AMICA PENSION FUND BOARD OF TRUSTEES
13F-HR, 1999-07-29
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UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM 13F

FORM 13F COVER PAGE

Report for the 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:  Amica Pension Fund Board of Trustees
Address:  100 Amica Way, Lincoln, RI 02865-1156

13F File Number:  28-2567

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 F. Goldbecker
Title:  Secretary, Board of Trustees
Phone:  (401)334-6000
Signature, Place, and Date of Signing:

Peter F. Goldbecker      Lincoln, Rhode Island       July 29, 1999


Report Type (Check only one.):

[X]         13F HOLDINGS REPORT.

[ ]         13F NOTICE.

[ ]         13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:   0

Form 13F Information Table Entry Total:  128

Form 13F Information Table Value Total:  366,891,514


List of Other Included Managers:

No.  13F File Number      Name


<PAGE>

<TABLE>                              <C>                                 <C>
															ITEM 8
											    ITEM 6                      VOTING
										     INVESTMENT DISCRETION             AUTHORITY
								      ITEM 5        ------------------------            (SHARES)
		  ITEM 2         ITEM 3              ITEM 4          SHARES OR                          (C)         ----------------
ITEM 1           TITLE OF        CUSIP             FAIR MARKET       PRINCIPAL            (A)   (B)   SHARED  ITEM 7 (A)  (B)   (C)
NAME OF ISSUER   CLASS           NUMBER               VALUE           AMOUNT              SOLE SHARED -OTHER   MGR  SOLE SHARED NONE
- ------------------------------------------------------------------------------------------------------------------------------------
AIRTOUCH COMMUN  COM             00949T-10-0           3447500           35000           35000                     35000
ALBERTSONS INC   COM             013104-10-4           1299388           25200           25200                     25200
ALCATEL          SPONSORED ADR   013904-30-5           1040653           36675           36675                     36675
ALCOA INC        COM             013817-10-1           3712500           60000           60000                     60000
ALLERGAN INC     COM             018490-10-2           2053500           18500           18500                     18500
ALLERGAN SPECIA  CL A            018494-10-4             10059             925             925                       925
AMERICAN ELEC P  COM             025537-10-1           1070508           28499           28499                     28499
AMERICAN HOME P  COM             026609-10-7           9639000          168000          168000                    168000
AMR CORP         COM             001765-10-6           1023750           15000           15000                     15000
APPLIED MATLS I  COM             038222-10-5            938213           12700           12700                     12700
ARCHSTONE CMNTY  SH BEN INT      039581-10-3            789768           36000           36000                     36000
AT&T CORP        COM             001957-10-9           6676295          119619          119619                    119619
ATLANTIC RICHFI  COM             048825-10-3           1921949           23000           23000                     23000
AUTODESK INC     COM             052769-10-6             49518            1675            1675                      1675
AVNET INC        COM             053807-10-3           1046250           22500           22500                     22500
BANK NEW YORK I  COM             064057-10-2           7337600          200000          200000                    200000
BAXTER INTL INC  COM             071813-10-9           3513643           57957           57957                     57957
BELLSOUTH CORP   COM             079860-10-2           3874500           84000           84000                     84000
BORG-WARNER AUT  COM             099724-10-6           2200000           40000           40000                     40000
BP AMOCO P L C   SPONSORED ADR   055622-10-4           1398674           12891           12891                     12891
BROWN & SHARPE   CL A            115223-10-9            528302           97150           97150                     97150
BURLINGTON NORT  COM             12189T-10-4           2046000           66000           66000                     66000
BURLINGTON RES   COM             122014-10-3           3157164           72998           72998                     72998
CABLETRON SYS I  COM             126920-10-7            325000           25000           25000                     25000
CAMPBELL SOUP C  COM             134429-10-9            788375           17000           17000                     17000
CATERPILLAR INC  COM             149123-10-1           3000000           50000           50000                     50000
CENTRAL & SOUTH  COM             152357-10-9            818125           35000           35000                     35000
CHEVRON CORPORA  COM             166751-10-7           2851890           30000           30000                     30000
CHOICEPOINT INC  COM             170388-10-2           1476750           22000           22000                     22000
CITIGROUP INC    COM             172967-10-1           5343750          112500          112500                    112500
COCA-COLA CO     COM             191216-10-0           2802400           45200           45200                     45200
COLGATE PALMOLI  COM             194162-10-3           5910000          120000          120000                    120000
COMPAQ COMPUTER  COM             204493-10-0            600443           25348           25348                     25348
COMPUTER SCIENC  COM             205363-10-4           1383760           20000           20000                     20000
CORNING INC      COM             219350-10-5           3646500           52000           52000                     52000
COVANCE INC      COM             222816-10-0            528431           22075           22075                     22075
CROSS A T CO     CL A            227478-10-4            180798           32500           32500                     32500
CVS CORP         COM             126650-10-0           4973500           98000           98000                     98000
CYPRUS AMAX MIN  COM             232809-10-3           1058350           69400           69400                     69400
DAYTON HUDSON C  COM             239753-10-6            565500            8700            8700                      8700
DEXTER CORP      COM             252165-10-5           3469105           85000           85000                     85000
DU PONT E I DE   COM             263534-10-9           3962154           58000           58000                     58000
EASTMAN KODAK C  COM             277461-10-9           2286563           33750           33750                     33750
ECOLAB INC       COM             278865-10-0           3817188           87500           87500                     87500
EL PASO ENERGY   COM             283905-10-7           2573932           73148           73148                     73148
ELECTRONIC DATA  COM             285661-10-4            849375           15000           15000                     15000
EMERSON ELEC CO  COM             291011-10-4           2014016           32000           32000                     32000
EQUIFAX INC      COM             294429-10-5           7851360          220000          220000                    220000
EQUITY OFFICE P  COM             294741-10-3            251125            9800            9800                      9800
EXXON CORP       COM             302290-10-1           3393500           44000           44000                     44000
FEDERAL NATL MT  COM             313586-10-9           4757025           69700           69700                     69700
FIRST INDUSTRIA  COM             32054K-10-3            713388           26000           26000                     26000
FLEET FINL GROU  COM             338915-10-1           4437500          100000          100000                    100000
GABLES RESIDENT  SH BEN INT      362418-10-5            723750           30000           30000                     30000
GENERAL ELEC CO  COM             369604-10-3          12430000          110000          110000                    110000
GOODYEAR TIRE &  COM             382550-10-1           1176260           20000           20000                     20000
GRAINGER W W IN  COM             384802-10-4           5381300          100000          100000                    100000
GTE CORP         COM             362320-10-3            377500            5000            5000                      5000
HALLIBURTON CO   COM             406216-10-1           2081500           46000           46000                     46000
HANNAFORD BROS   COM             410550-10-7            401250            7500            7500                      7500
HASBRO INC       COM             418056-10-7           3268746          117000          117000                    117000
HEINZ H J CO     COM             423074-10-3            208019            4150            4150                      4150
HEWLETT-PACKARD  COM             428236-10-3           4020000           40000           40000                     40000
IDACORP INC      COM             451107-10-6            708750           22500           22500                     22500
INGERSOLL RAND   COM             456866-10-2            969375           15000           15000                     15000
INTEL CORP       COM             458140-10-0           7378000          124000          124000                    124000
INTERNATIONAL B  COM             459200-10-1           9671519           74828           74828                     74828
JO-ANN STORES I  CL A            47758P-10-9            504600           33640           33640                     33640
KIMBERLY CLARK   COM             494368-10-3           7824960          137280          137280                    137280
KLA-TENCORP COR  COM             482480-10-0            193003            2975            2975                      2975
LATIN AMERN DIS  COM             51828C-10-6            752344           80250           80250                     80250
LUCENT TECHNOLO  COM             549463-10-7           6097204           90412           90412                     90412
MCKESSON HBOC I  COM             58155Q-10-3            453046           14075           14075                     14075
MDU RES GROUP I  COM             552690-10-9            684390           30000           30000                     30000
MEDPARTNERS INC  COM             58503X-10-7            131483           17531           17531                     17531
MERCK & CO INC   COM             589331-10-7           1767000           24000           24000                     24000
MINNESOTA MNG &  COM             604059-10-5           4694652           54000           54000                     54000
MOBIL CORP       COM             607059-10-2           7505000           76000           76000                     76000
MORGAN J P & CO  COM             616880-10-0           5564503           39605           39605                     39605
MORGAN STANLEY   COM             61744U-10-6           3915335          406788          406788                    406788
MORGAN STANLEY   COM             61744G-10-7           3939101          337021          337021                    337021
MOTOROLA INC     COM             620076-10-9           2368750           25000           25000                     25000
NABISCO HLDGS C  CL A            629526-10-4           1509300           35100           35100                     35100
NCR CORP NEW     COM             62886E-10-8            212776            4359            4359                      4359
NEW YORK TIMES   CL A            650111-10-7           2945040           80000           80000                     80000
NEWBRIDGE NETWO  COM             650901-10-1           1437500           50000           50000                     50000
NEWPORT NEWS SH  COM             652228-10-7            893703           30295           30295                     30295
NORTEL NETWORKS  COM             656569-10-0           1623403           18700           18700                     18700
NOVELLUS SYS IN  COM             670008-10-1           2730000           40000           40000                     40000
ORACLE CORP      COM             68389X-10-5           2834494           76350           76350                     76350
PENNEY J C INC   COM             708160-10-6           1053817           21700           21700                     21700
PEPSICO INC      COM             713448-10-8           2321280           60000           60000                     60000
PITNEY BOWES IN  COM             724479-10-0            642500           10000           10000                     10000
PNC BK CORP      COM             693475-10-5           4610000           80000           80000                     80000
POST PPTYS INC   COM             737464-10-7           2521500           61500           61500                     61500
PPG INDS INC     COM             693506-10-7           2067205           35000           35000                     35000
QUAKER OATS CO   COM             747402-10-5           8023145          120876          120876                    120876
QUEST DIAGNOSTI  COM             74834L-10-0           1000009           36530           36530                     36530
RAYTHEON CO      CL A            755111-30-9           5681981           82497           82497                     82497
READERS DIGEST   CL A NON VTG    755267-10-1            993750           25000           25000                     25000
RUBY TUESDAY IN  COM             781182-10-0           1353750           71250           71250                     71250
SCHERING PLOUGH  COM             806605-10-1           7749000          147600          147600                    147600
SCUDDER NEW ASI  COM             811183-10-2           1193400           81250           81250                     81250
SCUDDER NEW EUR  COM             810905-10-9           4822249          233806          233806                    233806
SEAGATE TECHNOL  COM             811804-10-3           1281250           50000           50000                     50000
SEMPRA ENERGY    COM             816851-10-9           1122766           49625           49625                     49625
SMITHKLINE BEEC  ADR REP ORD     832378-30-1           7266930          110000          110000                    110000
SPRINT CORP      COM FON GROUP   852061-10-0           1060000           20000           20000                     20000
SPRINT CORP      PCS COM SER 1   852061-50-6            285000            5000            5000                      5000
SPX CORP         COM             784635-10-4           1083329           12974           12974                     12974
SUN MICROSYSTEM  COM             866810-10-4          10788580          156640          156640                    156640
SYSCO CORP       COM             871829-10-7           7751380          260000          260000                    260000
SYSTEM SOFTWARE  COM             871839-10-6             33120           20000           20000                     20000
TELEPHONE & DAT  COM             879433-10-0           3656250           50000           50000                     50000
TEXACO INC       COM             881694-10-3           2495000           40000           40000                     40000
TEXAS INSTRS IN  COM             882508-10-4            987840            6860            6860                      6860
TEXTRON INC      COM             883203-10-1           8231300          100000          100000                    100000
TIME WARNER INC  COM             887315-10-9          12120096          166886          166886                    166886
TRICON GLOBAL R  COM             895953-10-7            324750            6000            6000                      6000
TRINET CORPORAT  COM             896287-10-9            600830           21700           21700                     21700
UNION PAC CORP   COM             907818-10-8           1189585           20400           20400                     20400
UNION PAC RES G  COM             907834-10-5           4107630          251801          251801                    251801
UNITED TECHNOLO  COM             913017-10-9            720000           10000           10000                     10000
UNUM CORP        COM             903192-10-2           5256000           96000           96000                     96000
WAL MART STORES  COM             931142-10-3           2412500           50000           50000                     50000
WARNER LAMBERT   COM             934488-10-7           3933213           56900           56900                     56900
WEYERHAEUSER CO  COM             962166-10-4            343750            5000            5000                      5000
XEROX CORP       COM             984121-10-3           1024736           17350           17350                     17350
</TABLE>



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