IBJ WHITEHALL BANK & TRUST CO
13F-HR, 1999-05-19
Previous: TELE OPTICS INC, 10KSB, 1999-05-19
Next: BIOPURE CORP, S-1, 1999-05-19




                        EQUITIES DISCLOSURE (13-F)                        PAGE 1

                                As of 03/31/1999

  HOLDING COMPANY:      (1) Industrial Bank of Japan Ltd. Tokyo

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>

          COMMON
          ------

 ABBOTT LABORATORIES            002824100          1,608,026.55         34350  X                     5650              0      28700
                                                   1,877,014.05         40096                       40096              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,485,040.60         74446                       45746              0      28700

 AETNA INC                      008117103            706,413.00          8511  X                     1811              0       6700

 AIR PRODUCTS & CHEMICALS INC   009158106          2,868,437.50         83750  X                    78150              0       5600
                                                      75,350.00          2200                        1800              0        400
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,943,787.50         85950                       79950              0       6000

 AIRTOUCH COMMUNICATIONS        00949T100          1,431,016.25         14810  X                     2610              0      12200
                                                     245,041.01          2536                        1116              0       1420
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,676,057.26         17346                        3726              0      13620

 ALBERTSONS INC                 013104104            517,161.00          9500  X                        0              0       9500

 ALCOA INC                      013817101          3,787,236.60         91950  X                    59650              0      32300
                                                      74,138.40          1800                        1800              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,861,375.00         93750                       61450              0      32300

 ALLIEDSIGNAL INC               019512102          9,185,859.00        186750  X                    77750              0     109000
                                                     322,870.04          6564                        2916           2392       1256
                                              ----------------- --------------               -------------     ---------- ----------
                                                   9,508,729.04        193314                       80666           2392     110256

 ALLSTATE CORP                  020002101          1,124,269.04         30334  X                     1034              0      29300
                                                     178,643.66          4820                        4820              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,302,912.70         35154                        5854              0      29300

 ALLTEL CORP                    020039103            948,287.13         15203  X                    15203              0          0
                                                     226,358.88          3629                        2675              0        954
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,174,646.01         18832                       17878              0        954

                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 25,176,122.11        536803                      297081           2392     237330
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 2
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 ALTERA CORP                    021441100          6,074,950.00        102100  X                    14100              0      88000

 ALZA CORP CL A                 022615108          2,581,875.00         67500  X                    62300              0       5200

 AMER INTL GROUP INC            026874107         29,310,548.31        242989  X                   174740              0      68249
                                                  19,759,701.95        163811                      144695          14841       4275
                                              ----------------- --------------               -------------     ---------- ----------
                                                  49,070,250.26        406800                      319435          14841      72524

 AMERICA ONLINE INC DEL         02364J104          3,278,100.00         22300  X                      300              0      22000

 AMERICAN BANKNOTE CO           024490104              4,303.60         10600  X                    10600              0          0

 AMERICAN ELECTRIC POWER CO INC 025537101             60,841.71          1533  X                     1533              0          0
                                                     728,552.61         18357                       18357              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     789,394.32         19890                       19890              0          0

 AMERICAN EXPRESS CO            025816109          1,042,794.00          8856  X                     2356              0       6500
                                                   3,261,675.00         27700                       22400           5300          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,304,469.00         36556                       24756           5300       6500

 AMERICAN HOME PRODS CORP       026609107          1,842,268.50         28234  X                    10534              0      17700
                                                   4,233,420.00         64880                       64080              0        800
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,075,688.50         93114                       74614              0      18500

 AMERITECH CORP                 030954101            518,048.75          8990  X                     7640              0       1350
                                                     838,328.50         14548                       11496            296       2756
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,356,377.25         23538                       19136            296       4106

 AMGEN INC                      031162100         11,103,962.50        148300  X                    77300              0      71000
                                                      14,975.00           200                           0              0        200
                                              ----------------- --------------               -------------     ---------- ----------
                                                  11,118,937.50        148500                       77300              0      71200

 ANHEUSER BUSCH COS INC         035229103            609,000.00          8000  X                      500              0       7500
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 85,263,345.43        938898                      622931          20437     295530
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 3
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 AON CORP                       037389103            676,775.00         10700  X                        0              0      10700

 APPLE COMPUTER INC             037833100          1,433,926.20         39900  X                        0              0      39900

 APPLIED MATLS INC              038222105          8,453,353.40        137034  X                    49034              0      88000
                                                      18,506.40           300                         300              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,471,859.80        137334                       49334              0      88000

 ASSOCIATES FIRST CAPITAL CL A  046008108            127,530.00          2834  X                     2534              0        300
                                                     218,790.00          4862                        2600           1662        600
                                              ----------------- --------------               -------------     ---------- ----------
                                                     346,320.00          7696                        5134           1662        900

 AT&T CORP                      001957109          6,115,910.57         76628  X                    31477              0      45151
                                                   1,631,696.97         20444                       17932            250       2262
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,747,607.54         97072                       49409            250      47413

 ATLANTIC RICHFIELD CO          048825103          1,759,533.75         24062  X                    23062              0       1000
                                                     352,608.75          4822                        1860              0       2962
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,112,142.50         28884                       24922              0       3962

 AUTOMATIC DATA PROCESSING INC  053015103          5,486,325.00        132600  X                   110100              0      22500
                                                   2,692,478.13         65075                       43075              0      22000
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,178,803.13        197675                      153175              0      44500

 AUTOZONE INC                   053332102            361,462.50         11900                        4600              0       7300

 BANK AMERICA CORPORATION NEW   060505104          5,690,609.38         80575  X                    32875              0      47700

 BANK OF NEW YORK CO INC        064057102            733,135.20         20400  X                      400              0      20000
                                                     933,237.98         25968                       23824              0       2144
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,666,373.18         46368                       24224              0      22144

                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 36,685,879.23        658104                      343673           1912     312519
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 4
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)

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

 BANK ONE CORP                  06423A103          2,682,889.61         48724  X                     2024              0      46700

 BANKERS TRUST CORP             066365107            295,637.50          3350  X                     3350              0          0

 BAXTER INTL INC                071813109          2,805,000.00         42500  X                      500              0      42000
                                                      39,600.00           600                         600              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,844,600.00         43100                        1100              0      42000

 BELL ATLANTIC CORP             077853109          2,864,910.80         55427  X                    13295              0      42132
                                                   1,202,572.99         23266                       19588            200       3478
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,067,483.79         78693                       32883            200      45610

 BELLSOUTH CORP                 079860102          3,314,732.51         82738  X                    22012              0      60726
                                                   1,194,037.65         29804                       25612            448       3744
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,508,770.16        112542                       47624            448      64470

 BF ENTERPRISES INC             055387104            127,337.50         16700  X                    16700              0          0

 BMC SOFTWARE INC               055921100            424,371.35         11450  X                      150              0      11300

 BRISTOL MYERS SQUIBB           110122108         11,877,873.75        185230  X                    62580              0     122650
                                                   7,081,965.00        110440                       99260          10400        780
                                              ----------------- --------------               -------------     ---------- ----------
                                                  18,959,838.75        295670                      161840          10400     123430

 CARDINAL HEALTH INC            14149Y108          6,662,634.00        100949  X                    43014              0      57935
                                                      23,034.00           349                         349              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,685,668.00        101298                       43363              0      57935

 CARIBINER INTL INC             141888107            359,525.00         39400  X                    30400              0       9000

 CARNIVAL CORPORATION           143658102            786,720.60         16200  X                     2300              0      13900

 CAROLINA POWER & LIGHT CO      144141108            240,679.75          6365  X                     6365              0          0
                                                   1,215,687.95         32150                       30550           1600          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,456,367.70         38515                       36915           1600          0
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 43,199,209.96        805642                      378649          12648     414345
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 5
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 CATERPILLAR INC.               149123101            237,040.08          5160                        5160              0          0

 CBS CORPORATION                12490K107          2,236,552.40         54800  X                        0              0      54800
                                                       6,530.08           160                         160              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,243,082.48         54960                         160              0      54800

 CDW COMPUTER CTRS IN           125129106            717,600.00         10400  X                      500              0       9900

 CENDANT CORPORATION            151313103            527,547.80         33100  X                    33100              0          0

 CENTEX CORP                    152312104            270,337.50          8100                        8100              0          0

 CHARTER ONE FINL INC           160903100          2,455,294.89         85079  X                    81614              0       3465
                                                     386,133.42         13380                       12060              0       1320
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,841,428.31         98459                       93674              0       4785

 CHASE MANHATTAN CORP (NEW)     16161A108          1,469,795.25         18062  X                     1300              0      16762

 CHEVRON CORP                   166751107          1,594,660.00         17968  X                     1268              0      16700
                                                   2,814,440.00         31712                       31712              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,409,100.00         49680                       32980              0      16700

 CHIRON CORP                    170040109            493,605.00         22500  X                        0              0      22500

 CHUBB CORP                     171232101            277,530.06          4739  X                     3239              0       1500
                                                   1,288,386.00         22000                       22000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,565,916.06         26739                       25239              0       1500

 CIGNA CORP                     125509109            460,971.50          5500  X                        0              0       5500

 CINERGY CORP                   172474108            910,250.00         33100  X                    33100              0          0
                                                      90,750.00          3300                        3300              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,001,000.00         36400                       36400              0          0
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 16,237,423.98        369060                      236613              0     132447
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 6
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 CISCO SYS INC                  17275R102          6,283,766.74         57353  X                    18953              0      38400
                                                     241,038.60          2200                        2200              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,524,805.34         59553                       21153              0      38400

 CITIGROUP INC                  172967101          3,489,235.77         54626  X                    10026              0      44600
                                                   1,185,967.13         18567                       18567              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,675,202.90         73193                       28593              0      44600

 CLOROX CO                      189054109            796,878.40          6800  X                        0              0       6800

 COASTAL CORP                   190441105            623,766.00         18902  X                    18902              0          0

 COCA COLA CO                   191216100          4,888,150.50         79644  X                    19944              0      59700
                                                   2,344,156.75         38194                       14144          19500       4550
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,232,307.25        117838                       34088          19500      64250

 COLGATE PALMOLIVE CO           194162103          7,845,024.00         85272  X                    44672              0      40600
                                                     704,352.00          7656                        7156              0        500
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,549,376.00         92928                       51828              0      41100

 COLTEC INDS INC                196879100            420,142.80         23100  X                    23100              0          0

 COMPAQ COMPUTER CORP           204493100            554,540.00         17500  X                    17500              0          0

 COMPUTER ASSOC INTL INC        204912109          1,691,020.65         47550  X                    31800              0      15750

 COMPUTER SCIENCE CORP          205363104            386,316.00          7000  X                        0              0       7000

 COMVERSE TECHNOLOGY            205862402            433,500.00          5100  X                        0              0       5100

 CONSECO INC                    208464107          1,830,949.25         59302  X                    55402              0       3900
                                                      15,684.50           508                         508              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,846,633.75         59810                       55910              0       3900
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 33,734,489.09        529274                      282874          19500     226900
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 7
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 CONVERGYS CORP                 212485106            222,625.00         13000  X                     5000              0       8000

 COSTCO COMPANIES INC.          22160Q102         11,443,085.93        124975  X                    65975              0      59000
                                                      18,312.60           200                         200              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                  11,461,398.53        125175                       66175              0      59000

 COUNTRYWIDE CR IND             222372104            566,250.00         15100  X                        0              0      15100

 COX COMMUNICATIONS INC NEW CL  224044107            239,126.26          3162  X                     3162              0          0
 A

                                                     717,530.00          9488                        9488              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     956,656.26         12650                       12650              0          0

 CRANE CO                       224399105            334,181.41         13816                       13816              0          0

 CVS CORPORATION (DEL)          126650100          2,691,350.00         56660  X                    44149              0      12511
                                                     486,400.00         10240                       10240              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,177,750.00         66900                       54389              0      12511

 DAL-TILE INTERNATIONAL INC     23426R108            362,520.00         40000                       40000              0          0

 DARDEN RESTAURANTS INC         237194105             66,000.00          3200  X                     3200              0          0
                                                     209,550.00         10160                        6160           4000          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     275,550.00         13360                        9360           4000          0

 DATA BROADCASTING CO           237596101            208,125.00         15000                       15000              0          0

 DAYTON-HUDSON CORP             239753106            719,550.00         10800  X                        0              0      10800
                                                     279,825.00          4200                        4200              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     999,375.00         15000                        4200              0      10800
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 18,564,431.20        330001                      220590           4000     105411
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 8
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 DEERE & CO                     244199105            247,200.00          6400                        6400              0          0

 DELTA AIR LINES                247361108            778,400.00         11200  X                        0              0      11200

 DOLLAR GEN CORP                256669102          1,244,400.00         36600                       13875              0      22725

 DOMINION RES INC               257470104            611,323.90         16550  X                     1050              0      15500
                                                      62,794.60          1700                        1250              0        450
                                              ----------------- --------------               -------------     ---------- ----------
                                                     674,118.50         18250                        2300              0      15950

 DOVER CORPORATION              260003108          3,598,168.75        109450  X                   103550              0       5900
                                                     778,348.50         23676                       19800           1200       2676
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,376,517.25        133126                      123350           1200       8576

 DOW CHEMICAL CO                260543103            880,626.60          9450  X                      450              0       9000
                                                      10,623.43           114                         114              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     891,250.03          9564                         564              0       9000

 DUKE ENERGY CORPORATION        264399106          2,976,345.90         54300  X                    38300              0      16000
                                                     394,653.60          7200                        6900              0        300
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,370,999.50         61500                       45200              0      16300

 DUN & BRADSTREET COR           26483B106             85,108.13          2389  X                     2389              0          0
                                                     160,526.25          4506                        1706           2800          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     245,634.38          6895                        4095           2800          0

 DUPONT E I DE NEMOURS & CO     263534109          2,314,507.31         39862  X                    23062              0      16800
                                                   1,549,469.21         26686                       26086              0        600
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,863,976.52         66548                       49148              0      17400

 E M C CORP MASS                268648102          5,774,300.00         45200  X                        0              0      45200

 EASTMAN KODAK CO               277461109          1,265,683.13         19815  X                     2215              0      17600
                                                     183,832.25          2878                        1228              0       1650
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,449,515.38         22693                        3443              0      19250
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 22,732,479.31        415098                      247147           4000     163951
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                       PAGE 9
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 EDISON INTERNATIONAL           281020107            466,805.00         20980  X                     2080              0      18900
                                                       3,471.00           156                         156              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     470,276.00         21136                        2236              0      18900

 ELECTRONIC DATA SYSTEMS CORP   285661104            868,593.92         17840  X                       40              0      17800
                                                      21,812.22           448                         448              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     890,406.14         18288                         488              0      17800

 ELI LILLY                      532457108          2,869,623.75         33810  X                     8310              0      25500
                                                   1,634,692.50         19260                       12250              0       7010
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,504,316.25         53070                       20560              0      32510

 EMERSON ELECTRIC CO            291011104             31,762.80           600  X                      600              0          0
                                                  14,378,913.68        271618                      271618              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                  14,410,676.48        272218                      272218              0          0

 ENERGEN CORP                   29265N108            451,127.60         30200                           0          30200          0

 ENGELHARD CORP                 292845104            169,464.69         10005                       10005              0          0

 ENRON CORP                     293561106          2,168,951.50         33758  X                    19858              0      13900
                                                      32,125.00           500                         500              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,201,076.50         34258                       20358              0      13900

 EXXON CORP                     302290101         18,490,540.20        262043  X                   145829              0     116214
                                                   8,329,679.89        118046                      113446           3200       1400
                                              ----------------- --------------               -------------     ---------- ----------
                                                  26,820,220.09        380089                      259275           3200     117614

 FANNIE MAE                     313586109          7,880,650.00        113800  X                    25300              0      88500
                                                     415,500.00          6000                        6000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,296,150.00        119800                       31300              0      88500
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 57,982,046.00        935942                      611668          33400     290874
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 10
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 FIRST AMER CORP TENN           318900107            896,062.50         24300  X                    24300              0          0

 FIRST DATA CORP                319963104            410,400.00          9600  X                        0              0       9600

 FIRST UN CORP                  337358105          6,026,203.26        112770  X                    64740              0      48030
                                                      44,674.17           836                         440              0        396
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,070,877.43        113606                       65180              0      48426

 FLEET FINL GROUP INC NEW       338915101          1,034,687.50         27500  X                        0              0      27500

 FORD MOTOR CO                  345370100            648,510.72         11440  X                     1440              0      10000
                                                     191,151.94          3372                         200           3172          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     839,662.66         14812                        1640           3172      10000

 FORT JAMES CORP                347471104            611,578.40         19300  X                        0              0      19300

 FORTUNE BRANDS INC             349631101            573,650.00         14900  X                        0              0      14900

 FRED MEYER INC.                592907109          2,537,512.50         43100  X                    34200              0       8900

 GANNETT CO INC.                364730101          1,167,390.00         18530  X                     5830              0      12700

 GAP INC DEL                    364760108            477,922.30          7100  X                        0              0       7100

 GATEWAY 2000 INC               367833100          4,628,002.50         67500  X                    21400              0      46100
                                                     414,806.15          6050                        2350              0       3700
                                              ----------------- --------------               -------------     ---------- ----------
                                                   5,042,808.65         73550                       23750              0      49800

 GENERAL ELECTRIC CO            369604103         28,354,183.14        256309  X                   120275              0     136034
                                                  16,936,798.14        153101                      137152          11100       4849
                                              ----------------- --------------               -------------     ---------- ----------
                                                  45,290,981.28        409410                      257427          11100     140883
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 65,369,033.22        781708                      418327          14272     349109
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 11
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 GENERAL MILLS INC              370334104            544,053.60          7200  X                     7200              0          0
                                                     767,720.08         10160                        6160           4000          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,311,773.68         17360                       13360           4000          0

 GENERAL MOTORS CORP            370442105          1,392,000.00         16000  X                      500              0      15500
                                                     280,575.00          3225                        3225              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,672,575.00         19225                        3725              0      15500

 GILLETTE CO                    375766102          3,151,878.27         53028  X                    31828              0      21200
                                                   1,860,409.40         31300                       20200              0      11100
                                              ----------------- --------------               -------------     ---------- ----------
                                                   5,012,287.67         84328                       52028              0      32300

 GOLDEN WEST FINL CORP          381317106            611,200.00          6400  X                        0              0       6400

 GOODRICH B F CO                382388106            888,706.70         25900  X                        0              0      25900

 GTE CORP                       362320103            293,606.50          4853  X                     4853              0          0
                                                     688,127.00         11374                        9874              0       1500
                                              ----------------- --------------               -------------     ---------- ----------
                                                     981,733.50         16227                       14727              0       1500

 HALLIBURTON COMPANY            406216101          2,926,000.00         76000  X                     5200              0      70800
                                                      57,750.00          1500                        1500              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,983,750.00         77500                        6700              0      70800

 HARTFORD FINANCIAL SERVICES    416515104            443,141.40          7800  X                        0              0       7800
 GROUP INC.
                                                      45,450.40           800                         800              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     488,591.80          8600                         800              0       7800

 HAWAIIAN ELEC INDS INC         419870100            445,300.10         12700                       12700              0          0
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 14,395,918.45        268240                      104040           4000     160200
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 12
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 HEINZ H J CO                   423074103          1,080,150.00         22800  X                     2700              0      20100
                                                      94,750.00          2000                        2000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,174,900.00         24800                        4700              0      20100

 HERSHEY FOODS CORP             427866108             67,275.60          1200  X                     1200              0          0
                                                     224,252.00          4000                        4000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     291,527.60          5200                        5200              0          0

 HEWLETT PACKARD CO             428236103         10,819,564.15        159550  X                    62750              0      96800
                                                     325,502.40          4800                        3100              0       1700
                                              ----------------- --------------               -------------     ---------- ----------
                                                  11,145,066.55        164350                       65850              0      98500

 HIBERNIA CORP CL A             428656102            316,512.00         24000                       24000              0          0

 HOME DEPOT INC.                437076102          4,618,825.50         74198  X                    35198              0      39000

 HOUSEHOLD INTERNATIONAL INC    441815107          7,271,940.63        159385  X                    63285              0      96100
                                                      41,062.50           900                           0              0        900
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,313,003.13        160285                       63285              0      97000

 IMS HEALTH INC                 449934108            172,250.00          5200  X                     5200              0          0
                                                     772,210.00         23312                        8912           5600       8800
                                              ----------------- --------------               -------------     ---------- ----------
                                                     944,460.00         28512                       14112           5600       8800

 INGERSOLL-RAND CO              456866102          1,422,004.38         28655  X                     4255              0      24400
                                                      37,218.75           750                         750              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,459,223.13         29405                        5005              0      24400

 INTEL CORP                     458140100         14,243,364.75        119818  X                    29918              0      89900
                                                   1,610,756.25         13550                        5900              0       7650
                                              ----------------- --------------               -------------     ---------- ----------
                                                  15,854,121.00        133368                       35818              0      97550
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 43,117,638.91        644118                      253168           5600     385350
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 13
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 INTERNATIONAL BUSINESS         459200101          6,231,932.75         35159  X                    16359              0      18800
 MACHINES

                                                   1,780,830.75         10047                       10047              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,012,763.50         45206                       26406              0      18800

 INTERNATIONAL GAME TECHNOLOG   459902102          2,010,937.50        137500  X                   102200              0      35300

 INTL PAPER CO                  460146103            332,778.95          7888                        7888              0          0

 JAPAN OTC EQUITY FD INC        471091108            153,760.00         20000                       20000              0          0

 JOHNSON & JOHNSON              478160104          7,450,080.00         79680  X                    36830              0      42850
                                                   7,241,575.00         77450                       71600              0       5850
                                              ----------------- --------------               -------------     ---------- ----------
                                                  14,691,655.00        157130                      108430              0      48700

 JONES APPAREL GROUP INC        480074103          4,064,979.00        145500  X                   117400              0      28100
                                                      33,525.60          1200                           0              0       1200
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,098,504.60        146700                      117400              0      29300

 J.P.MORGAN & CO                616880100            213,438.75          1730  X                     1730              0          0

 K MART CORP                    482584109            844,012.60         50200  X                      900              0      49300
                                                       8,053.43           479                         479              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     852,066.03         50679                        1379              0      49300

 KANS CITY SO INDUSTRIES INC    485170104          1,943,700.00         34100  X                    34100              0          0

 KANSAS CITY POWER & LIGHT      485134100             52,254.25          2122  X                     2122              0          0
                                                     172,990.63          7025                        7025              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     225,244.88          9147                        9147              0          0
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 32,534,849.21        610080                      428680              0     181400
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 14
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 KIMBERLY-CLARK CORP            494368103          3,729,576.40         77800  X                    48100              0      29700
                                                     931,914.72         19440                       19440              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,661,491.12         97240                       67540              0      29700

 KROGER CO                      501044101         11,268,475.00        188200  X                    92800              0      95400
                                                     101,787.50          1700                        1200              0        500
                                              ----------------- --------------               -------------     ---------- ----------
                                                  11,370,262.50        189900                       94000              0      95900

 LEHMAN BROS HLDGS INC          524908100            648,287.50         10850  X                     1650              0       9200
                                                      11,950.00           200                         200              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     660,237.50         11050                        1850              0       9200

 LINCOLN NATIONAL CORP          534187109            899,762.50          9100  X                        0              0       9100

 LINEAR TECHNOLOGY CORP         535678106            717,500.00         14000                       14000              0          0

 LOEWS CORP.                    540424108          1,051,167.76         14086  X                      586              0      13500
                                                   1,074,600.00         14400                       14400              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,125,767.76         28486                       14986              0      13500

 LOUISIANA PACIFIC CORP         546347105            525,225.00         28200  X                        0              0      28200

 LOWES COS INC                  548661107            242,000.00          4000  X                     4000              0          0

 LUCENT TECHNOLOGIES            549463107          9,014,004.00         83463  X                    44292              0      39171
                                                   5,474,952.00         50694                       49098            162       1434
                                              ----------------- --------------               -------------     ---------- ----------
                                                  14,488,956.00        134157                       93390            162      40605

 MARSH & MCLENNAN COS INC       571748102            571,725.00          7700  X                        0              0       7700

 MASCO CORP                     574599106          1,081,975.00         38300  X                    13000              0      25300
                                                     282,500.00         10000                       10000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,364,475.00         48300                       23000              0      25300
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 37,627,402.38        572133                      312766            162     259205
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 15
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 MAXIM INTEGRATED PRODS INC     57772K101          8,660,000.00        160000  X                    52200              0     107800

 MAY DEPARTMENT STORES CO       577778103          1,613,025.95         41228  X                    38678              0       2550
 DELAWARE

                                                     651,431.25         16650                       16650              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,264,457.20         57878                       55328              0       2550

 MBIA INC                       55262C100            278,400.00          4800                        4800              0          0

 MC DONALDS CORP.               580135101         10,098,908.31        222870  X                    74170              0     148700
                                                     702,351.50         15500                        6100              0       9400
                                              ----------------- --------------               -------------     ---------- ----------
                                                  10,801,259.81        238370                       80270              0     158100

 MCI WORLDCOM INC               55268B106          3,230,335.43         36475  X                     1175              0      35300

 MCKESSON HBOC INC              58155Q103            906,840.00         13740  X                        0              0      13740

 MEDIAONE GROUP INC             58440J104          1,093,480.81         17237  X                     2737              0      14500
                                                     149,523.37          2357                        1822              0        535
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,243,004.18         19594                        4559              0      15035

 MELLON BK CORP                 585509102            299,938.25          4262  X                     4262              0          0
                                                     112,600.00          1600                        1600              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     412,538.25          5862                        5862              0          0

 MERCK & CO INC                 589331107          5,309,403.00         66264  X                    21064              0      45200
                                                   3,046,673.00         38024                       26624           9000       2400
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,356,076.00        104288                       47688           9000      47600

 MERRILL LYNCH & COMPANY        590188108          8,018,100.00         90600  X                    29900              0      60700
                                                      17,700.00           200                         200              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   8,035,800.00         90800                       30100              0      60700
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 44,188,710.87        731807                      281982           9000     440825
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 16
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 MICRO WHSE INC                 59501B105            496,650.00         30800  X                        0              0      30800

 MICRON TECHNOLOGY INC          595112103            998,696.30         20725  X                    13325              0       7400

 MICROSOFT CORP                 594918104         11,607,692.25        129514  X                    10714              0     118800
                                                   1,252,509.39         13975                        3400           9000       1575
                                              ----------------- --------------               -------------     ---------- ----------
                                                  12,860,201.64        143489                       14114           9000     120375

 MINNESOTA MINING & MFG CO      604059105            707,500.00         10000  X                     3500              0       6500
                                                     254,134.00          3592                        3592              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     961,634.00         13592                        7092              0       6500

 MIRAGE RESORTS INC             60462E104          9,016,375.00        424300  X                   181300              0     243000

 MOBIL CORP                     607059102         10,850,840.00        123305  X                    63105              0      60200
                                                   8,404,616.00         95507                       89574           3200       2733
                                              ----------------- --------------               -------------     ---------- ----------
                                                  19,255,456.00        218812                      152679           3200      62933

 MOLEX INC.                     608554101          7,172,053.24        244155  X                   121634              0     122521
                                                     118,116.88          4021                        2928              0       1093
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,290,170.12        248176                      124562              0     123614

 MOLEX INC CL A                 608554200             60,651.00          2344  X                     2344              0          0
                                                     310,500.00         12000                       12000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     371,151.00         14344                       14344              0          0

 MONRO MUFFLER BRAKE            610236101             76,757.63         10773  X                    10773              0          0

 MONSANTO COMPANY               611662107          5,107,892.16        111191  X                    88341              0      22850
                                                   2,101,204.12         45740                       44440              0       1300
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,209,096.28        156931                      132781              0      24150
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 58,536,187.97       1281942                      650970          12200     618772
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 17
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 MORGAN STANLEY DEAN WITTER &   617446448            486,198.37          4865  X                      165              0       4700
 CO.

                                                     132,517.78          1326                        1326              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     618,716.15          6191                        1491              0       4700

 MOTOROLA INC                   620076109          1,626,150.00         22200  X                     9000              0      13200
                                                     171,405.00          2340                         800              0       1540
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,797,555.00         24540                        9800              0      14740

 MYLAN LABS INC                 628530107            395,107.20         14400  X                        0              0      14400

 NABISCO HLDGS CORP CL A        629526104          1,566,925.10         37700  X                    35700              0       2000

 NCR CORP                       62886E108            723,650.00         14473  X                      173              0      14300
                                                      11,750.00           235                         127              0        108
                                              ----------------- --------------               -------------     ---------- ----------
                                                     735,400.00         14708                         300              0      14408

 NEWPARK RES INC PAR $.01NEW    651718504            444,425.00         61300  X                    55300              0       6000

 NORFOLK SOUTHERN CORP          655844108            925,498.75         35090  X                    32290              0       2800
                                                   1,155,225.00         43800                       42400              0       1400
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,080,723.75         78890                       74690              0       4200

 NOVELLUS SYS INC               670008101          1,036,350.00         18800  X                    12800              0       6000

 OFFICE DEPOT INC               676220106          2,727,358.30         72850  X                    15750              0      57100
                                                      33,694.20           900                         900              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,761,052.50         73750                       16650              0      57100

 ORACLE CORPORATION             68389X105            898,068.75         34050  X                        0              0      34050
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 12,334,323.45        364329                      206731              0     157598
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 18
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 PACIFICARE HEALTH SY           695112201            757,575.00         11100  X                        0              0      11100

 PALL CORPORATION               696429307            165,630.00         10000                       10000              0          0

 PENNEY J.C.CO.INC              708160106            660,150.00         16300  X                        0              0      16300
                                                      27,945.00           690                         690              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     688,095.00         16990                         690              0      16300

 PENNSYLVANIA ENTERPRISES INC   708720107          1,835,280.00         76470                           0          76470          0

 PEPSICO INC                    713448108          6,594,556.64        168280  X                   104580              0      63700
                                                     520,220.70         13275                       13000              0        275
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,114,777.34        181555                      117580              0      63975

 PFIZER INC.                    717081103         16,085,426.25        115931  X                    55031              0      60900
                                                   6,084,187.50         43850                       33000           5000       5850
                                              ----------------- --------------               -------------     ---------- ----------
                                                  22,169,613.75        159781                       88031           5000      66750

 PG & E CORP.                   69331C108          1,223,882.20         39400  X                        0              0      39400

 PHARMACIA & UPJOHN I           716941109            673,026.25         10790  X                      290              0      10500

 PHELPS DODGE CORP              717265102            354,600.00          7200                        7200              0          0

 PHILIP MORRIS COS. INC.        718154107          5,819,039.56        165370  X                    80470              0      84900
                                                     348,361.20          9900                        8400              0       1500
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,167,400.76        175270                       88870              0      86400

 PHILLIPS PETROLEUM CO          718507106            169,627.50          3590  X                     3590              0          0
                                                     270,742.50          5730                        4365              0       1365
                                              ----------------- --------------               -------------     ---------- ----------
                                                     440,370.00          9320                        7955              0       1365

 PPG INDUSTRIES INC.            693506107            338,250.00          6600  X                        0              0       6600
                                                     170,970.00          3336                        2736              0        600
                                              ----------------- --------------               -------------     ---------- ----------
                                                     509,220.00          9936                        2736              0       7200
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 42,099,470.30        707812                      323352          81470     302990
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 19
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 PRAXAIR INC                    74005P104            375,055.20         10400                       10400              0          0

 PROCTER & GAMBLE CO            742718109          3,594,422.54         36701  X                     2601              0      34100
                                                   2,438,656.20         24900                       13750           7500       3650
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,033,078.74         61601                       16351           7500      37750

 PROGRESSIVE CORP OHI           743315103          2,690,625.00         18750  X                    13350              0       5400
                                                   1,169,525.00          8150                        7700              0        450
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,860,150.00         26900                       21050              0       5850

 QUAKER OATS CO                 747402105            796,800.00         12800  X                        0              0      12800

 RAYTHEON CO CLASS B            755111408          3,253,687.50         55500  X                    39300              0      16200

 ROBERT HALF INTL INC           770323103            536,164.42         16340  X                     1740              0      14600

 ROCKWELL INTL CORP N           773903109            836,028.60         19700  X                        0              0      19700
                                                      76,388.40          1800                        1800              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     912,417.00         21500                        1800              0      19700

 Roseville Communications       777877101            679,500.00         22650  X                    22650              0          0
 Company

 SAFECO CORP                    786429100            155,928.93          3856  X                     3856              0          0
                                                     323,504.00          8000                        8000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     479,432.93         11856                       11856              0          0

 SARA LEE CORP                  803111103          3,722,400.00        150400  X                    86800              0      63600

 SBC COMMUNICATIONS INC         78387G103          6,360,895.20        134799  X                    56690              0      78109
                                                   1,340,280.77         28403                       24240            300       3863
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,701,175.97        163202                       80930            300      81972
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 28,349,861.76        553149                      292877           7800     252472
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 20
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 SCHERING PLOUGH CORP.          806605101          1,704,573.00         30852  X                     4352              0      26500
                                                     403,104.00          7296                           0              0       7296
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,107,677.00         38148                        4352              0      33796

 SCI SYS INC                    783890106          2,041,162.50         68900  X                    50400              0      18500

 SEAGATE TECHNOLOGY             811804103            744,987.60         25200  X                        0              0      25200

 SEARS ROEBUCK & CO             812387108            578,406.40         12800  X                        0              0      12800
                                                      72,300.80          1600                        1600              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     650,707.20         14400                        1600              0      12800

 SEMPRA ENERGY                  816851109            637,041.60         33200  X                        0              0      33200

 SHERWIN WILLIAMS CO            824348106          1,032,215.63         36701  X                    19401              0      17300
                                                     309,375.00         11000                       10000           1000          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,341,590.63         47701                       29401           1000      17300

 SONAT INC                      835415100            810,540.00         27018                        4800          22218          0

 SOUTHERN COMPANY               842587107            680,739.60         29200  X                     8800              0      20400
                                                   1,043,909.51         44778                       44778              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,724,649.11         73978                       53578              0      20400

 SPRINT CORP                    852061100          6,378,125.00         65000  X                    24500              0      40500
                                                   1,084,183.13         11049                       11049              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   7,462,308.13         76049                       35549              0      40500

 SPRINT CORP (PCS GROUP)        852061506          1,081,237.20         24400  X                     9400              0      15000
                                                     244,807.17          5525                        5525              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,326,044.37         29925                       14925              0      15000
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 18,846,708.14        434519                      194605          23218     216696
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 21
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 SPX CORP                       784635104            625,481.63         12401  X                    12401              0          0
                                                     928,059.20         18400                       18400              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,553,540.83         30801                       30801              0          0

 STRYKER CORP                   863667101            935,624.90         18550                        7150              0      11400

 SYSCO CORP                     871829107          3,102,302.70        117900  X                    83900              0      34000
                                                     473,581.38         17998                       15000              0       2998
                                              ----------------- --------------               -------------     ---------- ----------
                                                   3,575,884.08        135898                       98900              0      36998

 TCA CABLE TV INC               872241104            348,000.00          8000                        8000              0          0

 TEXACO INC                     881694103            482,375.00          8500  X                     7100              0       1400
                                                      25,480.75           449                         449              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     507,855.75          8949                        7549              0       1400

 TEXAS INSTRUMENTS INC          882508104          4,084,137.50         41150  X                     7050              0      34100
                                                      59,550.00           600                         600              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   4,143,687.50         41750                        7650              0      34100

 TEXAS UTILITIES CO             882848104          1,764,000.00         42000  X                        0              0      42000

 THE BOEING CO                  097023105          1,598,952.00         47028  X                    17328              0      29700
                                                     230,690.00          6785                        6785              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,829,642.00         53813                       24113              0      29700

 The Walt Disney Holding Co.    254687106          3,870,020.26        124338  X                    94201              0      30137
                                                   2,079,648.02         66816                       61677            942       4197
                                              ----------------- --------------               -------------     ---------- ----------
                                                   5,949,668.28        191154                      155878            942      34334
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 20,607,903.34        530915                      340041            942     189932
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 22
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 TIME WARNER INC                887315109          9,110,092.45        128650  X                    37250              0      91400
                                                      14,162.60           200                         200              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   9,124,255.05        128850                       37450              0      91400

 TIMES MIRROR CO NEW SER A      887364107            320,744.75          5926  X                     5926              0          0
                                                     833,525.00         15400                       15400              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   1,154,269.75         21326                       21326              0          0

 TOYS R US INC. (HOLDING        892335100            760,233.33         40410  X                    40410              0          0
 COMPANY)
                                                      18,813.00          1000                        1000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     779,046.33         41410                       41410              0          0

 TRICON GLOBAL RESTAURANTS      895953107            414,475.00          5900  X                        0              0       5900

 U S WEST INC (NEW)             91273H101            245,415.80          4457  X                     4253              0        204
                                                     495,126.52          8992                        8048              0        944
                                              ----------------- --------------               -------------     ---------- ----------
                                                     740,542.32         13449                       12301              0       1148

 UNION CAMP CORP                905530101            393,084.01          5856  X                     5856              0          0
                                                     201,375.00          3000                        3000              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     594,459.01          8856                        8856              0          0

 UNION PACIFIC CORP             907818108          2,139,123.14         40030  X                    11430              0      28600
                                                     829,411.20         15521                       15321              0        200
                                              ----------------- --------------               -------------     ---------- ----------
                                                   2,968,534.34         55551                       26751              0      28800

 UNION PACIFIC RESOURCES GRP    907834105             51,133.75          4306  X                     4306              0          0
                                                     152,878.75         12874                       12790              0         84
                                              ----------------- --------------               -------------     ---------- ----------
                                                     204,012.50         17180                       17096              0         84

 UNIONBANCAL CORP               908906100          1,348,894.80         39600  X                        0              0      39600
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 17,328,489.10        332122                      165190              0     166932
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 23
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 UNISYS CORP                    909214108            581,448.00         21000  X                        0              0      21000

 UNITED STATES FILTER CORP NE   911843209            437,937.50         14300  X                    14300              0          0

 UNITED TECHNOLOGIES CORP       913017109          6,102,565.40         45058  X                    35258              0       9800
                                                     687,212.41          5074                        4774              0        300
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,789,777.81         50132                       40032              0      10100

 UNOCAL CORP                    915289102            512,710.01         13904  X                    13904              0          0
                                                     199,161.88          5401                        5401              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     711,871.89         19305                       19305              0          0

 VF CORP COMM.                  918204108            712,500.00         15000  X                        0              0      15000

 VIACOM INC CL B NON-VOTING     925524308          1,779,485.60         21200  X                        0              0      21200

 VIAD CORP.                     92552R109            467,258.40         16800  X                        0              0      16800

 WAL MART STORES INC.           931142103          5,761,750.00         62500  X                     1500              0      61000
                                                     783,598.00          8500                         800           7700          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   6,545,348.00         71000                        2300           7700      61000

 WALGREEN CO                    931422109            514,150.00         18200                        7000              0      11200

 WARNER LAMBERT CO              934488107          2,676,500.00         40400  X                    11200              0      29200
                                                   3,140,250.00         47400                       47400              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                   5,816,750.00         87800                       58600              0      29200

 WASTE MANAGEMENT INC.          94106L109            332,812.50          7500  X                        0              0       7500

 WATERS CORP                    941848103            420,252.00          4000                        4000              0          0

 WELLPOINT HEALTH NET           94973H108            667,154.40          8800  X                        0              0       8800
                                              ----------------- --------------               -------------     ---------- ----------
          SUBTOTALS FOR THIS PAGE                 25,776,746.10        355037                      145537           7700     201800
</TABLE>


<PAGE>

                        EQUITIES DISCLOSURE (13-F)                      PAGE 24
                                                                              
                                As of 03/31/1999

  HOLDING COMPANY: (1) Industrial Bank of Japan Ltd. Tokyo (Cont.)

<TABLE>
<CAPTION>
                                                                               INVEST
                                                   MARKET                      INVEST AUTH   VOTING AUTH (SHARES)
 NAME OF ISSUER                 CUSIP              VALUE            SH/PV      SOLE SHR MGR      SOLE            SHARED      NONE
 ------------------------------ ------------  ----------------- ------------   ---- --- ---- -------------     ---------- ---------
<S>                             <C>                <C>                  <C>    <C>                 <C>              <C>      <C>
          COMMON (cont.)
          --------------

 WELLS FARGO & COMPANY          949746101          9,821,917.68        280122  X                    92874              0     187248
                                                   1,507,568.75         42996                       41396              0       1600
                                              ----------------- --------------               -------------     ---------- ----------
                                                  11,329,486.43        323118                      134270              0     188848

 WESTERN RESOURCES INC.         959425109            320,256.00         12000                       12000              0          0

 WEYERHAEUSER COMPANY           962166104            926,295.00         16690  X                      690              0      16000
                                                      51,115.50           921                         900              0         21
                                              ----------------- --------------               -------------     ---------- ----------
                                                     977,410.50         17611                        1590              0      16021

 WISCONSIN ENERGY CORP          976657106             25,984.81           997  X                      997              0          0
                                                     175,925.25          6750                        6750              0          0
                                              ----------------- --------------               -------------     ---------- ----------
                                                     201,910.06          7747                        7747              0          0

 WRIGLEY WM JR CO               982526105            515,496.60          5700                        2600              0       3100

 XILINX INC                     983919101         10,534,211.10        259700  X                   121100              0     138600

                                              ================= ==============               =============     ========== ==========
 TOTALS FOR COMMON                               824,567,440.20      14312608                     7638798         264653    6409157

                                              ================= ==============               =============     ========== ==========
 GRAND TOTALS                                    824,567,440.20      14312608                     7638798         264653    6409157
          CONVERTIBLE

          -----------

 READ-RITE CORP DTD 8/25/1997   755246AA3            178,125.00        300000                           0              0     300000
 6.50% 9/1/2004

                                              ================= ==============               =============     ========== ==========
 TOTALS FOR CONVERTIBLE                              178,125.00        300000                           0              0     300000

                                              ================= ==============               =============     ========== ==========
 GRAND TOTALS                                        178,125.00        300000                           0              0     300000
</TABLE>



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