.A.
 KINDER  MORGAN  ENERGY  PARTNERS  LP     *  494550106
481288      13900
X               N.A.       N.A.       N.A.
 NORTHERN  BORDER  PARTNERS-LTD  PARTN   *  664785102
13753        450
X               N.A.       N.A.       N.A.
 PIMCO  ADVISORS  HOLDING  LP            *  69338P102
31500       1002
X               N.A.       N.A.       N.A.
 U  S  TIMBERLANDS  CO  L  P               *  902977107
24000       2000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  LTD  PARTNERSHIPS  NON  REAL  EST
674123      24252
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    33

 *SUMMARY  PAGE  FOR  C.  OTHER  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 51  MUTUAL  FD/INV  TRUSTS-EQUITY
917886      65682
N.A.       N.A.       N.A.
 74  LTD  PARTNERSHIPS  REAL  ESTATE
346922      11720
N.A.       N.A.       N.A.
 54  MUTUAL  FD/INV  TRUSTS-GOVT
74136       7857
N.A.       N.A.       N.A.
 52  MUTUAL  FD/INV  TRUSTS-BOND
80661      10669
N.A.       N.A.       N.A.
 53  MUTUAL  FD/INV  TRUSTS-MUNI
763449      60938
N.A.       N.A.       N.A.
 88  LTD  PARTNERSHIPS  NON  REAL  EST
674123      24252
N.A.       N.A.       N.A.
 30  CONVERTIBLE  CORPORATE  BONDS
1446775    1977000
N.A.       N.A.       N.A.
 29  CORPORATE  BONDS
10500      14000
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
4314452    2172118
N.A.       N.A.       N.A.

     *  THESE  ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE
MINOR ASSET TYPE IS
NOT  INCLUDED  IN  THE  MAPPING
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  890  PAGE    34

 **SUMMARY  PAGE  FOR:  FIRST  SECURITY  BANK  **


 CATEGORY
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ------------------                                 --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 A.  COMMON  STOCK
3799474701   64698455
60169113       7780    4521562
 B.  PREFERRED  STOCK
4790293     166337
N.A.       N.A.       N.A.
 C.  OTHER
4314452    2172118
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 **GRAND  TOTALS**
3808579446   67036910
60169113       7780    4521562
1
1 JOB: JN890EQ0      DATE:  4/ 3/99      TIME: 14:34:24
BANK:  840  ID:  873

 ******************************
 *        END  OF  REPORT       *
 ******************************






© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission