RITTENHOUSE TRUST CO
13F-HR, 2000-05-15
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                                    FORM 13F

                UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                              Washington, DC 20549

                               Form 13F COVER PAGE

          Report for the Calendar Year or Quarter Ended: March 31, 2000

                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:     Rittenhouse Trust Company
Address:  3 Radnor Corporate Center, Suite 450, Radnor, PA  19087

Form 13F File Number:  28-2396

          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:

Reporting Manager:
Name:     Eileen M. Chambers
Title:    Vice President
Phone:    (610) 995-8700

Signature, Place, and Date of Signing:
          /S/ EILEEN M. CHAMBERS
          [Signature]

          Radnor, PA  19087
          [City, State]

          May 15, 2000
          [Date]

Report Type (Check only one):

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

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

/_/       13F COMBINATION REPORT. (Check here if a portion of the holdings for
          this reporting  manager are  reported in this report and a portion
          are reported by other reporting manger(s).)

                              Form 13F Summary Page
                                 Report Summary:

Number of Other Included Managers:
     0

Form 13F Information Table Entry Total:
     172

Form 13F Information Table Value Total:
     $2,039,215 (thousands)

List of Other Included Managers:   None

      Provide a numbered list of the name(s) and Form 13F file  number(s)
      of all institutional  investment  managers with respect to which this
      report is filed, other than the manager filing this report. [If there
      are no  entries  in this  list,  state  "NONE"  and omit  the  column
      headings and list entries.]

No.

Form 13F File Number 28-

Name

[Repeat as necessary.]

<TABLE>
<CAPTION>

THE RITTENHOUSE TRUST COMPANY
FORM 13F INFORMATION TABLE
AS OF 3-31-00
<S>                         <C>         <C>        <C>         <C>                   <C>       <C>       <C>


Column 1                    Column 2    Column 3   Column 4    Column 5              Column 6  Column 7  Column 8
                            TITLE OF    Column 3   VALUE       SHARES/  SH/  PUT/    INVEST.   OTHER     VOTING AUTHORITY
NAME OF ISSUER              CLASS       CUSIP      (x $1000)   PRN AMT  PRN  CALL    DSCRETN.  MANAGERS  SOLE       SHARED   NONE
ABBOTT LABS                 COM         002824100  $14,455     410,799  SH           SOLE                90,310      0    320,489
AFLAC INC                   COM         001055102   $1,047      22,976  SH           SOLE                22,976      0          0
AIR PRODUCTS & CHEMICALS    COM         009158106     $471      16,550  SH           SOLE                 8,200      0      8,350
INC
ALBERTSONS INC              COM         013104104     $302       9,788  SH           SOLE                 3,800      0      5,988
ALLERGAN INC                COM         018490102   $5,957     119,130  SH           SOLE                    74      0    119,056
ALLTEL CORP                 COM         020039103     $860      13,644  SH           SOLE                 4,891      0      8,753
AMERICA ONLINE INC          COM         02364J104     $646       9,572  SH           SOLE                 8,512      0      1,060
AMERICAN EXPRESS CO         COM         025816109     $990       6,646  SH           SOLE                 1,644      0      5,002
AMERICAN HOME PRODUCTS CORP COM         026609107  $22,803     424,237  SH           SOLE               115,117      0    309,120
AMERICAN INTL GROUP INC     COM         026874107  $121,580  1,110,319  SH           SOLE               380,412      0    729,907
AMGEN INC                   COM         031162100   $1,943      31,655  SH           SOLE                22,325      0      9,330
APPLIED MATLS INC           COM         038222105     $631       6,700  SH           SOLE                 4,200      0      2,500
AT & T CORP                 COM         001957109   $5,630      99,972  SH           SOLE                20,442      0     79,530
ATLANTIC RICHFIELD COMPANY  COM         048825103   $1,076      12,660  SH           SOLE                 5,860      0      6,800
AUTOMATIC DATA PROCESSING   COM         053015103  $78,453   1,625,960  SH           SOLE               624,936      0  1,001,024
BANK NEW YORK INC           COM         064057102   $1,331      32,015  SH           SOLE                12,615      0     19,400
BANK OF AMERICA             COM         060505104   $4,484      85,507  SH           SOLE                46,248      0     39,259
BAXTER INTL INC             COM         071813109     $308       4,914  SH           SOLE                   200      0      4,714
BB&T CORP                   COM         054937107     $214       7,636  SH           SOLE                 7,636      0          0
BECKMAN COULTER INC         COM         075811109   $1,517      23,637  SH           SOLE                     0      0     23,637
BELL ATLANTIC CORP          COM         077853109  $42,597     696,890  SH           SOLE               241,462      0    455,428
BELLSOUTH CORP              COM         079860102   $6,978     148,858  SH           SOLE                26,604      0    122,254
BERKSHIRE HATHAWAY INC DEL  COM         084670108     $915          16  SH           SOLE                    12      0          4
BERKSHIRE HATHAWAY INC DEL  COM         084670207   $2,611       1,435  SH           SOLE                   293      0      1,142
CL
BESTFOODS                   COM         08658U101   $5,841     124,775  SH           SOLE                64,314      0     60,461
BIOGEN N V                  COM         090597105     $366       5,240  SH           SOLE                   240      0      5,000
BP AMOCO ADS                COM         055622104   $4,424      83,087  SH           SOLE                26,452      0     56,635
BRISTOL MYERS SQUIBB CO     COM         110122108  $10,747     185,299  SH           SOLE                61,108      0    124,191
BROADWING INC               COM         111620100     $665      17,872  SH           SOLE                 3,400      0     14,472
BRUNSWICK CORP              COM         117043109     $257      13,592  SH           SOLE                     0      0     13,592
CAMPBELL SOUP CO            COM         134429109   $1,480      48,120  SH           SOLE                12,450      0     35,670
CENTRAL & SOUTH WEST CORP   COM         152357109     $257      15,000  SH           SOLE                     0      0     15,000
CENTURYTEL, INC             COM         156700106     $200       5,400  SH           SOLE                 5,400      0          0
CHEVRON CORP                COM         166751107   $1,584      17,135  SH           SOLE                 6,275      0     10,860
CHUBB CORP                  COM         171232101     $705      10,434  SH           SOLE                   834      0      9,600
CIGNA CORP                  COM         125509109     $904      11,940  SH           SOLE                 5,165      0      6,775
CINCINNATI FINL CORP        COM         172062101     $903      24,000  SH           SOLE                     0      0     24,000
CISCO SYS INC               COM         17275R102  $18,780     242,904  SH           SOLE                81,926      0    160,978
CITIGROUP INC.              COM         172967101   $6,068     101,347  SH           SOLE                39,438      0     61,909
CLOROX CO                   COM         189054109     $372      11,278  SH           SOLE                 1,200      0     10,078
COCA COLA CO                COM         191216100  $51,133   1,089,390  SH           SOLE               369,644      0    719,746
COLGATE PALMOLIVE CO        COM         194162103  $53,078     941,522  SH           SOLE               386,244      0    555,278
CONVERGYS CORP              COM         212485106     $691      17,872  SH           SOLE                 3,400      0     14,472
CORNING INC                 COM         219350105   $1,206       6,218  SH           SOLE                 3,468      0      2,750
DEAN WITTER HI YIELD CL B   MUTUAL      242409308      $70      13,979  SH           SOLE                13,979      0          0
                            FUNDS
DELL COMPUTER CORP          COM         247025109   $4,148      76,895  SH           SOLE                43,620      0     33,275
DIAL CORP NEW               COM         25247D101     $179      13,000  SH           SOLE                     0      0     13,000
DISNEY WALT PRODUCTIONS     COM         254687106  $15,425     373,942  SH           SOLE               119,485      0    254,457
DOVER CORP                  COM         260003108     $225       4,700  SH           SOLE                 2,300      0      2,400
DOW CHEMICAL CORP           COM         260543103     $288       2,529  SH           SOLE                   150      0      2,379
DOW JONES & CO INC          COM         260561105   $1,768      24,620  SH           SOLE                     0      0     24,620
DU PONT E I DE NEMOURS CO   COM         263534109  $44,870     847,596  SH           SOLE               474,603      0    372,993
DUN & BRADSTREET CORP DEL   COM         26483B106     $908      31,732  SH           SOLE                 1,600      0     30,132
E M C CORP MASS             COM         268648102   $5,811      46,123  SH           SOLE                22,573      0     23,550
EASTMAN KODAK CO            COM         277461109     $529       9,734  SH           SOLE                   225      0      9,509
ED & F MAN GROUP PLC ORD    COM         G2926X107     $176      21,000  SH           SOLE                21,000      0          0
ELECTRONIC DATA SYSTEMS     COM         285661104     $845      13,169  SH           SOLE                 1,360      0     11,809
EMERSON ELECTRIC CO         COM         291011104   $7,632     143,655  SH           SOLE                47,171      0     96,484
ENRON CORP                  COM         293561106     $749      10,000  SH           SOLE                 6,400      0      3,600
EXXON MOBIL CORPORATION     COM         30231G102  $32,897     422,099  SH           SOLE               116,006      0    306,093
FANNIE MAE                  COM         313586109  $57,354   1,013,999  SH           SOLE               393,574      0    620,425
FIFTH 3RD BANCORP           COM         316773100   $2,662      42,253  SH           SOLE                 1,227      0     41,026
FIRST DATA CORP             COM         319963104     $716      16,146  SH           SOLE                 1,312      0     14,834
FIRST UNION CORP            COM         337358105  $21,272     571,049  SH           SOLE               222,638      0    348,411
FIRST VIRGINIA BANKS INC    COM         337477103     $262       6,975  SH           SOLE                     0      0      6,975
FIRSTAR CORP NEW WIS        COM         33763V109   $5,279     230,164  SH           SOLE                13,829      0    216,335
FLEETBOSTON FINANCIAL       COM         339030108     $242       6,635  SH           SOLE                 1,965      0      4,670
CORPORAT
FORTUNE BRANDS INC          COM         349631101     $247       9,870  SH           SOLE                   650      0      9,220
FPL GROUP INC               COM         302571104     $502      10,898  SH           SOLE                 1,065      0      9,833
FREDDIE MAC                 COM         313400301  $48,951   1,107,802  SH           SOLE               474,635      0    633,166
FUNIMALS PET ENTERPRISES    COM         361000102       $0      10,000  SH           SOLE                10,000      0          0
INCCO
GENERAL ELECTRIC CO         COM         369604103  $180,754  3,484,406  SH           SOLE             1,148,224      0  2,336,182
GENERAL MILLS INC           COM         370334104   $1,536      42,432  SH           SOLE                 4,400      0     38,032
GILLETTE CO                 COM         375766102  $36,803     976,519  SH           SOLE               401,909      0    574,609
GLATFELTER P H CO           COM         377316104     $117      11,000  SH           SOLE                     0      0     11,000
GLAXO PLC SPONSORED         COM         37733W105     $314       5,475  SH           SOLE                 1,275      0      4,200
ADR/ORD SH
GOLDEN ST BANCORP INC       WARRANT     381197136      $27      20,000  SH           SOLE                     0      0     20,000
LTGTN TR                    AND
                            RIGHT
GTE CORP                    COM         362320103   $3,704      52,164  SH           SOLE                10,297      0     41,867
HEINZ H J CO                COM         423074103   $1,691      48,496  SH           SOLE                 4,125      0     44,371
HEWLETT PACKARD CO          COM         428236103  $97,913     738,616  SH           SOLE               295,317      0    443,298
HOME DEPOT INC              COM         437076102  $70,391   1,091,333  SH           SOLE               431,412      0    659,921
HONEYWELL INTERNATIONAL,    COM         438516106   $1,793      34,023  SH           SOLE                 6,707      0     27,316
INC
HUBBELL HARVEY INC CLASS B  COM         443510201     $223       8,154  SH           SOLE                     0      0      8,154
HUDSON UTD BANCORP COM      COM         444165104     $650      29,980  SH           SOLE                24,363      0      5,617
INTEL CORP                  COM         458140100  $94,956     719,704  SH           SOLE               305,302      0    414,401
INTERNATIONAL BUSINESS      COM         459200101  $50,126     424,797  SH           SOLE               180,377      0    244,420
MACHINE
INTERPUBLIC GROUP COS INC   COM         460690100     $201       4,250  SH           SOLE                     0      0      4,250
INTL FLAVORS & FRAGRANCES   COM         459506101     $670      19,097  SH           SOLE                12,497      0      6,600
JDS UNIPHASE CORP COM       COM         46612J101     $365       3,030  SH           SOLE                     0      0      3,030
JOHN NUVEEN CO CL A         COM         478035108     $639      16,710  SH           SOLE                 6,710      0     10,000
JOHNSON & JOHNSON           COM         478160104  $85,617   1,218,749  SH           SOLE               438,199      0    780,549
KELLOGG CO                  COM         487836108     $324      12,600  SH           SOLE                   400      0     12,200
KEYSTONE FINL INC           COM         493482103     $979      53,279  SH           SOLE                 8,776      0     44,503
KIMBERLY CLARK CORP         COM         494368103   $2,901      51,749  SH           SOLE                13,096      0     38,653
KNIGHT RIDDER INC           COM         499040103     $226       4,400  SH           SOLE                 4,400      0          0
LILLY, ELI AND COMPANY      COM         532457108   $1,691      27,004  SH           SOLE                19,330      0      7,674
LUCENT TECHNOLOGIES INC     COM         549463107  $36,843     594,245  SH           SOLE               258,382      0    335,863
MAIN STR BANCORP INC        COM         559906102     $192      17,553  SH           SOLE                     0      0     17,553
MARSH MCLENNAN              COM         571748102   $9,893      89,684  SH           SOLE                   635      0     89,049
MAY DEPT STORES CO          COM         577778103   $1,471      51,602  SH           SOLE                16,351      0     35,251
MCDONALDS CORP              COM         580135101  $37,094     992,482  SH           SOLE               373,706      0    618,777
MCGRAW HILL INC             COM         580645109     $255       5,600  SH           SOLE                 4,800      0        800
MCI WORLDCOM                COM         55268B106   $4,497      99,253  SH           SOLE                60,903      0     38,350
MEAD CORP                   COM         582834107     $280       8,000  SH           SOLE                     0      0      8,000
MEDTRONIC INC               COM         585055106  $18,771     364,927  SH           SOLE               188,657      0    176,270
MERCK & CO                  COM         589331107  $76,769   1,235,715  SH           SOLE               462,190      0    773,526
MICROSOFT CORP              COM         594918104  $13,897     130,792  SH           SOLE                67,187      0     63,605
MINNESOTA MINING &          COM         604059105  $11,851     133,811  SH           SOLE                32,088      0    101,723
MANUFACTURI
MONSANTO CO                 COM         611662107     $340       6,610  SH           SOLE                 3,000      0      3,610
MORGAN J P & CO INC         COM         616880100  $69,190     525,160  SH           SOLE               174,106      0    351,054
MOTOROLA INC                COM         620076109   $1,284       8,794  SH           SOLE                 2,909      0      5,885
NOKIA CORP                  COM         654902204   $4,259      76,740  SH           SOLE                24,820      0     51,920
NORFOLK SOUTHERN CORP       COM         655844108     $210      14,750  SH           SOLE                 3,800      0     10,950
NORTEL NETWORKS CORP        COM         656569100     $403       3,200  SH           SOLE                 1,200      0      2,000
NOVELL INC                  COM         670006105     $286      10,000  SH           SOLE                 2,000      0      8,000
ONE VY BANCORP INC          COM         682419106     $221       6,388  SH           SOLE                 6,388      0          0
ORACLE SYS CORP             COM         68389X105   $2,258      28,920  SH           SOLE                14,000      0     14,920
PACIFIC CENTURY CYBERWORKS  COM         Y6801N100      $47      20,000  SH           SOLE                20,000      0          0
ORD
PEPSICO INC                 COM         713448108   $9,323     267,313  SH           SOLE                51,178      0    216,134
PFIZER INC                  COM         717081103  $74,501   2,037,627  SH           SOLE               759,096      0  1,278,531
PHARMACIA & UPJOHN INC      COM         716941109     $276       4,640  SH           SOLE                 1,160      0      3,480
PHILIP MORRIS COS INC       COM         718154107     $240      11,380  SH           SOLE                 4,380      0      7,000
PIOCHE-ELY VY MINES INC     COM         72352M104     $432     431,800  SH           SOLE               431,800      0          0
PITNEY BOWES INC            COM         724479100     $372       8,327  SH           SOLE                 5,333      0      2,994
PNC FINANCIAL CORP          COM         693475105   $1,139      25,276  SH           SOLE                14,276      0     11,000
PPG INDS INC                COM         693506107     $732      14,000  SH           SOLE                 8,000      0      6,000
PROCTER & GAMBLE CO         COM         742718109  $65,652   1,161,984  SH           SOLE               360,437      0    801,547
QUAKER OATS CO              COM         747402105   $4,210      69,450  SH           SOLE                24,800      0     44,650
ROYAL DUTCH PETRO-NY SHARES COM         780257804  $33,182     573,955  SH           SOLE               199,156      0    374,800
SAFEGUARD SCIENTIFICS INC.  COM         786449108   $1,445      20,936  SH           SOLE                20,730      0        206
SARA LEE CORP               COM         803111103   $1,955     108,602  SH           SOLE                15,400      0     93,202
SBC COMMUNICATIONS INC      COM         78387G103  $21,716     515,523  SH           SOLE               220,914      0    294,609
SCHERING PLOUGH CORP        COM         806605101  $65,369   1,760,784  SH           SOLE               640,650      0  1,120,134
SCHLUMBERGER                COM         806857108     $699       9,132  SH           SOLE                 7,150      0      1,982
SHELL TRANS & TRADING LTD   COM         822703609   $1,325      27,000  SH           SOLE                     0      0     27,000
NEW
SIEBEL SYS INC COM          COM         826170102     $890       7,450  SH           SOLE                   950      0      6,500
SMITHKLINE BEECHAM PLC ADR  COM         832378301  $19,482     294,901  SH           SOLE                 4,032      0    290,869
RPS
SONY CORP - ADR             FOREIGN     835699307     $280       1,000  SH           SOLE                     0      0      1,000
                            COMMON
                            STOCK
SPRINT CORP                 COM         852061100   $7,734     122,757  SH           SOLE                28,870      0     93,887
SPRINT CORP PCS SER 1       COM         852061506   $2,842      43,396  SH           SOLE                13,632      0     29,764
ST PAUL COS INC             COM         792860108     $627      18,376  SH           SOLE                 1,240      0     17,136
STATE STREET CORP           COM         857477103   $1,302      13,435  SH           SOLE                 9,940      0      3,495
STRYKER CORP                COM         863667101     $419       6,000  SH           SOLE                     0      0      6,000
STUART ENTMT INC            COM         863689105       $0      10,000  SH           SOLE                     0      0     10,000
SUMMIT BANCORP              COM         866005101     $251       9,547  SH           SOLE                 6,225      0      3,322
SUN BANCORP INC N J         COM         86663B102     $109      16,731  SH           SOLE                     0      0     16,731
SUN MICROSYSTEM INC         COM         866810104   $2,268      24,200  SH           SOLE                15,250      0      8,950
SYBRON INTL                 COM         87114F106     $592      20,400  SH           SOLE                     0      0     20,400
SYSCO CORPORATION           COM         871829107   $1,063      29,435  SH           SOLE                25,035      0      4,400
TARGET CORP                 COM         87612E106     $677       9,061  SH           SOLE                   661      0      8,400
TELEFLEX INC                COM         879369106     $407      11,500  SH           SOLE                     0      0     11,500
TELLABS INC                 COM         879664100     $329       5,225  SH           SOLE                   225      0      5,000
TEXACO INC                  COM         881694103     $243       4,515  SH           SOLE                 1,993      0      2,522
TEXAS INSTRUMENTS INC       COM         882508104   $1,227       7,670  SH           SOLE                 4,520      0      3,150
THE CHASE MANHATTEN         COM         16161A108     $211       2,418  SH           SOLE                 1,145      0      1,273
CORPORATIO
THISTLE GROUP HLDGS CO      COM         88431E103     $119      19,000  SH           SOLE                     0      0     19,000
TIME WARNER INC             COM         887315109     $389       3,888  SH           SOLE                 1,688      0      2,200
TRUE NORTH COMMUNICATIONS   COM         897844106     $256       6,500  SH           SOLE                     0      0      6,500
TYCO INTL LTD NEW           COM         902124106     $540      10,768  SH           SOLE                 5,966      0      4,802
U S WEST INC NEW            COM         91273H101   $2,146      29,555  SH           SOLE                 3,690      0     25,865
UNILEVER N V WI             COM         904784709   $5,667     117,764  SH           SOLE                33,979      0     83,785
UNION PACIFIC CORP          COM         907818108   $1,090      27,857  SH           SOLE                 2,500      0     25,357
UNITED TECHNOLOGIES CORP    COM         913017109     $492       7,780  SH           SOLE                 4,100      0      3,680
US BANCORP                  COM         902973106     $230      10,531  SH           SOLE                     0      0     10,531
VODAFONE GROUP PLC ADR      COM         92857T107   $1,453      26,155  SH           SOLE                 2,070      0     24,085
SPONSOR
WACHOVIA CORP NEW           COM         929771103   $2,713      40,151  SH           SOLE                14,950      0     25,201
WAL MART STORES INC         COM         931142103   $7,866     139,229  SH           SOLE                61,075      0     78,154
WALGREEN COMPANY            COM         931422109     $656      25,474  SH           SOLE                10,500      0     14,974
WARNER LAMBERT CO           COM         934488107   $4,099      41,956  SH           SOLE                16,601      0     25,355
WELLS FARGO NEW             COM         949746101  $28,217     692,436  SH           SOLE               296,073      0    396,363
WPS RES CORP                COM         92931B106     $218       8,400  SH           SOLE                     0      0      8,400
WRIGLEY WM JR CO            COM         982526105   $2,947      38,365  SH           SOLE                21,840      0     16,525
XEROX CORP                  COM         984121103     $207       7,960  SH           SOLE                 1,260      0      6,700

</TABLE>


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