UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for Calendar Year or Quarter Ended: June 30, 1999
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Rampart Investment Management Company, Inc.
Address: One International Place, 23rd Floor
Boston, MA 02110
13F File Number: 28-02301
The institutional investment manager filing this report and the person 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: Debbie L. Cancela
Title: Vice-President
Phone: (617) 342-6900
Signature, Place, and Date of Signing:
Debbie L. Cancela Boston, Massachusetts July 23, 1999
Report Type (Check only one.):
[ XX ] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of other managers Reporting for this Manager:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 139
Form 13F Information Table Value Total: $390,186
List of Other Included Managers:
No. 13F File Number Name
n/a
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<TABLE>
VALUE SHARES/ SH/ PUT/ INVSTMT
- -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (x$1000) PRN AMT
PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE
<C> <C>
D 3COM CORP COM com 885535104 368 13800.00 SH
DEFINED 13800.00
D ABBOTT LABS COM com 002824100 3031 66800.00 SH
DEFINED 66800.00
D AETNA INC COM com 008117103 599 6700.00 SH
DEFINED 6700.00
D ALBERTSONS INC COM com 013104104 526 10200.00 SH
DEFINED 10200.00
D ALCOA COM com 013817101 891 14400.00 SH
DEFINED 14400.00
D ALLIEDSIGNAL INC COM com 019512102 1670 26500.00 SH
DEFINED 26500.00
D ALLSTATE CORP COM com 020002101 868 24200.00 SH
DEFINED 24200.00
D AMERICAN EXPRESS CO COM com 025816109 2472 19000.00 SH
DEFINED 19000.00
D AMERICAN HOME PRODS CP COM com 026609107 2978 51900.00
SH DEFINED 51900.00
D AMERICAN INTL GROUP COM com 026874107 5276 45000.00 SH
DEFINED 45000.00
D AMERITECH CORP NEW COM com 030954101 3293 44800.00 SH
DEFINED 44800.00
D ANHEUSER BUSCH COS INC COM com 035229103 1511 21300.00
SH DEFINED 21300.00
D APPLIED MATLS INC COM com 038222105 1226 16600.00 SH
DEFINED 16600.00
D ASSOCIATES FIRST CAP CL A com 046008108 1174 26600.00 SH
DEFINED 26600.00
D AT&T CORP COM com 001957109 12261 219684.08SH
DEFINED 219684.08
D ATLANTIC RICHFIELD CO COM com 048825103 1120 13400.00 SH
DEFINED 13400.00
D AUTOMATIC DATA PROCESS COM com 053015103 1047 23800.00
SH DEFINED 23800.00
D BANC ONE CORP COM com 06423A103 3228 54200.00 SH
DEFINED 54200.00
D BANK NEW YORK INC COM com 064057102 1211 33000.00 SH
DEFINED 33000.00
D BANK OF AMERICA CORP COM com 06605F102 4501 61400.00 SH
DEFINED 61400.00
D BAXTER INTL INC COM com 071813109 734 12100.00 SH
DEFINED 12100.00
D BELL ATLANTIC CORP COM com 077853109 4138 63300.00 SH
DEFINED 63300.00
D BELLSOUTH CORP COM com 079860102 3930 85200.00 SH
DEFINED 85200.00
D BEST FOODS INC COM com 08658U101 480 9700.00 SH
DEFINED 9700.00
D BOEING CO COM com 097023105 1874 42600.00 SH
DEFINED 42600.00
D BP AMOCO P L C SPONSORED ADR com 3022 27856.31 SH
DEFINED 27856.31
D BRISTOL MYERS SQUIBB COM com 110122108 6044 85800.00 SH
DEFINED 85800.00
D BURLINGTON NRTHN SANTA COM com 12189T104 605 19500.00
SH DEFINED 19500.00
D CAMPBELL SOUP CO COM com 134429109 895 19300.00 SH
DEFINED 19300.00
D CATERPILLAR INC DEL COM com 149123101 804 13400.00 SH
DEFINED 13400.00
D CHASE MANHATTAN NEW COM com 16161A108 3209 37100.00
SH DEFINED 37100.00
D CHEVRON CORPORATION COM com 166751107 2633 27700.00
SH DEFINED 27700.00
D CIGNA CORP COM com 125509109 507 5700.00 SH
DEFINED 5700.00
D CISCO SYS INC COM com 17275R102 8751 135800.00SH
DEFINED 135800.00
D CITIGROUP COM com 172967101 6683 140700.00SH
DEFINED 140700.00
D COCA COLA CO COM com 191216100 6615 106700.00SH
DEFINED 106700.00
D COLGATE PALMOLIVE CO COM com 194162103 1084 11000.00
SH DEFINED 11000.00
D COLUMBIA/HCA HLTHCARE COM com 197677107 657 28800.00
SH DEFINED 28800.00
D COMPAQ COMPUTER CORP COM com 204493100 1559 65800.00
SH DEFINED 65800.00
D COMPUTER ASSOC INTL COM com 204912109 1281 23400.00 SH
DEFINED 23400.00
D CONAGRA INC COM com 205887102 445 16700.00 SH
DEFINED 16700.00
D DELL COMPUTER CORP COM com 247025109 4092 110600.00SH
DEFINED 110600.00
D DELPHI AUTO SYS CORP COM com 415 22435.65 SH
DEFINED 22435.65
D DISNEY WALT CO COM com 254687106 2687 87200.00 SH
DEFINED 87200.00
D DOW CHEM CO COM com 260543103 1332 10500.00 SH
DEFINED 10500.00
D DU PONT E I DE NEMOURS COM com 263534109 4174 61100.00 SH
DEFINED 61100.00
D DUKE POWER CO COM com 264399106 806 14800.00 SH
DEFINED 14800.00
D E M C CORP MASS COM com 268648102 2376 43200.00 SH
DEFINED 43200.00
D EASTMAN KODAK CO COM com 277461109 1931 28500.00 SH
DEFINED 28500.00
D EDISON INTL COM com 281020107 559 20900.00 SH
DEFINED 20900.00
D EMERSON ELEC CO COM com 291011104 1208 19200.00 SH
DEFINED 19200.00
D ENRON CORP COM com 293561106 891 10900.00 SH
DEFINED 10900.00
D EXXON CORP COM com 302290101 9224 119600.00SH
DEFINED 119600.00
D FANNIE MAE com 313586109 3208 47000.00 SH
DEFINED 47000.00
D FEDERAL HOME LN MTG CP COM com 313400301 1792 30900.00
SH DEFINED 30900.00
D FIRST DATA CORP COM com 1023 20900.00 SH
DEFINED 20900.00
D FIRST UN CORP COM com 337358105 1984 42100.00 SH
DEFINED 42100.00
D FLEET FINL GROUP INC COM com 338915101 994 22400.00 SH
DEFINED 22400.00
D FORD MTR CO DEL COM com 345370100 2856 50600.00 SH
DEFINED 50600.00
D FPL GROUP INC COM com 302571104 377 6900.00 SH
DEFINED 6900.00
D GANNETT INC COM com 364730101 807 11300.00 SH
DEFINED 11300.00
D GAP INC DEL COM com 364760108 2074 41175.00 SH
DEFINED 41175.00
D GENERAL ELEC CO COM com 369604103 15300 135400.00SH
DEFINED 135400.00
D GENERAL MILLS INC COM com 370334104 514 6400.00 SH
DEFINED 6400.00
D GENERAL MOTORS CORP COM com 370442105 2119 32100.00 SH
DEFINED 32100.00
D GILLETTE CO COM com 375766102 1882 45900.00 SH
DEFINED 45900.00
D GTE CORP COM com 362320103 2982 39500.00 SH
DEFINED 39500.00
D HARTFORD FINANCIAL SERVICES GR com 416515104 548 9400.00
SH DEFINED 9400.00
D HEINZ H J CO COM com 423074103 692 13800.00 SH
DEFINED 13800.00
D HEWLETT PACKARD CO COM com 428236103 4402 43800.00 SH
DEFINED 43800.00
D HOME DEPOT INC COM com 437076102 3525 54700.00 SH
DEFINED 54700.00
D IMS HEALTH INC COM com 481 15400.00 SH
DEFINED 15400.00
D INTEL CORP COM com 458140100 8044 135200.00SH
DEFINED 135200.00
D INTERNATIONAL BUS MACH COM com 459200101 11684 90400.00
SH DEFINED 90400.00
D INTL PAPER CO COM com 460146103 698 13900.00 SH
DEFINED 13900.00
D JOHNSON & JOHNSON COM com 478160104 5596 57100.00 SH
DEFINED 57100.00
D KELLOGG CO COM com 487836108 601 18200.00 SH
DEFINED 18200.00
D KEYCORP NEW COM com 493267108 729 22700.00 SH
DEFINED 22700.00
D KIMBERLY CLARK CORP COM com 494368103 1379 24200.00 SH
DEFINED 24200.00
D LILLY ELI & CO COM com 532457108 3352 46800.00 SH
DEFINED 46800.00
D LOCKHEED MARTIN CORP COM com 539830109 693 18600.00 SH
DEFINED 18600.00
D LUCENT TECHNOLOGIES COM com 549463107 7701
114200.00SH DEFINED 114200.00
D MAY DEPT STORES CO COM com 577778103 509 12450.00 SH
DEFINED 12450.00
D MCDONALDS CORP COM com 580135101 2533 61600.00 SH
DEFINED 61600.00
D MCI WORLDCOM INC GA COM com 55268B106 3374 39200.00 SH
DEFINED 39200.00
D MEDIAONE GROUP INC. com 58440J104 1525 20500.00 SH
DEFINED 20500.00
D MEDTRONIC INC COM com 585055106 1737 22300.00 SH
DEFINED 22300.00
D MERCK & CO INC COM com 589331107 7672 104200.00SH
DEFINED 104200.00
D MERRILL LYNCH & CO INC COM com 590188108 1407 17700.00 SH
DEFINED 17700.00
D MICRON TECHNOLOGY INC COM com 385 9500.00 SH
DEFINED 9500.00
D MICROSOFT CORP COM com 594918104 19336 214400.00SH
DEFINED 214400.00
D MINNESOTA MNG & MFG CO COM com 604059105 1539 17700.00
SH DEFINED 17700.00
D MOBIL CORP COM com 607059102 3358 34000.00 SH
DEFINED 34000.00
D MONSANTO CO COM com 611662107 1112 28100.00 SH
DEFINED 28100.00
D MORGAN J P & CO INC COM com 616880100 1138 8100.00 SH
DEFINED 8100.00
D MORGAN STANLEY DEAN WITTER COM com 617446448 2422
23600.00 SH DEFINED 23600.00
D MOTOROLA INC COM com 620076109 2606 27500.00 SH
DEFINED 27500.00
D NIKE INC CL B com 654106103 780 12300.00 SH
DEFINED 12300.00
D NORFOLK SOUTHERN CORP COM com 655844108 488 16200.00
SH DEFINED 16200.00
D NORTEL NETWORKS CORPORATION CO com 656569100 1571
18100.00 SH DEFINED 18100.00
D ORACLE CORP COM com 68389X105 2344 63150.00 SH
DEFINED 63150.00
D PENNEY J C INC COM com 708160106 471 9700.00 SH
DEFINED 9700.00
D PEPSICO INC COM com 713448108 2867 74100.00 SH
DEFINED 74100.00
D PFIZER INC COM com 717081103 5984 54900.00 SH
DEFINED 54900.00
D PG&E CORP COM com 69331C108 581 17900.00 SH
DEFINED 17900.00
D PHARMACIA & UPJOHN INC COM com 716941109 1318 23200.00
SH DEFINED 23200.00
D PHILIP MORRIS COS INC COM com 718154107 4027 100200.00SH
DEFINED 100200.00
D PHILLIPS PETE CO COM com 718507106 508 10100.00 SH
DEFINED 10100.00
D PITNEY BOWES INC COM com 724479100 957 14900.00 SH
DEFINED 14900.00
D PNC BK CORP COM com 693475105 841 14600.00 SH
DEFINED 14600.00
D PROCTER & GAMBLE CO COM com 742718109 5248 58800.00 SH
DEFINED 58800.00
D RAYTHEON CO CLASS B com 755111408 895 12700.00 SH
DEFINED 12700.00
D ROCKWELL INTL CORP NEW COM com 773903109 571 9400.00
SH DEFINED 9400.00
D ROYAL DUTCH PETE CO NY REG GLD com 780257804 5236 86900.00
SH DEFINED 86900.00
D SARA LEE CORP COM com 803111103 948 41800.00 SH
DEFINED 41800.00
D SBC COMMUNICATIONS INC COM com 78387G103 4785 82500.00
SH DEFINED 82500.00
D SCHERING PLOUGH CORP COM com 806605101 3371 64200.00 SH
DEFINED 64200.00
D SCHLUMBERGER LTD COM com 806857108 1344 21100.00 SH
DEFINED 21100.00
D SEAGRAM LTD COM com 811850106 675 13400.00 SH
DEFINED 13400.00
D SEARS ROEBUCK & CO COM com 812387108 722 16200.00 SH
DEFINED 16200.00
D SOUTHERN CO COM com 842587107 702 26500.00 SH
DEFINED 26500.00
D SPDR TR UNIT SER 1 com 78462F103 31531 230150.00SH
SOLE 230150.00
D SPRINT CORP COM com 852061100 1685 31800.00 SH
DEFINED 31800.00
D SUN MICROSYSTEMS INC COM com 866810104 2108 30600.00 SH
DEFINED 30600.00
D TEXACO INC COM com 881694103 1416 22700.00 SH
DEFINED 22700.00
D TEXAS INSTRS INC COM com 882508104 2477 17200.00 SH
DEFINED 17200.00
D TIME WARNER INC COM com 887315109 3341 46000.00 SH
DEFINED 46000.00
D TYCO INTL LTD NEW COM com 2732 28831.37 SH
DEFINED 28831.37
D U S WEST INC com 912889102 1240 21100.00 SH
DEFINED 21100.00
D UNILEVER N V NEW YORK SHS com 904784501 1731 24821.51 SH
DEFINED 24821.51
D UNITED TECHNOLOGIES CP COM com 913017109 1354 18800.00
SH DEFINED 18800.00
D US BANCORP DEL COM com 1008 30200.00 SH
DEFINED 30200.00
D VIACOM INC CL B com 925524308 1470 33400.00 SH
DEFINED 33400.00
D VODAFONE AIRTOUCH PLC SPONSORE com 2236 11350.00 SH
DEFINED 11350.00
D WAL-MART STORES INC COM com 931142103 9467 196200.00SH
DEFINED 196200.00
D WARNER LAMBERT CO COM com 934488107 2461 35600.00 SH
DEFINED 35600.00
D WASHINGTON MUT INC COM com 548 15400.00 SH
DEFINED 15400.00
D WASTE MANAGEMENT INC com 94106L109 817 15200.00 SH
DEFINED 15200.00
D XEROX CORP COM com 984121103 1748 29600.00 SH
DEFINED 29600.00
S REPORT SUMMARY 139 DATA RECORDS 390186 0
OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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