PEOPLES HERITAGE FINANCIAL GROUP INC
13F-HR, 1999-05-12
STATE COMMERCIAL BANKS
Previous: EAT AT JOES LTD, SB-2/A, 1999-05-12
Next: SOUTHEAST ACQUISITIONS II LP, 10-Q, 1999-05-12



<PAGE>   1
                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

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

Check here if Amendment [ ]; Amendment Number:

This Amendment  (Check only one.):          [    ] is a restatement.
                                            [    ] adds new holding entries.

Institutional Investment Manager Filing this Report:

Name:            Peoples Heritage Financial Group, Inc.
Address:         P.O. Box 9540
                 One Portland Square
                 Portland, ME  04112

13F File Number:  28-5844

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:            Peter J. Verrill
Title:           Chief Financial Officer
Phone:           207-761-8507
Signature, Place, and Date of Signing:

    /s/ Peter J. Verrill              Portland, Maine             May 12, 1999
    --------------------              ---------------             ------------
     Signature                        Place                       Date

Report Type (check only one):
     (x)         13F Holdings Report
     ( )         13F Notice
     ( )         13F Comination Report

List of Other Managers Reporting for the Manager:

Bank of New Hampshire
Family Bank
Peoples Heritage Bank

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>   2
                                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:          3

Form 13F Information Table Entry Total:     570

Form 13F Information Table Value Total:     $828,558

List of Other Included Managers:

<TABLE>
No.            13F File Number                  Name

<S>            <C>                              <C>                                                                  
01                                              Bank of New Hampshire
02                                              Family Bank
03                                              Peoples Heritage Bank
</TABLE>
<PAGE>   3
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS

PREPARED FOR: FAMILY BANK ON 4/12/99 AS OF 3/31/99  DEPT ID#850           PAGE 1


                                     SEC USE ONLY
                                                 -------------------------------

<TABLE>
<CAPTION>
ITEM 1                                   ITEM 2             ITEM 3            ITEM 4       ITEM 5                     ITEM 6
NAME OF ISSUER                           TITLE OF CLASS     CUSIP/TICKER      MARKET       SH/PV                 INVEST AUTH
                                                                                                       SOLE     SHRD-      SHRD-
A. COMMON STOCK                                                                                                 INSTR      OTHER
                                                                                                                  V
COMMON STOCK
<S>                                      <C>                 <C>             <C>            <C>         <C>     <C>        <C>
ALLSTATE CORP.                                               020002101          312         8414                           X

AMERICAN ELEC PWR INC                                        025537101          237         5962                           X

AMERICAN HOME PRODS CORP                                     026609107           63          960          X

AMERICAN HOME PRODS CORP                                     026609107         3247        49760                           X

AMERICAN INTL GROUP INC                                      026874107         6159        51057                           X

AMERITECH CORP                                               030954101          246         4264          X

AMERITECH CORP                                               030954101          498         8646                           X

AT&T CORP COM                                                001957109           85         1059          X

AT&T CORP COM                                                001957109         1659        20791                           X

AUTOMATIC DATA PROCESSING INC                                053015103           25          600          X

AUTOMATIC DATA PROCESSING INC                                053015103         4759       114981                           X

BANKBOSTON CORP.                                             06605R106          145         3348          X

BANKBOSTON CORP.                                             06605R106           70         1606                           X

BELL ATLANTIC CORP                                           077853109         2158        41744                           X

BELLSOUTH CORP                                               079860102          532        13278                           X

BRISTOL-MYERS SQUIBB CO                                      110122108           26          400          X

BRISTOL-MYERS SQUIBB CO                                      110122108         3628        56584                           X

CHEVRON CORP                                                 166751107         1188        13389                           X

CHUBB CORP                                                   171232101         3480        59420                           X

CITIGROUP INC COM                                            172967101          213         3328                           X

COCA COLA CO                                                 191216100          135         2200          X

COCA COLA CO                                                 191216100         5868        95604                           X

COLGATE PALMOLIVE CO                                         194162103          764         8307                           X

DISNEY WALT CO                                               254687106           12          375          X
</TABLE>



<TABLE>
<CAPTION>

                                      ITEM 7                            ITEM 8
                                       MNGR                      VOTING AUTH (SHARES)
                                                           SOLE       SHARED        NONE


<S>                                 <C>                    <C>         <C>        <C>
ALLSTATE CORP.                                             8414            0         0

AMERICAN ELEC PWR INC                                      5962            0         0

AMERICAN HOME PRODS CORP                                    960            0         0

AMERICAN HOME PRODS CORP                                  45760            0      4000

AMERICAN INTL GROUP INC                                   50840            0       217

AMERITECH CORP                                             4264            0         0

AMERITECH CORP                                             8646            0         0

AT&T CORP COM                                              1059            0         0

AT&T CORP COM                                             20591            0       200

AUTOMATIC DATA PROCESSING INC                               600            0         0

AUTOMATIC DATA PROCESSING INC                            113789            0      1192

BANKBOSTON CORP.                                           3348            0         0

BANKBOSTON CORP.                                           1606            0         0

BELL ATLANTIC CORP                                        39594            0      2150

BELLSOUTH CORP                                            13278            0         0

BRISTOL-MYERS SQUIBB CO                                     400            0         0

BRISTOL-MYERS SQUIBB CO                                   52784            0      3800

CHEVRON CORP                                              12689            0       700

CHUBB CORP                                                59192            0       228

CITIGROUP INC COM                                          3328            0         0

COCA COLA CO                                               2200            0         0

COCA COLA CO                                              89757            0      5847

COLGATE PALMOLIVE CO                                       8307            0         0

DISNEY WALT CO                                              375            0         0
</TABLE>
<PAGE>   4
<TABLE>
<CAPTION>


<S>                                      <C>                 <C>             <C>          <C>         <C>     <C>        <C>
DISNEY WALT CO                                               254687106         3761       120844                           X

DU PONT E I DE NEMOURS & CO                                  263534109          836        14405                           X

EASTMAN KODAK CO                                             277461109           68         1062         X

EASTMAN KODAK CO                                             277461109          351         5501                           X

EXXON CORP COM                                               302290101          271         3840         X

EXXON CORP COM                                               302290101        10398       147359                           X

FEDERAL NATL MTG ASSN                                        313586109         4886        70563                           X

FLEET FINL GROUP INC NEW                                     338915101          241         6410                           X

FORTUNE BRANDS INC                                           349631101          739        19185                           X

G T E CORP                                                   362320103          894        14785                           X

GENERAL ELEC CO                                              369604103          365         3300         X

GENERAL ELEC CO                                              369604103        13088       118313                           X

GILLETTE CO                                                  375766102         5451        91716                           X

H J HEINZ                                                    423074103          259         5475                           X

HERSHEY FOODS CORP                                           427866108          359         6400                           X

HOME DEPOT INC                                               437076102          392         6300                           X

ILLINOIS TOOL WKS INC                                        452308109         3085        49865                           X

INTEL CORP                                                   458140100         6253        52605                           X

INTERNATIONAL BUSINESS MACHS                                 459200101           18          100         X

INTERNATIONAL BUSINESS MACHS                                 459200101         3113        17562                           X

JOHNSON & JOHNSON                                            478160104         5711        61084                           X

KIMCO RLTY CORP                                              49446R109          452        12250                           X

LEGGETT & PLATT INC                                          524660107          358        17896                           X

LUCENT TECHNOLOGIES INC                                      549463107           74          682         X

LUCENT TECHNOLOGIES INC                                      549463107         8145        75418                           X

MEDTRONIC INC                                                585055106         4797        66741                           X

MERCK & CO INC                                               589331107          160         2000         X

MERCK & CO INC                                               589331107         6446        80454                           X

MICROFLUIDICS INTL CORP COM                                  595073107           17        27860                           X

MICROSOFT CORP.                                              594918104         7202        80362                           X

MINNESOTA MNG & MFG CO                                       604059105          873        12346                           X

MOBIL CORP                                                   607059102         4767        54175                           X

MONSANTO CO                                                  611662107          233         5075                           X

MORGAN STANLEY DEAN WITTER & CO                              617446448          220         2204                           X

NEW ENGLAND ELEC SYS                                         644001109           19          400         X

NEW ENGLAND ELEC SYS                                         644001109          248         5112                           X

PEOPLES HERITAGE FINL GROUP INC                              711147108         4532       251787                           X
</TABLE>


<TABLE>
<CAPTION>


<S>                                 <C>                    <C>          <C>        <C>
DISNEY WALT CO                                             120844       0            0

DU PONT E I DE NEMOURS & CO                                 14405       0            0

EASTMAN KODAK CO                                             1062       0            0

EASTMAN KODAK CO                                             4994       0          507

EXXON CORP COM                                               3840       0            0

EXXON CORP COM                                             135679       0        11680

FEDERAL NATL MTG ASSN                                       70303       0          260

FLEET FINL GROUP INC NEW                                     6410       0            0

FORTUNE BRANDS INC                                          18185       0         1000

G T E CORP                                                  13685       0         1100

GENERAL ELEC CO                                              3300       0            0

GENERAL ELEC CO                                            117637       0          676

GILLETTE CO                                                 91556       0          160

H J HEINZ                                                    5475       0            0

HERSHEY FOODS CORP                                           6400       0            0

HOME DEPOT INC                                               6300       0            0

ILLINOIS TOOL WKS INC                                       49621       0          244

INTEL CORP                                                  52605       0            0

INTERNATIONAL BUSINESS MACHS                                  100       0            0

INTERNATIONAL BUSINESS MACHS                                17032       0          530

JOHNSON & JOHNSON                                           60869       0          215

KIMCO RLTY CORP                                             12250       0            0

LEGGETT & PLATT INC                                         17896       0            0

LUCENT TECHNOLOGIES INC                                       682       0            0

LUCENT TECHNOLOGIES INC                                     74624       0          794

MEDTRONIC INC                                               66482       0          259

MERCK & CO INC                                               2000       0            0

MERCK & CO INC                                              80454       0            0

MICROFLUIDICS INTL CORP COM                                 27860       0            0

MICROSOFT CORP.                                             80164       0          198

MINNESOTA MNG & MFG CO                                      12346       0            0

MOBIL CORP                                                  54075       0          100

MONSANTO CO                                                  5075       0            0

MORGAN STANLEY DEAN WITTER & CO                              2204       0            0

NEW ENGLAND ELEC SYS                                          400       0            0

NEW ENGLAND ELEC SYS                                         5112       0            0

PEOPLES HERITAGE FINL GROUP INC                            164162       0        87625
</TABLE>
<PAGE>   5
<TABLE>
<CAPTION>

<S>                                 <C>                       <C>          <C>            <C>                              <C>
PEPSICO INC                                                  713448108      3974          101413                           X

PFIZER INC                                                   717081103      9535           68721                           X

PROCTER & GAMBLE CO                                          742718109      7627           77873                           X

RAYTHEON CO                                                  755111408       243            4148                           X

SBC COMMUNICATIONS INC.                                      78387G103       570           12069                           X

SCHERING PLOUGH CORP                                         806605101       285            5164                           X

SCHLUMBERGER LIMITED                                         806857108       256            4260                           X

STATE STR CORP                                               857477103      5630           68448                           X

TEXAS INSTRS INC                                             882508104       274            2764                           X

WARNER LAMBERT CO                                            934488107       411            6204                           X

WEYERHAEUSER CO                                              962166104       268            4821                           X

WM WRIGLEY JR CO                                             982526105       362            4000                           X
                                                             ---------    ------         -------                         ----
SUBTOTALS FOR COMMON STOCK                                                164027         2437398


BP AMOCO P L C SPNSR ADR                                     055622104       429            4247                           X
GALLAHER GROUP PLC                                           363595109       384           16325                           X

SUBTOTALS FOR INTERNATIONAL COMMON STOCK                                     813           20572
</TABLE>



<TABLE>
<CAPTION>

<S>                               <C>                      <C>               <C>      <C>
PEPSICO INC                                                101008            0           405

PFIZER INC                                                  68539            0           182

PROCTER & GAMBLE CO                                         77873            0             0

RAYTHEON CO                                                  4148            0             0

SBC COMMUNICATIONS INC.                                     12069            0             0

SCHERING PLOUGH CORP                                         5164            0             0

SCHLUMBERGER LIMITED                                         4260            0             0

STATE STR CORP                                              68448            0             0

TEXAS INSTRS INC                                             2764            0             0

WARNER LAMBERT CO                                            6204            0             0

WEYERHAEUSER CO                                              4821            0             0

WM WRIGLEY JR CO                                             4000            0             0
                                                             ----            -             -
SUBTOTALS FOR COMMON STOCK                                2313129            0        124269


BP AMOCO P L C SPNSR ADR                                     4247            0             0
GALLAHER GROUP PLC                                          15325            0          1000
                                                             ----            -             -
SUBTOTALS FOR INTERNATIONAL COMMON STOCK                    19572            0          1000
</TABLE>


<TABLE>

*SUMMARY PAGE FOR A. COMMON STOCK

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

<S>                                  <C>             <C>          <C>      <C>       <C>       <C>     <C>              <C>   <C>
29 COMMON STOCK                         164027       2437398                                           2313129           0    124269
30 INTERNATIONAL COMMON STOCK              813         20572                                             19572           0      1000
                                        ------       -------                                           -------           -    ------
*SUBTOTALS*                             164840       2457970                                           2332701           0    125269
</TABLE>
<PAGE>   6
<TABLE>
<CAPTION>

*SUMMARY PAGE FOR B. PREFERRED ST

MINOR ASSET TYPE                        MARKET        SH/PV       INV      EST    AUTH       MNGR      VOTING       AUTH(SHARES)
- ----------------                        ------        -----       ---      ---    ----       ----      ------       ------------
<S>                         <C>         <C>           <C>         <C>      <C>    <C>        <C>       <C>          <C>
**NONE**


                             1
</TABLE>


<TABLE>
<CAPTION>

*SUMMARY PAGE FOR C. OTHER *

MINOR ASSET TYPE                        MARKET        SH/PV       INV      EST    AUTH       MNGR      VOTING       AUTH(SHARES)
- ----------------                        ------        -----       ---      ---    ----       ----      ------       ------------
<S>                         <C>         <C>           <C>         <C>      <C>    <C>        <C>       <C>          <C>
**NONE**


                             1
</TABLE>


<TABLE>
<CAPTION>
**SUMMARY PAGE FOR: FAMILY BANK *

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

<S>                                    <C>          <C>           <C>      <C>        <C>        <C>      <C>          <C>   <C>
A. COMMON STOCK                        164840       2457970                                                2332701      0     125269
                                       ------       -------       ---      ---        ----       ----      -------      -     ------
**GRAND TOTALS**                       164840       2457970                                                2332701      0     125269
</TABLE>
<PAGE>   7
 

                                     13FBNH

1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99

<TABLE>
<CAPTION>

0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT

                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR             SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)

<S>                                             <C>              <C>                <C>                <C>      <C>         <C>
AT&T CORP NY                                      1957109           632               7,916             X

AT&T CORP NY                                      1957109           743               9,312                        X         X

AT&T CORP NY                                      1957109           350               4,384             X

AT&T CORP NY                                      1957109            49                 617                         X         X

ABBOTT LABORATORIES                               2824100         7,600             162,342             X

ABBOTT LABORATORIES                               2824100         2,323              49,620                        X         X

ABBOTT LABORATORIES                               2824100           455               9,710             X

ABBOTT LABORATORIES                               2824100             5                 100                         X         X

AIRTOUCH COMMUNICATIONS                         00949T100           110               1,137             X

AIRTOUCH COMMUNICATIONS                         00949T100           161               1,668                        X         X

AIRTOUCH COMMUNICATIONS                         00949T100            62                 644             X

AIRTOUCH COMMUNICATIONS                         00949T100            29                 300                         X         X

ALBERTSONS INC                                   13104104            63               1,150             X

ALBERTSONS INC                                   13104104           192               3,525                        X         X

ALLIED SIGNAL                                    19512102           255               5,194             X

ALLIED SIGNAL                                    19512102           344               6,992                        X         X

ALLSTATE CORP                                    20002101            21                 554             X

ALLSTATE CORP                                    20002101           185               5,004                        X         X

ALLSTATE CORP                                    20002101             6                 162             X

AMERICA ONLINE INC                              02364J104           206               1,400             X

AMERICA ONLINE INC                              02364J104            29                 200             X

AMERICA ONLINE INC                              02364J104           154               1,050                         X         X

AMERICAN EXPRESS CO                              25816109           194               1,650             X

AMERICAN EXPRESS CO                              25816109           459               3,900                         X         X

AMERICAN EXPRESS CO                              25816109           118               1,000                         X         X

                                       0                        ----------
COLUMN TOTALS                                                    14,745             279,531
</TABLE>


<TABLE>
<CAPTION>

                                 ITEM 7                   ITEM 8
                              ---------     -------------------------------

                                                    VOTING AUTHORITY
                                             SOLE        SHARED       NONE

                            MANAGERS          (A)         (B)          (C)
<S>                          <C>          <C>            <C>          <C>
AT&T CORP NY                   1             7,716        200

AT&T CORP NY                   1             9,026                      286

AT&T CORP NY                   2             4,384

AT&T CORP NY                   2               617

ABBOTT LABORATORIES            1           150,082                    12,260

ABBOTT LABORATORIES            1            41,520                     8,100

ABBOTT LABORATORIES            2             8,910                       800

ABBOTT LABORATORIES            2               100

AIRTOUCH COMMUNICATIONS        1               937         200

AIRTOUCH COMMUNICATIONS        1             1,668

AIRTOUCH COMMUNICATIONS        2               644

AIRTOUCH COMMUNICATIONS        2               300

ALBERTSONS INC                 1             1,150

ALBERTSONS INC                 1             2,600                       925

ALLIED SIGNAL                  1             5,194

ALLIED SIGNAL                  1             6,992

ALLSTATE CORP                  1               554

ALLSTATE CORP                  1             5,004

ALLSTATE CORP                  2               162

AMERICA ONLINE INC             1             1,400

AMERICA ONLINE INC             2               200

AMERICA ONLINE INC             2             1,050

AMERICAN EXPRESS CO            1             1,650

AMERICAN EXPRESS CO            1             3,900

AMERICAN EXPRESS CO            2             1,000

</TABLE>



                                     Page 1
<PAGE>   8
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR             SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)

<S>                                             <C>              <C>                <C>                <C>      <C>         <C>

AMERICAN GENERAL CORP                           26351106             28                400               X

AMERICAN GENERAL CORP                           26351106            284               4,032                         X         X

AMERICAN HOME PRODUCTS                          26609107           3,603             55,216              X

AMERICAN HOME PRODUCTS                          26609107           1,906             29,214                         X         X

AMERICAN HOME PRODUCTS                          26609107            235               3,598              X

AMERICAN INTERNATIONAL GROUP                    26874107          10,252             84,989              X

AMERICAN INTERNATIONAL GROUP                    26874107           5,357             44,411                         X         X

AMERICAN INTERNATIONAL GROUP                    26874107           2,417             20,039              X

AMERICAN INTERNATIONAL GROUP                    26874107            423               3,510                         X         X

AMERITECH                                       30954101           8,256            143,274              X

AMERITECH                                       30954101           1,771             30,726                         X         X

AMERITECH                                       30954101           1,202             20,854              X

AMERITECH                                       30954101            149               2,590                         X         X

ANHEUSER-BUSCH COMPANIES INC                    35229103            266               3,500              X

ANHEUSER-BUSCH COMPANIES INC                    35229103            290               3,806                         X         X

APPLIED MATERIALS INC                           38222105           5,760             93,375              X

APPLIED MATERIALS INC                           38222105            412               6,675                         X         X

APPLIED MATERIALS INC                           38222105           1,155             18,726              X

APPLIED MATERIALS INC                           38222105            287               4,660                         X         X

ATLANTIC RICHFIELD CO                           48825103            303               4,150              X

ATLANTIC RICHFIELD CO                           48825103            339               4,640                         X         X

ATLANTIC RICHFIELD CO                           48825103            29                 400               X

AUTOMATIC DATA PROCESSING INC                   53015103           3,739             90,370              X

AUTOMATIC DATA PROCESSING INC                   53015103           2,034             49,159                         X         X

AUTOMATIC DATA PROCESSING INC                   53015103            447              10,800              X

                                                     0          ----------
COLUMN TOTALS                                                     50,944             733,114

</TABLE>





<TABLE>
<CAPTION>


                                             ITEM 7                   ITEM 8
                                           ---------     -------------------------------

                                                                  VOTING AUTHORITY
                                                           SOLE        SHARED       NONE
                                            MANAGERS        (A)         (B)          (C)

<S>                                        <C>          <C>          <C>           <C>

AMERICAN GENERAL CORP                        1              400

AMERICAN GENERAL CORP                        1             4,032

AMERICAN HOME PRODUCTS                       1            55,216

AMERICAN HOME PRODUCTS                       1            29,214

AMERICAN HOME PRODUCTS                       2             3,198                     400

AMERICAN INTERNATIONAL GROUP                 1            77,050                    7,939

AMERICAN INTERNATIONAL GROUP                 1            40,886                    3,525

AMERICAN INTERNATIONAL GROUP                 2            18,987                    1,052

AMERICAN INTERNATIONAL GROUP                 2             3,480                     30

AMERITECH                                    1            129,299      1,100       12,875

AMERITECH                                    1            26,801                    3,925

AMERITECH                                    2            20,854

AMERITECH                                    2             2,590

ANHEUSER-BUSCH COMPANIES INC                 1             3,500

ANHEUSER-BUSCH COMPANIES INC                 1             3,806

APPLIED MATERIALS INC                        1            85,600                    7,775

APPLIED MATERIALS INC                        1             6,125                     550

APPLIED MATERIALS INC                        2            18,126                     600

APPLIED MATERIALS INC                        2             4,660

ATLANTIC RICHFIELD CO                        1             4,150

ATLANTIC RICHFIELD CO                        1             4,640

ATLANTIC RICHFIELD CO                        2              400

AUTOMATIC DATA PROCESSING INC                1            76,338                   14,032

AUTOMATIC DATA PROCESSING INC                1            39,359                    9,800

AUTOMATIC DATA PROCESSING INC                2            10,000                     800
</TABLE>

                                     Page 2
<PAGE>   9
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR             SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)

<S>                                             <C>              <C>                <C>                <C>      <C>         <C>

AVERY DENNISON CORP                              53611109            35                 600              X

AVERY DENNISON CORP                              53611109            265               4,600                        X         X

BP AMOCO PLC ADR                                 55622104            132               1,308             X

BP AMOCO PLC ADR                                 55622104           1,005              9,955                        X         X

BP AMOCO PLC ADR                                 55622104            127               1,253             X

BP AMOCO PLC ADR                                 55622104            53                 523                         X         X

BMC SOFTWARE                                     55921100           3,475             93,754             X

BMC SOFTWARE                                     55921100            830              22,405                        X         X

BMC SOFTWARE                                     55921100            513              13,837             X

BMC SOFTWARE                                     55921100            36                 960                         X         X

BANK OF NEW YORK INC                             64057102            212               5,900             X

BANK OF NEW YORK INC                             64057102            500              13,920                        X         X

BANK OF NEW YORK INC                             64057102            25                 700              X

BANK ONE CORP                                   06423A103            687              12,477             X

BANK ONE CORP                                   06423A103            335               6,089                        X         X

BANK ONE CORP                                   06423A103             4                 68               X

BANKAMERICA CORP NEW                            06605F102            663               9,388             X

BANKAMERICA CORP NEW                            06605F102            386               5,466                        X         X

BANKAMERICA CORP NEW                            06605F102            908              12,850             X

BANKAMERICA CORP NEW                            06605F102            29                 405                         X         X

BANKBOSTON CORP                                 06605R106            554              12,800             X

BANKBOSTON CORP                                 06605R106            214               4,930                        X         X

BANKBOSTON CORP                                 06605R106            37                 854              X

BARON ASSET FD SBI                               68278100            298               5,491             X

BARON ASSET FD SBI                               68278100            426               7,869                        X         X

                                                     0            ----------
COLUMN TOTALS                                                       11,749            248,402
</TABLE>






<TABLE>
<CAPTION>

                                   ITEM 7                   ITEM 8
                                 ---------     -------------------------------
                                                        VOTING AUTHORITY
                                                 SOLE        SHARED       NONE
                                  MANAGERS        (A)         (B)          (C)

<S>                              <C>          <C>          <C>           <C>
AVERY DENNISON CORP                1              600

AVERY DENNISON CORP                1             4,600

BP AMOCO PLC ADR                   1             1,308

BP AMOCO PLC ADR                   1             9,519                     436

BP AMOCO PLC ADR                   2             1,253

BP AMOCO PLC ADR                   2              523

BMC SOFTWARE                       1            90,624                    3,130

BMC SOFTWARE                       1            20,905                    1,500

BMC SOFTWARE                       2            13,837

BMC SOFTWARE                       2              960

BANK OF NEW YORK INC               1             5,900

BANK OF NEW YORK INC               1            13,920

BANK OF NEW YORK INC               2              700

BANK ONE CORP                      1            11,993                     484

BANK ONE CORP                      1             5,605                     484

BANK ONE CORP                      2              68

BANKAMERICA CORP NEW               1             9,288                     100

BANKAMERICA CORP NEW               1             3,066                    2,400

BANKAMERICA CORP NEW               2            12,850

BANKAMERICA CORP NEW               2              405

BANKBOSTON CORP                    1            12,800

BANKBOSTON CORP                    1             4,930

BANKBOSTON CORP                    2              854

BARON ASSET FD SBI                 2             5,452                     39

BARON ASSET FD SBI                 2             7,869
</TABLE>



                                     Page 3
<PAGE>   10
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR             SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>
BELL ATLANTIC CORPORATION                        77853109           3,124             60,449             X

BELL ATLANTIC CORPORATION                        77853109           1,966             38,037                        X         X

BELL ATLANTIC CORPORATION                        77853109            591              11,436             X

BELL ATLANTIC CORPORATION                        77853109            90                1,742                        X         X

BELLSOUTH CORPORATION                            79860102           6,242             155,808            X

BELLSOUTH CORPORATION                            79860102           1,673             41,768                        X         X

BELLSOUTH CORPORATION                            79860102            923              23,033             X

BELLSOUTH CORPORATION                            79860102            128               3,200                        X         X

BERKSHIRE HATHAWAY INC DEL                       84670108            500                 7                          X         X

BERKSHIRE HATHAWAY INC CL B                      84670207            252                107              X

BERKSHIRE HATHAWAY INC CL B                      84670207           2,805              1,193                        X         X

BERKSHIRE HATHAWAY INC CL B                      84670207            52                 22               X

BESTFOODS                                       08658U101            85                1,800             X

BESTFOODS                                       08658U101            121               2,580                        X         X

BESTFOODS                                       08658U101            207               4,400             X

BRISTOL-MEYERS SQUIBB                           110122108           4,287             66,858             X

BRISTOL-MEYERS SQUIBB                           110122108           3,784             59,002                        X         X

BRISTOL-MEYERS SQUIBB                           110122108            392               6,112             X

BRISTOL-MEYERS SQUIBB                           110122108            13                 200                         X         X

CIGNA CORP                                      125509109            339               4,050             X

CIGNA CORP                                      125509109            451               5,376                        X         X

CARNIVAL CRUISE LINES INC                       143658102           9,625             198,193            X

CARNIVAL CRUISE LINES INC                       143658102           2,326             47,905                        X         X

CARNIVAL CRUISE LINES INC                       143658102           1,767             36,388             X

CARNIVAL CRUISE LINES INC                       143658102            370               7,620                        X         X

                                        0                         ----------
                                                                    42,113            777,286
</TABLE>


<TABLE>
<CAPTION>

                                ITEM 7                   ITEM 8
                              ---------     -------------------------------
                                                    VOTING AUTHORITY
                                              SOLE        SHARED       NONE
                              MANAGERS        (A)         (B)          (C)

<S>                          <C>            <C>          <C>          <C>
BELL ATLANTIC CORPORATION      1            60,097                     352

BELL ATLANTIC CORPORATION      1            37,387                     650

BELL ATLANTIC CORPORATION      2            10,836                     600

BELL ATLANTIC CORPORATION      2             1,742

BELLSOUTH CORPORATION          1            145,483                  10,325

BELLSOUTH CORPORATION          1            40,012                    1,756

BELLSOUTH CORPORATION          2            23,033

BELLSOUTH CORPORATION          2             3,200

BERKSHIRE HATHAWAY INC DEL     1               7

BERKSHIRE HATHAWAY INC CL B    1              107

BERKSHIRE HATHAWAY INC CL B    1             1,193

BERKSHIRE HATHAWAY INC CL B    2              22

BESTFOODS                      1             1,600                     200

BESTFOODS                      1             2,580

BESTFOODS                      2             4,400

BRISTOL-MEYERS SQUIBB          1            66,458                     400

BRISTOL-MEYERS SQUIBB          1            57,402                    1,600

BRISTOL-MEYERS SQUIBB          2             6,112

BRISTOL-MEYERS SQUIBB          2              200

CIGNA CORP                     1             4,050

CIGNA CORP                     1             5,376

CARNIVAL CRUISE LINES INC      1            191,743                   6,450

CARNIVAL CRUISE LINES INC      1            41,155                    6,750

CARNIVAL CRUISE LINES INC      2            34,838                    1,550

CARNIVAL CRUISE LINES INC      2             7,560                     60
</TABLE>


                                     Page 4
<PAGE>   11
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR             SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)
<S>                                               <C>            <C>                 <C>               <C>      <C>         <C>

CHASE MANHATTAN CORP NEW                          16161A108            101            1,244             X

CHASE MANHATTAN CORP NEW                          16161A108            79              976                          X         X

CHASE MANHATTAN CORP NEW                          16161A108            22              270              X

CHASE MANHATTAN CORP NEW                          16161A108            65              800                          X         X

CHEVRON CORP                                      166751107            891           10,045             X

CHEVRON CORP                                      166751107            404            4,550                         X         X

CHEVRON CORP                                      166751107            47              525              X

CHOLESTECH CORP                                   170393102            21            10,000             X

CHUBB CORP                                        171232101            148            2,531             X

CHUBB CORP                                        171232101            138            2,348                         X         X

CISCO SYSTEMS INC                                 17275R102          14,591          133,179            X

CISCO SYSTEMS INC                                 17275R102           3,926          35,837                         X         X

CISCO SYSTEMS INC                                 17275R102           4,011          36,606             X

CISCO SYSTEMS INC                                 17275R102            754            6,885                         X         X

CITIGROUP INC                                     172967101            770           12,055             X

CITIGROUP INC                                     172967101            402            6,299                         X         X

CITIGROUP INC                                     172967101            612            9,579             X

CITIGROUP INC                                     172967101             9              135                          X         X

CLOROX CO                                         189054109            387            3,300             X

COCA COLA CO                                      191216100           4,643          75,648             X

COCA COLA CO                                      191216100           2,425          39,519                         X         X

COCA COLA CO                                      191216100            883           14,392             X

COCA COLA CO                                      191216100            218            3,544                         X         X

COLGATE PALMOLIVE                                 194162103            186            2,025             X

COLGATE PALMOLIVE                                 194162103            55              600                          X         X

                           0                                       ----------
COLUMN TOTALS                                                         35,788         412,892
</TABLE>


<TABLE>
<CAPTION>
                                        ITEM 7                       ITEM 8
                                      ---------          -------------------------------

                                                                VOTING AUTHORITY
                                                     SOLE            SHARED        NONE
                                      MANAGERS        (A)              (B)          (C)
<S>                                   <C>            <C>        <C>             <C>
CHASE MANHATTAN CORP NEW                 1             1,244

CHASE MANHATTAN CORP NEW                 1              976

CHASE MANHATTAN CORP NEW                 2              270

CHASE MANHATTAN CORP NEW                 2              800

CHEVRON CORP                             1            10,045

CHEVRON CORP                             1             4,150                       400

CHEVRON CORP                             2              525

CHOLESTECH CORP                          1            10,000

CHUBB CORP                               1             2,531

CHUBB CORP                               1             2,348

CISCO SYSTEMS INC                        1            121,305                    11,874

CISCO SYSTEMS INC                        1            29,877                      5,960

CISCO SYSTEMS INC                        2            34,321                      2,285

CISCO SYSTEMS INC                        2             6,845                       40

CITIGROUP INC                            1            12,055

CITIGROUP INC                            1             5,799                       500

CITIGROUP INC                            2             7,579                      2,000

CITIGROUP INC                            2              135

CLOROX CO                                1              300                       3,000

COCA COLA CO                             1            73,553                      2,095

COCA COLA CO                             1            35,744                      3,775

COCA COLA CO                             2            13,592                       800

COCA COLA CO                             2             3,544

COLGATE PALMOLIVE                        1             2,025

COLGATE PALMOLIVE                        1              600
</TABLE>


                                     Page 5
<PAGE>   12
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR              SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)         (B)       (C)

<S>                                             <C>              <C>                <C>                <C>       <C>         <C>
COLGATE PALMOLIVE                                194162103            316               3,430             X

COMPAQ COMPUTER CORP                             204493100            158               5,000                        X         X

COMPAQ COMPUTER CORP                             204493100            58                1,820             X

COMPAQ COMPUTER CORP                             204493100            32                1,000                        X         X

COMPUTER ASSOC INTL INC                          204912109           2,410             67,755             X

COMPUTER ASSOC INTL INC                          204912109            288               8,100                        X         X

COMPUTER ASSOC INTL INC                          204912109            349               9,821             X

COMPUTER ASSOC INTL INC                          204912109            49                1,370                        X         X

CONAGRA INC                                      205887102            454              17,700                        X         X

DANAHER CORP SHS BEN INT                         235851102           2,208             42,250             X

DANAHER CORP SHS BEN INT                         235851102            271               5,185                        X         X

DANAHER CORP SHS BEN INT                         235851102            332               6,363             X

DANAHER CORP SHS BEN INT                         235851102            57                1,085                        X         X

DELL COMPUTER CORP                               247025109            25                 600              X

DELL COMPUTER CORP                               247025109            88                2,150             X

DELL COMPUTER CORP                               247025109            267               6,532                        X         X

WALT DISNEY CO                                   254687106            478              15,357             X

WALT DISNEY CO                                   254687106            564              18,108                        X         X

WALT DISNEY CO                                   254687106            275               8,850             X

WALT DISNEY CO                                   254687106            128               4,103                        X         X

DOVER CORP                                       260003108            153               4,665             X

DOVER CORP                                       260003108            121               3,690                        X         X

DOW CHEMICAL CO                                  260543103            207               2,225             X

DOW CHEMICAL CO                                  260543103            435               4,667                        X         X

DREYFUS INSTL SHT TRM TREAS FD #721              261974109            21               10,567                        X         X
CL A
                                                     0            ----------
COLUMN TOTALS                                                       9,744             252,393

</TABLE>



<TABLE>
<CAPTION>
                                                ITEM 7                   ITEM 8
                                              ---------     -------------------------------

                                                                    VOTING AUTHORITY
                                                               SOLE        SHARED       NONE
                                              MANAGERS        (A)           (B)         (C)

<S>                                           <C>             <C>          <C>          <C>

COLGATE PALMOLIVE                                 2             3,030                     400

COMPAQ COMPUTER CORP                              1             5,000

COMPAQ COMPUTER CORP                              2             1,000                     820

COMPAQ COMPUTER CORP                              2             1,000

COMPUTER ASSOC INTL INC                           1            58,030                    9,725

COMPUTER ASSOC INTL INC                           1             7,100                    1,000

COMPUTER ASSOC INTL INC                           2             9,721                     100

COMPUTER ASSOC INTL INC                           2             1,370

CONAGRA INC                                       1            17,700

DANAHER CORP SHS BEN INT                          1            41,050                    1,200

DANAHER CORP SHS BEN INT                          1             4,310                     875

DANAHER CORP SHS BEN INT                          2             6,363

DANAHER CORP SHS BEN INT                          2             1,085

DELL COMPUTER CORP                                1              600

DELL COMPUTER CORP                                2             2,150

DELL COMPUTER CORP                                2             6,532

WALT DISNEY CO                                    1            14,573                     784

WALT DISNEY CO                                    1            17,508                     600

WALT DISNEY CO                                    2             8,850

WALT DISNEY CO                                    2             4,100                      3

DOVER CORP                                        1             4,665

DOVER CORP                                        1             3,690

DOW CHEMICAL CO                                   1             2,225

DOW CHEMICAL CO                                   1             4,667

DREYFUS INSTL SHT TRM TREAS FD #721               2            10,567
CL A
</TABLE>


                                     Page 6
<PAGE>   13
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR              SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL           (A)        (B)       (C)

<S>                                             <C>              <C>                <C>                 <C>      <C>         <C>
E I DUPONT DE NEMOURS                            263534109            561               9,664             X

E I DUPONT DE NEMOURS                            263534109            903              15,560                        X         X

E I DUPONT DE NEMOURS                            263534109            83                1,432             X

E I DUPONT DE NEMOURS                            263534109             6                 100                         X         X

DUKE POWER                                       264399106            367               6,698             X

DUKE POWER                                       264399106            292               5,333                        X         X

ECOLAB INC                                       278865100           4,359             122,785            X

ECOLAB INC                                       278865100            292               8,230                        X         X

ECOLAB INC                                       278865100             4                 100              X

EMERSON ELECTRIC CO                              291011104            431               8,140             X

EMERSON ELECTRIC CO                              291011104            392               7,412                        X         X

EMERSON ELECTRIC CO                              291011104            61                1,150             X

EMERSON ELECTRIC CO                              291011104            93                1,750                        X         X

ENERGYNORTH INC                                  292925104            778              28,308             X

ENERGYNORTH INC                                  292925104            524              19,067                        X         X

ENRON CORP                                       293561106            135               2,100             X

ENRON CORP                                       293561106            109               1,700                        X         X

EQUIFAX INC                                      294429105            966              28,095             X

EQUIFAX INC                                      294429105            154               4,475                        X         X

EXXON CORPORATION                                302290101          15,041             213,160            X

EXXON CORPORATION                                302290101           6,170             87,441                        X         X

EXXON CORPORATION                                302290101           1,639             23,223             X

EXXON CORPORATION                                302290101            479               6,790                        X         X

FPL GROUP INC                                    302571104            171               3,212             X

FPL GROUP INC                                    302571104            53                1,000                        X         X

                                                                 ----------
COLUMN TOTALS                                                       34,063             606,925
</TABLE>





<TABLE>
<CAPTION>
                                      ITEM 7                   ITEM 8
                                    ---------     -------------------------------

                                                           VOTING AUTHORITY
                                                    SOLE        SHARED       NONE
                                    MANAGERS        (A)         (B)          (C)

<S>                                   <C>          <C>          <C>           <C>
E I DUPONT DE NEMOURS                 1             9,664

E I DUPONT DE NEMOURS                 1            10,960                    4,600

E I DUPONT DE NEMOURS                 2             1,432

E I DUPONT DE NEMOURS                 2              100

DUKE POWER                            1             6,698

DUKE POWER                            1             5,083                     250

ECOLAB INC                            1            107,260                  15,525

ECOLAB INC                            1             8,230

ECOLAB INC                            2              100

EMERSON ELECTRIC CO                   1             8,140

EMERSON ELECTRIC CO                   1             6,812                     600

EMERSON ELECTRIC CO                   2             1,150

EMERSON ELECTRIC CO                   2             1,750

ENERGYNORTH INC                       1            28,308

ENERGYNORTH INC                       1            13,060                    6,007

ENRON CORP                            1             2,100

ENRON CORP                            1             1,000                     700

EQUIFAX INC                           1            18,970                    9,125

EQUIFAX INC                           1             3,025                    1,450

EXXON CORPORATION                     1            201,814       718        10,628

EXXON CORPORATION                     1            82,141                    5,300

EXXON CORPORATION                     2            22,823                     400

EXXON CORPORATION                     2             6,790

FPL GROUP INC                         1             3,212

FPL GROUP INC                         1              700                      300
</TABLE>


                                     Page 7
<PAGE>   14
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6
- -------------------------------------------    -----------       -----------         ---------         --------------------------
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION
                                                                    VALUE               OR             SOLE        SHR      OTHER
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)

<S>                                             <C>              <C>                <C>                <C>      <C>         <C>
FREDDIE MAC                                     313400301            84                1,460             X

FREDDIE MAC                                     313400301            298               5,200                        X         X

FANNIE MAE                                      313586109           9,136             131,935            X

FANNIE MAE                                      313586109           2,301             33,233                        X         X

FANNIE MAE                                      313586109           1,558             22,496             X

FANNIE MAE                                      313586109            204               2,950                        X         X

FEDERATED INCOME TRUST #36                      314199100           3,074             297,721            X

FEDERATED INCOME TRUST #36                      314199100           1,073             103,967                       X         X

FEDERATED INCOME TRUST #36                      314199100            126              12,234             X

FEDERATED INCOME TRUST #36                      314199100            12                1,144                        X         X

FEDERATED INCOME TR INSTL SVC                   314199209            207              20,054             X

FEDERATED INCOME TR INSTL SVC                   314199209            36                3,494             X

FEDERATED INT INCOME #303                       31420C407           2,801             277,463            X

FEDERATED INT INCOME #303                       31420C407            584              57,867                        X         X

FEDERATED INT INCOME #303                       31420C407            75                7,436             X

FEDERATED MAX-CAP INSTL SHS #39                 3.14E+110            205               7,715             X

FEDERATED US GOVT SEC #9 1-3 YR                 31428M100           2,729             260,558            X

FEDERATED US GOVT SEC #9 1-3 YR                 31428M100            653              62,313                        X         X

FEDERATED US GOVT SEC #47 2-5 YR                31428P103           2,824             263,073            X

FEDERATED US GOVT SEC #47 2-5 YR                31428P103            621              57,877                        X         X

FEDERATED US GOVT SEC #47 2-5 YR                31428P103            356              33,157             X

FIDELITY SPARTAN MASS MUNI FD #70               315902205            179              15,088             X

FIDELITY CALIF MUN TR #91                       316061209            150              12,136             X

FIDELITY SPARTAN MUNI INC FD #37                316089507            550              43,129             X

FIDELITY SPARTAN MUNI INC FD #37                316089507            37                2,910                        X         X

                                         0                       ----------
COLUMN TOTALS                                                      29,873            1,736,610
</TABLE>



<TABLE>
<CAPTION>

                                           ITEM 7                   ITEM 8
                                         ---------      -------------------------------

                                                              VOTING AUTHORITY
                                                        SOLE        SHARED       NONE
                                         MANAGERS        (A)         (B)          (C)

<S>                                        <C>          <C>          <C>           <C>
FREDDIE MAC                                 1             1,460

FREDDIE MAC                                 1             5,200

FANNIE MAE                                  1            120,063       600        11,272

FANNIE MAE                                  1            27,633                    5,600

FANNIE MAE                                  2            22,036                     460

FANNIE MAE                                  2             2,920                     30

FEDERATED INCOME TRUST #36                  1            284,708                  13,013

FEDERATED INCOME TRUST #36                  1            103,967

FEDERATED INCOME TRUST #36                  2            12,234

FEDERATED INCOME TRUST #36                  2             1,144

FEDERATED INCOME TR INSTL SVC               1            20,054

FEDERATED INCOME TR INSTL SVC               2             3,494

FEDERATED INT INCOME #303                   1            264,315                  13,148

FEDERATED INT INCOME #303                   1            57,867

FEDERATED INT INCOME #303                   2             7,436

FEDERATED MAX-CAP INSTL SHS #39             1             7,715

FEDERATED US GOVT SEC #9 1-3 YR             1            247,689                  12,869

FEDERATED US GOVT SEC #9 1-3 YR             1            61,313                    1,000

FEDERATED US GOVT SEC #47 2-5 YR            1            250,618                  12,455

FEDERATED US GOVT SEC #47 2-5 YR            1            56,877                    1,000

FEDERATED US GOVT SEC #47 2-5 YR            2            33,157

FIDELITY SPARTAN MASS MUNI FD #70           1            15,088

FIDELITY CALIF MUN TR #91                   1            12,136

FIDELITY SPARTAN MUNI INC FD #37            1            43,129

FIDELITY SPARTAN MUNI INC FD #37            1             2,910
</TABLE>


                                     Page 8
<PAGE>   15
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
FIDELITY GOVT SEC #54                            316172105            109              11,012                        X         X    

FIDELITY LOW PRICED STOCK FD #316                316345305            170               8,001             X                         

FIDELITY LOW PRICED STOCK FD #316                316345305            50                2,351                        X         X    

FIRST UNION CORP                                 337358105            920              17,214             X                         

FIRST UNION CORP                                 337358105            234               4,374                        X         X    

FIRST UNION CORP                                 337358105            165               3,085             X                         

FIRST UNION CORP                                 337358105            71                1,324                        X         X    

FIRSTMARK CORP NEW PAR $0.20                     337908206            10               10,000             X                         

FLEET FINANCIAL GROUP INC                        338915101            79                2,090             X                         

FLEET FINANCIAL GROUP INC                        338915101            934              24,828                        X         X    

FLEET FINANCIAL GROUP INC                        338915101            167               4,441             X                         

FORD MOTOR CO                                    345370100            64                1,136             X                         

FORD MOTOR CO                                    345370100            210               3,696                        X         X    

FORD MOTOR CO                                    345370100            37                 650              X                         

FORD MOTOR CO                                    345370100            11                 200                         X         X    

FORUM HIGH GRADE BOND FUND                       349903690          28,505            2,873,414           X                         

FORUM HIGH GRADE BOND FUND                       349903690           6,779             683,315                       X         X    

FORUM HIGH GRADE BOND FUND                       349903690            139              13,960             X                         

FORUM MAINE MUNI BOND FUND                       349903856            297              26,833             X                         

FORUM MAINE MUNI BOND FUND                       349903856            819              74,015                        X         X    

FRANKLIN RESOURCES INC                           354613101           4,319             153,581            X                         

FRANKLIN RESOURCES INC                           354613101            701              24,925                        X         X    

FRANKLIN RESOURCES INC                           354613101            632              22,485             X                         

FRANKLIN RESOURCES INC                           354613101            112               3,980                        X         X    

GTE CORP                                         362320103            917              15,150             X                         

                                        0                            ------
COLUMN TOTALS                                                        46,451           3,986,060
</TABLE>


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                   ITEM 7                   ITEM 8                 
- ----------------------------------------  ---------     -------------------------------
                                        
                                                                 VOTING AUTHORITY
                                                          SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                  MANAGERS        (A)         (B)          (C)
<S>                                       <C>           <C>         <C>           <C>          

FIDELITY GOVT SEC #54                        1            11,012

FIDELITY LOW PRICED STOCK FD #316            1             8,001

FIDELITY LOW PRICED STOCK FD #316            1             2,351

FIRST UNION CORP                             1            17,214

FIRST UNION CORP                             1             4,374

FIRST UNION CORP                             2             3,085

FIRST UNION CORP                             2             1,000        324

FIRSTMARK CORP NEW PAR $0.20                 2            10,000

FLEET FINANCIAL GROUP INC                    1             2,090

FLEET FINANCIAL GROUP INC                    1            20,828                    4,000

FLEET FINANCIAL GROUP INC                    2             4,441

FORD MOTOR CO                                1             1,136

FORD MOTOR CO                                1             3,696

FORD MOTOR CO                                2              650

FORD MOTOR CO                                2              200

FORUM HIGH GRADE BOND FUND                   1          2,847,046                  26,368

FORUM HIGH GRADE BOND FUND                   1            642,523      8,174       32,618

FORUM HIGH GRADE BOND FUND                   2            10,481                    3,479

FORUM MAINE MUNI BOND FUND                   2            26,833

FORUM MAINE MUNI BOND FUND                   2            74,015

FRANKLIN RESOURCES INC                       1            140,831                  12,750

FRANKLIN RESOURCES INC                       1            20,125                    4,800

FRANKLIN RESOURCES INC                       2            21,710                     775

FRANKLIN RESOURCES INC                       2             3,980

GTE CORP                                     1            15,150

                                        
COLUMN TOTALS                           
</TABLE>





                                     Page 9
<PAGE>   16
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
GTE CORP                                        362320103            360               5,953                        X         X     

GTE CORP                                        362320103            142               2,350             X                          

GTE CORP                                        362320103            182               3,000                        X         X     

GANNETT CO INC                                  364730101           3,289             52,205             X                          

GANNETT CO INC                                  364730101            492               7,810                        X         X     

GANNETT CO INC                                  364730101            352               5,586             X                          

GANNETT CO INC                                  364730101            67                1,070                        X         X     

THE GAP INC                                     364760108           8,020             119,140            X                          

THE GAP INC                                     364760108           2,035             30,227                        X         X     

THE GAP INC                                     364760108            699              10,390             X                          

THE GAP INC                                     364760108            165               2,448                        X         X     

GENERAL ELECTRIC                                369604103          14,577             131,772            X                          

GENERAL ELECTRIC                                369604103          10,541             95,284                        X         X     

GENERAL ELECTRIC                                369604103           3,366             30,424             X                          

GENERAL ELECTRIC                                369604103            632               5,711                        X         X     

GENERAL MOTORS CORP                             370442105            57                 654              X                          

GENERAL MOTORS CORP                             370442105            97                1,116                        X         X     

GENERAL MOTORS CORP                             370442105            59                 682              X                          

GENERAL MOTORS CORP                             370442105            17                 200                         X         X     

GEOTEK COMMUNICATIONS INC                       373654102                             23,000             X                          

GILLETTE CO                                     375766102          10,333             173,852            X                          

GILLETTE CO                                     375766102           2,619             44,065                        X         X     

GILLETTE CO                                     375766102           1,762             29,637             X                          

GILLETTE CO                                     375766102            340               5,723                        X         X     

GLAXO WELLCOME PLC                              37733W105            228               3,411             X                          
SPONSORED ADR
                                         0                          ------
COLUMN TOTALS                                                       60,431             785,710
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                  ITEM 7                   ITEM 8             
- ----------------------------------------  ---------     -------------------------------
                                        
                                                                 VOTING AUTHORITY
                                                          SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                  MANAGERS        (A)         (B)          (C)
<S>                                       <C>          <C>          <C>           <C>          
GTE CORP                                    1             5,953

GTE CORP                                    2             1,700                     650

GTE CORP                                    2             3,000

GANNETT CO INC                              1            44,955                    7,250

GANNETT CO INC                              1             7,260                     550

GANNETT CO INC                              2             5,486                     100

GANNETT CO INC                              2             1,070

THE GAP INC                                 1            114,041       725         4,374

THE GAP INC                                 1            22,327                    7,900

THE GAP INC                                 2            10,340                     50

THE GAP INC                                 2             2,448

GENERAL ELECTRIC                            1            123,372      1,050        7,350

GENERAL ELECTRIC                            1            89,634                    5,650

GENERAL ELECTRIC                            2            29,074                    1,350

GENERAL ELECTRIC                            2             5,686                     25

GENERAL MOTORS CORP                         1              654

GENERAL MOTORS CORP                         1             1,116

GENERAL MOTORS CORP                         2              682

GENERAL MOTORS CORP                         2              200

GEOTEK COMMUNICATIONS INC                   1            23,000

GILLETTE CO                                 1            165,242                   8,610

GILLETTE CO                                 1            37,315                    6,750

GILLETTE CO                                 2            28,557                    1,080

GILLETTE CO                                 2             5,683                     40

GLAXO WELLCOME PLC                          1             3,411
SPONSORED ADR
                                        
COLUMN TOTALS                           
</TABLE>




                                     Page 10
<PAGE>   17
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
GLAXO WELLCOME PLC                              37733W105             8                 125                         X         X     
SPONSORED ADR
HARTFORD FINL SVCS GROUP INC                    416515104            227               4,000             X                          

HARTFORD FINL SVCS GROUP INC                    416515104            20                 350              X                          

HEARTLAND VALUE FUND                            422359109           1,289             47,964             X                          

H J HEINZ CO                                    423074103            36                 750              X                          

H J HEINZ CO                                    423074103            291               6,150                        X         X     

H J HEINZ CO                                    423074103            52                1,100             X                          

H J HEINZ CO                                    423074103            47                1,000                        X         X     

HEWLETT PACKARD                                 428236103           1,666             24,565             X                          

HEWLETT PACKARD                                 428236103           1,227             18,099                        X         X     

HEWLETT PACKARD                                 428236103            110               1,620             X                          

HEWLETT PACKARD                                 428236103            51                 750                         X         X     

HOME DEPOT INC                                  437076102           5,973             95,951             X                          

HOME DEPOT INC                                  437076102           2,086             33,509                        X         X     

HOME DEPOT INC                                  437076102           2,674             42,950             X                          

HOME DEPOT INC                                  437076102            453               7,270                        X         X     

ILLINOIS TOOL WKS INC                           452308109           6,392             103,307            X                          

ILLINOIS TOOL WKS INC                           452308109           1,607             25,975                        X         X     

ILLINOIS TOOL WKS INC                           452308109            311               5,029             X                          

ILLINOIS TOOL WKS INC                           452308109             4                 60                          X         X     

INTEL CORP                                      458140100          14,293             120,237            X                          

INTEL CORP                                      458140100           3,800             31,967                        X         X     

INTEL CORP                                      458140100           3,175             26,707             X                          

INTEL CORP                                      458140100            749               6,303                        X         X     

INTERNATIONAL BUSINESS MACHINES                 459200101            551               3,107             X                          

                                        0                        ----------
COLUMN TOTALS                                                        47,092             608,845
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                          ITEM 7                   ITEM 8                 
- -------------------------------------------      ---------     -------------------------------
                                               
                                                                        VOTING AUTHORITY
                                                                 SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                         MANAGERS        (A)         (B)          (C)
<S>                                              <C>          <C>          <C>           <C>          
GLAXO WELLCOME PLC                                 1              125
SPONSORED ADR
HARTFORD FINL SVCS GROUP INC                       1             4,000

HARTFORD FINL SVCS GROUP INC                       2              350

HEARTLAND VALUE FUND                               2            47,401                     563

H J HEINZ CO                                       1              750

H J HEINZ CO                                       1             6,000                     150

H J HEINZ CO                                       2             1,100

H J HEINZ CO                                       2             1,000

HEWLETT PACKARD                                    1            23,865                     700

HEWLETT PACKARD                                    1            15,019                    3,080

HEWLETT PACKARD                                    2             1,620

HEWLETT PACKARD                                    2              750

HOME DEPOT INC                                     1            93,441                    2,510

HOME DEPOT INC                                     1            31,285                    2,224

HOME DEPOT INC                                     2            34,850                    8,100

HOME DEPOT INC                                     2             7,270

ILLINOIS TOOL WKS INC                              1            92,705        702         9,900

ILLINOIS TOOL WKS INC                              1            23,125                    2,850

ILLINOIS TOOL WKS INC                              2             4,929                     100

ILLINOIS TOOL WKS INC                              2              60

INTEL CORP                                         1            110,983       550         8,704

INTEL CORP                                         1            27,862                    4,105

INTEL CORP                                         2            25,947                     760

INTEL CORP                                         2             6,273                     30

INTERNATIONAL BUSINESS MACHINES                    1             3,107


COLUMN TOTALS                                  
</TABLE>


                                    Page 11
<PAGE>   18
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
INTERNATIONAL BUSINESS MACHINES                 459200101           1,517              8,556                        X         X     

INTERNATIONAL BUSINESS MACHINES                 459200101            115                650              X                          

INTERNATIONAL BUSINESS MACHINES                 459200101            111                626                         X         X     

INTERPUBLIC GROUP                               460690100           5,021             64,481             X                          

INTERPUBLIC GROUP                               460690100           2,101             26,983                        X         X     

INTERPUBLIC GROUP                               460690100            732               9,405             X                          

INTERPUBLIC GROUP                               460690100            71                 910                         X         X     

JOHNSON & JOHNSON                               478160104           6,046             64,662             X                          

JOHNSON & JOHNSON                               478160104           3,029             32,391                        X         X     

JOHNSON & JOHNSON                               478160104           1,429             15,283             X                          

JOHNSON & JOHNSON                               478160104            229               2,451                        X         X     

KEY CORP NEW                                    493267108            49                1,626                        X         X     

KEY CORP NEW                                    493267108            317              10,442             X                          

KIMBERLY CLARK CORP                             494368103            460               9,600             X                          

KIMBERLY CLARK CORP                             494368103            157               3,272                        X         X     

KIMBERLY CLARK CORP                             494368103            10                 200              X                          

KROGER COMPANY                                  501044101           3,308             55,254             X                          

KROGER COMPANY                                  501044101            404               6,740                        X         X     

KROGER COMPANY                                  501044101            757              12,645             X                          

KROGER COMPANY                                  501044101            83                1,380                        X         X     

LEGGETT & PLATT                                 524660107           6,278             313,876            X                          

LEGGETT & PLATT                                 524660107           1,098             54,920                        X         X     

LEGGETT & PLATT                                 524660107            405              20,271             X                          

LEGGETT & PLATT                                 524660107            53                2,630                        X         X     

ELI LILLY & CO                                  532457108            558               6,575             X                          

                                      0                          ----------
COLUMN TOTALS                                                      34,338             725,829
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                 ITEM 7                   ITEM 8                 
- --------------------------------------  ---------     -------------------------------
                                      
                                                               VOTING AUTHORITY
                                                        SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                MANAGERS        (A)         (B)          (C)
<S>                                     <C>          <C>          <C>           <C>          
INTERNATIONAL BUSINESS MACHINES           1             8,556

INTERNATIONAL BUSINESS MACHINES           2              650

INTERNATIONAL BUSINESS MACHINES           2              626

INTERPUBLIC GROUP                         1            55,218        576         8,687

INTERPUBLIC GROUP                         1            21,833                    5,150

INTERPUBLIC GROUP                         2             9,405

INTERPUBLIC GROUP                         2              910

JOHNSON & JOHNSON                         1            56,837        600         7,225

JOHNSON & JOHNSON                         1            28,591                    3,800

JOHNSON & JOHNSON                         2            14,783                     500

JOHNSON & JOHNSON                         2             2,451

KEY CORP NEW                              1             1,626

KEY CORP NEW                              2            10,442

KIMBERLY CLARK CORP                       1             9,600

KIMBERLY CLARK CORP                       1             3,072                     200

KIMBERLY CLARK CORP                       2              200

KROGER COMPANY                            1            52,054                    3,200

KROGER COMPANY                            1             6,190                     550

KROGER COMPANY                            2            12,595                     50

KROGER COMPANY                            2             1,380

LEGGETT & PLATT                           1            287,311                  26,565

LEGGETT & PLATT                           1            46,220                    8,700

LEGGETT & PLATT                           2            20,071                     200

LEGGETT & PLATT                           2             2,630

ELI LILLY & CO                            1             6,575

                                      
COLUMN TOTALS                         
</TABLE>



                                    Page 12
<PAGE>   19

                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
ELI LILLY & CO                                  532457108            104               1,226             X                          

LOCKHEED MARTIN CORP                            539830109            213               5,630                        X         X     

LORD CORPORATION CLASS B                        5439991A4            239                900              X                          

LUCENT TECHNOLOGIES                             549463107           1,677             15,532             X                          

LUCENT TECHNOLOGIES                             549463107           1,296             12,002                        X         X     

LUCENT TECHNOLOGIES                             549463107            572               5,296             X                          

LUCENT TECHNOLOGIES                             549463107            55                 508                         X         X     

MBIA INC                                        55262C100            665              11,465             X                          

MBIA INC                                        55262C100            200               3,455                        X         X     

MBNA CORP                                       55262L100           8,008             335,434            X                          

MBNA CORP                                       55262L100           2,218             92,907                        X         X     

MBNA CORP                                       55262L100            646              27,050             X                          

MBNA CORP                                       55262L100            93                3,880                        X         X     

MCT INC                                         552671AA7            424               4,237             X                          

MASCO CORP                                      574599106            360              12,750             X                          

MASCO CORP                                      574599106            113               4,000                        X         X     

MASCO CORP                                      574599106            43                1,505             X                          

MASCO CORP                                      574599106             4                 150                         X         X     

MCDONALDS CORP                                  580135101            208               4,600             X                          

MCDONALDS CORP                                  580135101            768              16,946                        X         X     

MCDONALDS CORP                                  580135101            43                 950              X                          

MCDONALDS CORP                                  580135101            45                1,000                        X         X     

MEDFORD BANCORP INC                             584131106            160              10,000             X                          

MEDTRONIC INC                                   585055106           8,748             121,716            X                          

MEDTRONIC INC                                   585055106           2,485             34,573                        X         X     

                                  0                              ----------
COLUMN TOTALS                                                      29,387             727,712
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2            ITEM 7                   ITEM 8                 
- ---------------------------------  ---------     -------------------------------
                                 
                                                          VOTING AUTHORITY
                                                   SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS           MANAGERS        (A)         (B)          (C)
<S>                                <C>          <C>          <C>           <C>          
ELI LILLY & CO                       2             1,226

LOCKHEED MARTIN CORP                 1             5,430                     200

LORD CORPORATION CLASS B             1              900

LUCENT TECHNOLOGIES                  1            15,276        128          128

LUCENT TECHNOLOGIES                  1            10,648                    1,354

LUCENT TECHNOLOGIES                  2             5,168                     128

LUCENT TECHNOLOGIES                  2              508

MBIA INC                             1            11,140                     325

MBIA INC                             1             3,455

MBNA CORP                            1            308,876      1,966       24,592

MBNA CORP                            1            77,307                   15,600

MBNA CORP                            2            26,970                     80

MBNA CORP                            2             3,880

MCT INC                              1             4,237

MASCO CORP                           1            12,750

MASCO CORP                           1             4,000

MASCO CORP                           2             1,505

MASCO CORP                           2              150

MCDONALDS CORP                       1             4,600

MCDONALDS CORP                       1            15,446                    1,500

MCDONALDS CORP                       2              550                      400

MCDONALDS CORP                       2             1,000

MEDFORD BANCORP INC                  1            10,000

MEDTRONIC INC                        1            111,191                  10,525

MEDTRONIC INC                        1            30,023                    4,550

                                 
COLUMN TOTALS                    
</TABLE>



                                    Page 13
<PAGE>   20
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
MEDTRONIC INC                                   585055106           1,692             23,544             X                          

MEDTRONIC INC                                   585055106            293               4,070                        X         X     

MERCK & CO                                      589331107          11,039             137,775            X                          

MERCK & CO                                      589331107           3,644             45,477                        X         X     

MERCK & CO                                      589331107           2,442             30,483             X                          

MERCK & CO                                      589331107            613               7,650                        X         X     

MERRILL LYNCH & CO                              590188108           6,214             70,210             X                          

MERRILL LYNCH & CO                              590188108           1,349             15,245                        X         X     

MERRILL LYNCH & CO                              590188108            782               8,840             X                          

MERRILL LYNCH & CO                              590188108            196               2,215                        X         X     

MICROSOFT CORP                                  594918104          19,398             216,432            X                          

MICROSOFT CORP                                  594918104           8,350             93,164                        X         X     

MICROSOFT CORP                                  594918104           4,741             52,898             X                          

MICROSOFT CORP                                  594918104           1,214             13,546                        X         X     

MINNESOTA MINING & MFG                          604059105            518               7,325             X                          

MINNESOTA MINING & MFG                          604059105            241               3,400                        X         X     

MINNESOTA MINING & MFG                          604059105            57                 800              X                          

MOBIL CORP                                      607059102           2,579             29,302             X                          

MOBIL CORP                                      607059102            966              10,975                        X         X     

MOBIL CORP                                      607059102           1,626             18,480             X                          

MOBIL CORP                                      607059102            224               2,540                        X         X     

MONSANTO CO                                     611662107            358               7,792             X                          

MONSANTO CO                                     611662107            46                1,000                        X         X     

MONSANTO CO                                     611662107            14                 300              X                          

J P MORGAN                                      616880100            535               4,339             X                          

                                     0                           ----------
COLUMN TOTALS                                                      69,131             807,802
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                ITEM 7                   ITEM 8                 
- -------------------------------------  ---------     -------------------------------
                                     
                                                              VOTING AUTHORITY
                                                       SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS               MANAGERS        (A)         (B)          (C)
<S>                                    <C>          <C>          <C>           <C>          
MEDTRONIC INC                            2            22,419                    1,125

MEDTRONIC INC                            2             4,030                     40

MERCK & CO                               1            127,195                  10,580

MERCK & CO                               1            39,927                    5,550

MERCK & CO                               2            29,203                    1,280

MERCK & CO                               2             7,610                     40

MERRILL LYNCH & CO                       1            62,310                    7,900

MERRILL LYNCH & CO                       1            13,995                    1,250

MERRILL LYNCH & CO                       2             8,540                     300

MERRILL LYNCH & CO                       2             2,215

MICROSOFT CORP                           1            199,052      1,100       16,280

MICROSOFT CORP                           1            83,014                   10,150

MICROSOFT CORP                           2            47,998                    4,900

MICROSOFT CORP                           2            13,486                     60

MINNESOTA MINING & MFG                   1             7,325

MINNESOTA MINING & MFG                   1             3,400

MINNESOTA MINING & MFG                   2              800

MOBIL CORP                               1            27,102                    2,200

MOBIL CORP                               1             9,975                    1,000

MOBIL CORP                               2            17,980                     500

MOBIL CORP                               2             2,540

MONSANTO CO                              1             7,792

MONSANTO CO                              1             1,000

MONSANTO CO                              2              300

J P MORGAN                               1             4,339

                                     
COLUMN TOTALS                        
</TABLE>


                                    Page 14
<PAGE>   21
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
J P MORGAN                                      616880100            756               6,125                        X         X     

J P MORGAN                                      616880100            41                 332              X                          

MORGAN STANLY DN WTTR DISCVR NEW                617446448            78                 780              X                          

MORGAN STANLY DN WTTR DISCVR NEW                617446448            490               4,906                        X         X     

NATIONAL FUEL GAS                               636180101            44                1,120             X                          

NATIONAL FUEL GAS                               636180101            168               4,288                        X         X     

NESTLE SA SPONSORED ADR                         641069406            135               1,500             X                          

NESTLE SA SPONSORED ADR                         641069406            90                1,000                        X         X     

NEW ENGLAND ELECTRIC SYSTEM                     644001109            29                 600              X                          

NEW ENGLAND ELECTRIC SYSTEM                     644001109            186               3,836                        X         X     

NEW ENGLAND ELECTRIC SYSTEM                     644001109             1                 22               X                          

NEW ENGLAND ELECTRIC SYSTEM                     644001109            49                1,000                        X         X     

NORTHERN TRUST CORP                             665859104            22                 245              X                          

NORTHERN TRUST CORP                             665859104            606               6,824                        X         X     

NUVEEN PREMIUM INCOME MUNICIPAL FD              67062T100            174              11,590             X                          

NUVEEN MUNI BOND FND CL R                       67065Q400            191              19,983             X                          

NUVEEN MUNI BOND FND CL R                       67065Q400                               48                          X         X     

NUVEEN FLAGSHIP MUNI ALL-AM #503                67065Q855            311              27,029             X                          

PENNICHUCK INC -NEW                             708254206            699              33,785             X                          

PENNICHUCK INC -NEW                             708254206           1,641             79,330                        X         X     

PEOPLES HERITAGE FINL GROUP INC                 711147108          11,541             641,175            X                          

PEOPLES HERITAGE FINL GROUP INC                 711147108           7,414             411,900                       X         X     

PEOPLES HERITAGE FINL GROUP INC                 711147108            125               6,966             X                          

PEOPLES HERITAGE FINL GROUP INC                 711147108            58                3,200                        X         X     

PEPSICO                                         713448108            512              13,078             X                          

                                          0                      ----------
COLUMN TOTALS                                                      25,361            1,280,662
</TABLE>


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                    ITEM 7                   ITEM 8                 
- -----------------------------------------  ---------     -------------------------------
                                         
                                                                  VOTING AUTHORITY
                                                           SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                   MANAGERS        (A)         (B)          (C)
<S>                                        <C>          <C>          <C>           <C>          
J P MORGAN                                   1             5,925                     200

J P MORGAN                                   2              232                      100

MORGAN STANLY DN WTTR DISCVR NEW             1              780

MORGAN STANLY DN WTTR DISCVR NEW             1             4,906

NATIONAL FUEL GAS                            1             1,120

NATIONAL FUEL GAS                            1             4,288

NESTLE SA SPONSORED ADR                      1             1,500

NESTLE SA SPONSORED ADR                      1             1,000

NEW ENGLAND ELECTRIC SYSTEM                  1              600

NEW ENGLAND ELECTRIC SYSTEM                  1             3,836

NEW ENGLAND ELECTRIC SYSTEM                  2              22

NEW ENGLAND ELECTRIC SYSTEM                  2             1,000

NORTHERN TRUST CORP                          1              245

NORTHERN TRUST CORP                          1             6,024                     800

NUVEEN PREMIUM INCOME MUNICIPAL FD           1            11,590

NUVEEN MUNI BOND FND CL R                    1            19,983

NUVEEN MUNI BOND FND CL R                    1              48

NUVEEN FLAGSHIP MUNI ALL-AM #503             1            27,029

PENNICHUCK INC -NEW                          1            33,785

PENNICHUCK INC -NEW                          1            62,205                   17,125

PEOPLES HERITAGE FINL GROUP INC              1            626,113                  15,062

PEOPLES HERITAGE FINL GROUP INC              1            216,304                  195,596

PEOPLES HERITAGE FINL GROUP INC              2                                      6,966

PEOPLES HERITAGE FINL GROUP INC              2             1,000                    2,200

PEPSICO                                      1            13,078

                                         
COLUMN TOTALS                            
</TABLE>


                                    Page 15
<PAGE>   22
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
PEPSICO                                         713448108            693              17,690                        X         X     

PEPSICO                                         713448108            153               3,900             X                          

PEPSICO                                         713448108            39                1,000                        X         X     

PFIZER INC                                      717081103          10,027             72,267             X                          

PFIZER INC                                      717081103           2,274             16,388                        X         X     

PFIZER INC                                      717081103           2,528             18,219             X                          

PFIZER INC                                      717081103            557               4,015                        X         X     

PHILIP MORRIS COS INC                           718154107            102               2,900             X                          

PHILIP MORRIS COS INC                           718154107            253               7,200                        X         X     

PHILIP MORRIS COS INC                           718154107            65                1,850             X                          

PROCTER & GAMBLE CO                             742718109          12,527             127,905            X                          

PROCTER & GAMBLE CO                             742718109           3,587             36,627                        X         X     

PROCTER & GAMBLE CO                             742718109           1,921             19,618             X                          

PROCTER & GAMBLE CO                             742718109            404               4,130                        X         X     

PROGRESSIVE CORP OHIO                           743315103           1,045              7,285             X                          

PROGRESSIVE CORP OHIO                           743315103            29                 200                         X         X     

PROGRESSIVE CORP OHIO                           743315103            115                800              X                          

PROGRESSIVE CORP OHIO                           743315103            14                 100                         X         X     

PUTNAM MUN INCOME FD CL A                       746919109            151              16,332             X                          

ROYAL DUTCH PETE CO NY REG SHS 1.25             780257804            318               6,120             X                          

ROYAL DUTCH PETE CO NY REG SHS 1.25             780257804            229               4,400                        X         X     

ROYAL DUTCH PETE CO NY REG SHS 1.25             780257804            16                 300              X                          

SBC COMMUNICATIONS INC                          78387G103           3,448             73,080             X                          

SBC COMMUNICATIONS INC                          78387G103           1,493             31,649                        X         X     

SBC COMMUNICATIONS INC                          78387G103           1,284             27,210             X                          

                                          0                      ----------
COLUMN TOTALS                                                      43,272             501,185
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                     ITEM 7                   ITEM 8                 
- ------------------------------------------  ---------     -------------------------------
                                          
                                                                   VOTING AUTHORITY
                                                            SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                    MANAGERS        (A)         (B)          (C)
<S>                                         <C>          <C>          <C>           <C>          
PEPSICO                                       1            16,590                    1,100

PEPSICO                                       2             3,900

PEPSICO                                       2             1,000

PFIZER INC                                    1            69,832        800         1,635

PFIZER INC                                    1            12,788                    3,600

PFIZER INC                                    2            16,789                    1,430

PFIZER INC                                    2             3,995                     20

PHILIP MORRIS COS INC                         1             2,900

PHILIP MORRIS COS INC                         1             7,200

PHILIP MORRIS COS INC                         2             1,850

PROCTER & GAMBLE CO                           1            118,611       550         8,744

PROCTER & GAMBLE CO                           1            32,202                    4,425

PROCTER & GAMBLE CO                           2            18,768                     850

PROCTER & GAMBLE CO                           2             4,100                     30

PROGRESSIVE CORP OHIO                         1             7,160                     125

PROGRESSIVE CORP OHIO                         1              200

PROGRESSIVE CORP OHIO                         2              800

PROGRESSIVE CORP OHIO                         2              100

PUTNAM MUN INCOME FD CL A                     1                                     16,332

ROYAL DUTCH PETE CO NY REG SHS 1.25           1             6,120

ROYAL DUTCH PETE CO NY REG SHS 1.25           1             4,000                     400

ROYAL DUTCH PETE CO NY REG SHS 1.25           2              300

SBC COMMUNICATIONS INC                        1            65,704                    7,376

SBC COMMUNICATIONS INC                        1            27,149                    4,500

SBC COMMUNICATIONS INC                        2            27,160                     50

                                          
COLUMN TOTALS                             
</TABLE>



                                    Page 16
<PAGE>   23
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
SBC COMMUNICATIONS INC                          78387G103            115               2,439                        X         X     

SARA LEE CORP                                   803111103            411              16,600             X                          

SARA LEE CORP                                   803111103            400              16,160                        X         X     

SARA LEE CORP                                   803111103            22                 900              X                          

SARA LEE CORP                                   803111103             6                 250                         X         X     

SCHERING PLOUGH                                 806605101           6,808             123,219            X                          

SCHERING PLOUGH                                 806605101           1,333             24,120                        X         X     

SCHERING PLOUGH                                 806605101           1,792             32,434             X                          

SCHERING PLOUGH                                 806605101            292               5,280                        X         X     

SCHLUMBERGER LIMITED                            806857108            123               2,050             X                          

SCHLUMBERGER LIMITED                            806857108            49                 810                         X         X     

SCHLUMBERGER LIMITED                            806857108            96                1,600             X                          

SCHLUMBERGER LIMITED                            806857108            93                1,550                        X         X     

SOLECTRON CORP                                  834182107           5,666             116,670            X                          

SOLECTRON CORP                                  834182107           1,047             21,560                        X         X     

SOLECTRON CORP                                  834182107            44                 900              X                          

SOUTH BROWARD TRUST ID                          8367560A5            281                 1               X                          
#50-1779443 (FLORIDA LAND
SPRINT CORP                                     852061100            39                 400              X                          

SPRINT CORP                                     852061100            245               2,500                        X         X     

SPRINT CORP                                     852061100            119               1,217             X                          

SPRINT CORP                                     852061100            69                 700                         X         X     

STAPLES INC                                     855030102           4,431             134,786            X                          

STAPLES INC                                     855030102           1,187             36,107                        X         X     

STAPLES INC                                     855030102           1,015             30,876             X                          

STAPLES INC                                     855030102            152               4,635                        X         X     

                                          0                      ----------
COLUMN TOTALS                                                      25,835             577,764
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                    ITEM 7                   ITEM 8                 
- -----------------------------------------  ---------     -------------------------------
                                         
                                                                  VOTING AUTHORITY
                                                           SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                   MANAGERS        (A)         (B)          (C)
<S>                                        <C>          <C>          <C>           <C>          
SBC COMMUNICATIONS INC                       2             2,439

SARA LEE CORP                                1            16,600

SARA LEE CORP                                1            14,960                    1,200

SARA LEE CORP                                2              600                      300

SARA LEE CORP                                2              250

SCHERING PLOUGH                              1            110,694                  12,525

SCHERING PLOUGH                              1            19,420                    4,700

SCHERING PLOUGH                              2            30,934                    1,500

SCHERING PLOUGH                              2             5,220                     60

SCHLUMBERGER LIMITED                         1             2,050

SCHLUMBERGER LIMITED                         1              810

SCHLUMBERGER LIMITED                         2             1,600

SCHLUMBERGER LIMITED                         2             1,550

SOLECTRON CORP                               1            112,070                   4,600

SOLECTRON CORP                               1            20,760                     800

SOLECTRON CORP                               2              900

SOUTH BROWARD TRUST ID                       1               1
#50-1779443 (FLORIDA LAND
SPRINT CORP                                  1              400

SPRINT CORP                                  1             2,500

SPRINT CORP                                  2             1,217

SPRINT CORP                                  2              700

STAPLES INC                                  1            114,736                  20,050

STAPLES INC                                  1            25,532                   10,575

STAPLES INC                                  2            29,976                     900

STAPLES INC                                  2             4,635

                                         
COLUMN TOTALS                            
</TABLE>


                                    Page 17
<PAGE>   24
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
STATE STREET CORP                               857477103            420               5,102             X                          

STATE STREET CORP                               857477103            146               1,779                        X         X     

STATE STREET CORP                               857477103            166               2,018             X                          

STATE STREET CORP                               857477103            469               5,700                        X         X     

STRYKER CORP                                    863667101           4,577             90,740             X                          

STRYKER CORP                                    863667101            530              10,510                        X         X     

STRYKER CORP                                    863667101            30                 600              X                          

SUN MICROSYSTEMS INC                            866810104            50                 400              X                          

SUN MICROSYSTEMS INC                            866810104            75                 600                         X         X     

SUN MICROSYSTEMS INC                            866810104            92                 737              X                          

SUN MICROSYSTEMS INC                            866810104            125               1,000                        X         X     

SYSCO CORP                                      871829107           1,961             74,528             X                          

SYSCO CORP                                      871829107            221               8,416                        X         X     

SYSCO CORP                                      871829107            555              21,110             X                          

SYSCO CORP                                      871829107            179               6,820                        X         X     

TELLABS INC                                     879664100            213               2,179             X                          

TEXACO INC                                      881694103            79                1,400             X                          

TEXACO INC                                      881694103            119               2,092                        X         X     

TEXACO INC                                      881694103            35                 625              X                          

TRIBUNE CO NEW                                  896047107            590               9,020             X                          

TRIBUNE CO NEW                                  896047107            85                1,300                        X         X     

TRIBUNE CO NEW                                  896047107            33                 510              X                          

TYCO INTL LTD NEW                               902124106            621               8,662             X                          

TYCO INTL LTD NEW                               902124106            72                1,000             X                          

US BANCORP DEL                                  902973106            250               7,338                        X         X     

                                       0                         ----------
COLUMN TOTALS                                                      11,693             264,186
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                  ITEM 7                   ITEM 8                 
- ---------------------------------------  ---------     -------------------------------
                                       
                                                                VOTING AUTHORITY
                                                         SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                 MANAGERS        (A)         (B)          (C)
<S>                                      <C>          <C>          <C>           <C>          
STATE STREET CORP                          1             5,102

STATE STREET CORP                          1             1,579                     200

STATE STREET CORP                          2             1,418                     600

STATE STREET CORP                          2             5,700

STRYKER CORP                               1            87,340                    3,400

STRYKER CORP                               1             9,810                     700

STRYKER CORP                               2                                       600

SUN MICROSYSTEMS INC                       1              400

SUN MICROSYSTEMS INC                       1              600

SUN MICROSYSTEMS INC                       2              737

SUN MICROSYSTEMS INC                       2             1,000

SYSCO CORP                                 1            57,633                   16,895

SYSCO CORP                                 1             7,416                    1,000

SYSCO CORP                                 2            19,710                    1,400

SYSCO CORP                                 2             6,820

TELLABS INC                                2             2,179

TEXACO INC                                 1             1,400

TEXACO INC                                 1             1,832                     260

TEXACO INC                                 2              625

TRIBUNE CO NEW                             1             9,020

TRIBUNE CO NEW                             1             1,300

TRIBUNE CO NEW                             2              435                      75

TYCO INTL LTD NEW                          1             8,662

TYCO INTL LTD NEW                          2             1,000

US BANCORP DEL                             1             7,338

                                       
COLUMN TOTALS                          
</TABLE>


                                    Page 18
<PAGE>   25
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
UNUM CORPORATION                                903192102            94                1,984             X                          

UNUM CORPORATION                                903192102            71                1,500                        X         X     

UNUM CORPORATION                                903192102            57                1,200             X                          

UNUM CORPORATION                                903192102            19                 400                         X         X     

UNION PACIFIC CORP                              907818108            143               2,670             X                          

UNION PACIFIC CORP                              907818108            237               4,430                        X         X     

U S WEST INC NEW                                91273H101            98                1,785             X                          

U S WEST INC NEW                                91273H101            85                1,543                        X         X     

U S WEST INC NEW                                91273H101            82                1,494             X                          

UNITED TECHNOLOGIES                             913017109            549               4,050             X                          

UNITED TECHNOLOGIES                             913017109            282               2,082                        X         X     

UNITED TECHNOLOGIES                             913017109            27                 200              X                          

UNITED TECHNOLOGIES                             913017109            95                 700                         X         X     

VANGUARD MUNI BOND FUND                         922907209            22                1,623             X                          
INTERMEDIATE TERM #42 INC PD
VANGUARD MUNI BOND FUND                         922907209            390              29,090                        X         X     
INTERMEDIATE TERM #42 INC PD
VANGUARD 500 INDEX FUND #40                     922908108           9,289             78,012             X                          

VANGUARD 500 INDEX FUND #40                     922908108           2,806             23,568                        X         X     

VANGUARD 500 INDEX FUND #40                     922908108           7,621             64,077             X                          

VANGUARD 500 INDEX FUND #40                     922908108            128               1,077                        X         X     

WALMART STORES INC                              931142103           3,445             37,370             X                          

WALMART STORES INC                              931142103           1,378             14,952                        X         X     

WALMART STORES INC                              931142103            933              10,126             X                          

WALMART STORES INC                              931142103            105               1,144                        X         X     

WALGREEN CO                                     931422109            540              19,121             X                          

WALGREEN CO                                     931422109            301              10,650                        X         X     

                                          0                      ----------
COLUMN TOTALS                                                      28,797             314,848
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                     ITEM 7                   ITEM 8                 
- ------------------------------------------  ---------     -------------------------------
                                          
                                                                   VOTING AUTHORITY
                                                            SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                    MANAGERS        (A)         (B)          (C)
<S>                                         <C>          <C>          <C>           <C>          
UNUM CORPORATION                              1             1,984

UNUM CORPORATION                              1             1,500

UNUM CORPORATION                              2              800                      400

UNUM CORPORATION                              2              400

UNION PACIFIC CORP                            1             2,670

UNION PACIFIC CORP                            1             4,430

U S WEST INC NEW                              1             1,785

U S WEST INC NEW                              1             1,543

U S WEST INC NEW                              2             1,494

UNITED TECHNOLOGIES                           1             4,050

UNITED TECHNOLOGIES                           1             2,082

UNITED TECHNOLOGIES                           2              200

UNITED TECHNOLOGIES                           2              700

VANGUARD MUNI BOND FUND                       1             1,623
INTERMEDIATE TERM #42 INC PD
VANGUARD MUNI BOND FUND                       1            24,970                    4,120
INTERMEDIATE TERM #42 INC PD
VANGUARD 500 INDEX FUND #40                   1            72,225                    5,787

VANGUARD 500 INDEX FUND #40                   1            23,462                     106

VANGUARD 500 INDEX FUND #40                   2            12,392                   51,685

VANGUARD 500 INDEX FUND #40                   2              628                      449

WALMART STORES INC                            1            29,845                    7,525

WALMART STORES INC                            1            13,952                    1,000

WALMART STORES INC                            2            10,126

WALMART STORES INC                            2             1,144

WALGREEN CO                                   1            17,921                    1,200

WALGREEN CO                                   1            10,650

                                          
COLUMN TOTALS                             
</TABLE>


                                    Page 19
<PAGE>   26
                                     13FBNH


1REPORT PTR285 1H SECURITIES AND EXCHANGE COMMISSION FORM 13-F          03/31/99


<TABLE>
<CAPTION>
0            ITEM 1 AND 2                         ITEM 3            ITEM 4             ITEM 5                    ITEM 6             
- -------------------------------------------    -----------       -----------         ---------         --------------------------   
                                                                                                                INVESTMENT
                                                                   MARKET             SHARES                    DISCRETION          
                                                                    VALUE               OR             SOLE        SHR      OTHER   
ISSUER AND TITLE OF CLASS                         CUSIP          (THOUSANDS)         PRINCIPAL          (A)        (B)       (C)    
<S>                                             <C>              <C>                <C>                <C>      <C>         <C>     
WALGREEN CO                                     931422109            988              34,960             X                          

WALGREEN CO                                     931422109            118               4,180                        X         X     

WARBURG PINCUS EMERGING GROWTH                  933909103           1,088             28,186             X                          
FUND #005
WARBURG PINCUS EMERGING GROWTH                  933909103            695              18,054                        X         X     
FUND #005
WARBURG PINCUS EMERGING GROWTH                  933909103           1,908             49,581             X                          
FUND #005
WARBURG PINCUS EMERGING GROWTH                  933909103            54                1,401                        X         X     
FUND #005
WARNER LAMBERT                                  934488107            659               9,943             X                          

WARNER LAMBERT                                  934488107           1,532             23,125                        X         X     

WARNER LAMBERT                                  934488107            45                 675              X                          

WELLS FARGO & COMPANY NEW                       949746101           1,354             38,630             X                          

WELLS FARGO & COMPANY NEW                       949746101           1,093             31,175                        X         X     

WELLS FARGO & COMPANY NEW                       949746101           1,120             31,930             X                          

WELLS FARGO & COMPANY NEW                       949746101            194               5,540                        X         X     

WESTAFF INC                                     957070105            708              136,468                       X         X     

THE WILLIAMS COMPANIES                          969457100            272               6,897             X                          

THE WILLIAMS COMPANIES                          969457100            154               3,900                        X         X     

WISCONSIN ENERGY CORP                           976657106            145               5,550             X                          

WISCONSIN ENERGY CORP                           976657106            74                2,850                        X         X     

WISCONSIN ENERGY CORP                           976657106             8                 300                         X         X     

XEROX CORP                                      984121103            181               3,480             X                          

XEROX CORP                                      984121103            461               8,850                        X         X     

XEROX CORP                                      984121103            50                 950              X                          

XEROX CORP                                      984121103            10                 200                         X         X     

                                          0                      ----------
COLUMN TOTALS                                                      12,911             446,825
0         FINAL TOTALS                                            663,718            16,074,581
</TABLE>

<TABLE>
<CAPTION>
0            ITEM 1 AND 2                    ITEM 7                   ITEM 8                 
- -----------------------------------------  ---------     -------------------------------
                                         
                                                                  VOTING AUTHORITY
                                                           SOLE        SHARED       NONE
ISSUER AND TITLE OF CLASS                   MANAGERS        (A)         (B)          (C)
<S>                                        <C>          <C>          <C>           <C>          
WALGREEN CO                                  2            34,160                     800

WALGREEN CO                                  2             4,180

WARBURG PINCUS EMERGING GROWTH               1            26,134                    2,052
FUND #005
WARBURG PINCUS EMERGING GROWTH               1            13,486                    4,568
FUND #005
WARBURG PINCUS EMERGING GROWTH               2            49,358                     223
FUND #005
WARBURG PINCUS EMERGING GROWTH               2             1,401
FUND #005
WARNER LAMBERT                               1             9,563                     380

WARNER LAMBERT                               1            23,125

WARNER LAMBERT                               2              675

WELLS FARGO & COMPANY NEW                    1            38,030                     600

WELLS FARGO & COMPANY NEW                    1            25,575                    5,600

WELLS FARGO & COMPANY NEW                    2            30,710                    1,220

WELLS FARGO & COMPANY NEW                    2             5,480                     60

WESTAFF INC                                  1            136,468

THE WILLIAMS COMPANIES                       1             6,897

THE WILLIAMS COMPANIES                       1             3,900

WISCONSIN ENERGY CORP                        1             5,550

WISCONSIN ENERGY CORP                        1             2,850

WISCONSIN ENERGY CORP                        2              300

XEROX CORP                                   1             3,480

XEROX CORP                                   1             8,850

XEROX CORP                                   2              950

XEROX CORP                                   2              200

                                         
COLUMN TOTALS                            
0         FINAL TOTALS                   
</TABLE>


                                    Page 20


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