ZIONS FIRST NATIONAL BANK/UT
13F-HR, 2000-07-11
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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, 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:    Zions First National Bank
Address: P.O. Box 30880
         Salt Lake City, UT  84130

13F File Number: 28-2591

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:     Annette Langheinrich
Title:    V.P, Controller
Phone:    801-594-8047

Signature, Place, and Date of Signing:

/s/Annette Langheinrich   Salt Lake City, Utah   July 11, 2000
-----------------------   --------------------   -------------

Report Type (Check only one.):

[ X ]        13F HOLDINGS REPORT.

[   ]        13F NOTICE.

[   ]        13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:

NONE


<PAGE>

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:        0

Form 13F Information Table Entry Total:   232

Form 13F Information Table Value Total:   $590,402,918



List of Other Included Managers:

Form 13F File Number     Name

NONE


<PAGE>
                           Form 13F Information Table
<TABLE>
<CAPTION>
                                                                              Investment Direction            Voting Authority
Name Of Issuer            Type   Cusip       Market Value    Shares/PV     Sole      Shared   Other       Sole      Shared   Other
------------------------- ---  ---------     ------------    ---------    ------     ------ ---------    -------    ------ ---------
<S>                       <C>  <C>              <C>          <C>          <C>        <C>    <C>          <C>        <C>    <C>
AT&T CORP.                Com  001957109        2,562,068       81,014    44,626     12,938    23,450     58,179     5,412    17,423
ABBOTT LABORATORIES       Com  002824100        3,407,605       76,468    49,468     24,000     3,000     50,648    26,920       400
ACXIOM CORP               Com  005125109        2,262,649       83,033    83,033          0         0     83,033         0         0
ADAMS EXPRESS             Com  006212104          296,918        8,052     1,313          0     6,739      1,313         0     6,739
AETNA INC.                Com  008117103          499,828        7,787     4,699         88     3,000      4,787         0     3,000
AGILENT TECHNOLOGIES INC  Com  00846U101          814,421       11,043     4,900      5,043     1,100      7,805     2,376       862
ALBERTSON'S, INC.         Com  013104104        3,205,533       96,407    18,024        400    77,983     19,024       400    76,983
ALCOA INC                 Com  013817101          415,280       14,320    11,820      2,200       300     12,190     2,550       750
ALL-AMERICAN SPORTPARK IN Com  01643P105           21,875       25,000         0          0    25,000     25,000         0         0
ALLSTATE CORP             Com  020002101          560,277       25,181    14,577      9,094     1,510     22,287     7,872     1,510
ALTERA CORP               Com  021441100          290,522        2,850     2,700        150         0      2,850         0         0
AMERICA ON-LINE           Com  02364J104        1,186,997       22,529    16,199        650     5,680     16,499       350     5,680
AMERICAN AIRCARRIERS SUPP Com  023758105           37,500       10,000    10,000          0         0     10,000         0         0
AMERICAN EXPRESS CO.      Com  025816109        2,197,538       42,159    25,764      4,080    12,315     27,249     1,905    13,005
AMERICAN HOME PRODUCTS CO Com  026609107        2,173,398       36,994    27,550          0     9,444     32,450         0     4,544
AMERICAN INTERNATIONAL GR Com  026874107        1,937,810       16,492    11,001      4,998       493     10,003     5,104     1,385
AMERICAN RESOURCES & DEVE Com  028912103            8,731       12,700         0          0    12,700          0         0    12,700
AMERICAN TECH CERAMICS CO Com  030137103          278,750       10,000         0          0    10,000          0         0    10,000
AMERIRESOURCE TECHNOLOGIE Com  03072A104              765       15,000         0          0    15,000     15,000         0         0
AMGEN INC                 Com  03116210           717,393       10,212     8,417      1,720        75      9,069       320       823
ANHEUSER BUSCH COS INC    Com  035229103          298,750        4,000     4,000          0         0      4,000         0         0
APPLIED MATERIALS, INC.   Com  038222105        1,702,119       18,782    14,882      3,900         0     18,782     3,600         0
ASH GROVE CEMENT CO       Com  043693100        3,549,746       35,146    35,146          0         0     35,146         0         0
AUTOMATIC DATA PROCESSING Com  053015103          261,921        4,890     1,890          0     3,000      4,490         0       400
BP AMOCO PLC              Com  055622104       13,925,009      246,188    60,582    143,125    42,481     74,846   142,849    28,493
BANK OF AMERICA CORP      Com  060505104          809,991       18,837    11,445      3,988     3,404     16,440       450     1,947
BANK GRANADA HILLS CA     Com  062392105          391,405       42,314    42,314          0         0     42,314         0         0
BANK OF NY CO INC         Com  064057102          333,312        7,168     3,376          0     3,792      7,168         0         0
BANK ONE CORP             Com  06423A103        8,670,797      326,430     9,881      4,780   311,769    318,754     3,696     3,980
BANKWEST OF NEVADA        Com  066050998          250,646       10,383         0          0    10,383     10,383         0         0
BAXTER INTERNATIONAL      Com  071813109          804,938       11,448     8,650      2,798         0     11,448         0         0
BELL ATLANTIC CORP        Com  077853109        2,020,203       39,758    25,800      4,124     9,834     31,888     2,076     5,794
BELLSOUTH CORP.           Com  079860102        2,631,071       61,726    43,097      7,773    10,856     50,874     2,652     8,200
BESTFOODS                 Com  08658U101          253,455        3,660     3,170          0       490      3,660         0         0
BIORELEASE CORP           Com  090652108            2,100       15,000         0          0    15,000     15,000         0         0
BOEING CO.                Com  097023105          727,078       17,389    11,011      3,878     2,500     14,536     7,653     1,200
BOYD GAMING CORPORATION   Com  103304101          823,133      147,979         0          0   147,979    147,979         0         0
BRISTOL-MYERS SQUIBB CO.  Com  110122108        5,602,485       96,180    61,709      7,376    27,095     70,398     2,262    23,520
BROCKER TECHNOLOGY GROUP  Com  11167V107           77,500       10,000         0          0    10,000          0         0    10,000
BURLINTON NO SANTA FE CP  Com  12189T104          220,200        9,600     3,000      3,600     3,000      6,600         0     3,000
BUSINESS BANK CORP        Com  12324E103          183,195       21,874         0          0    21,874      8,062         0    13,812
CVB FINANCIAL CORP        Com  126600105        1,147,798       72,588    72,588          0         0     72,588         0         0
CAROLINA POWER & LIGHT CO Com  144141108          224,840        7,040         0          0     7,040      7,040         0         0
CATERPILLAR TRACTOR       Com  149123101          231,197        6,825     5,525      1,000       300      6,550       275         0
CHASE MANHATTAN CORP.     Com  16161A108        1,237,423       26,864    12,682      1,050    13,132     13,552         0    13,312
CHEVRON CORP.             Com  166751107        4,119,258       48,569    31,315      3,982    13,272     32,288     3,782    12,499
CIRCUIT CITY STORES       Com  172737108          224,613        6,768     6,768          0         0      6,768         0         0

<PAGE>

                                                                              Investment Direction            Voting Authority
Name Of Issuer            Type   Cusip       Market Value    Shares/PV     Sole      Shared   Other       Sole      Shared   Other
------------------------- ---  ---------     ------------    ---------    ------     ------ ---------    -------    ------ ---------
CISCO SYSTEMS, INC.       Com  17275R102        7,042,026      110,789    75,407     24,052    11,330     80,615    24,108     6,066
CITIGROUP INC COM         Com  172967101        5,570,655       92,459    44,461      6,961    41,037     51,055     1,675    39,729
CLEAR CHANNEL COMMUNICATI Com  184502102          228,450        3,046     3,004          0        42      2,507         0       539
CLOROX COMPANY            Com  189054109          426,257        9,512         0      1,512     8,000      2,512         0     7,000
COCA-COLA CO.             Com  191216100        2,334,088       40,637    14,680     12,692    13,265     22,390     9,092     9,155
COLGATE-PALMOLIVE CO      Com  194162103        1,156,067       19,308     8,240      7,068     4,000     19,308         0         0
COMBINED METALS           Com  200201101              142       14,250    14,250          0         0     14,250         0         0
COMPAQ COMPUTER CORP.     Com  204493100          783,056       30,633    23,087      5,746     1,800     28,061     3,501       500
COMPUTER ASSOCIATES       Com  204912109          255,170        4,985     1,250          0     3,735      1,250         0     3,735
COPART INC COM STK        Com  217204106          448,000       28,000         0          0    28,000          0         0    28,000
COPYTELE INC              Com  217721109           53,125       34,000         0     34,000         0     16,000    18,000         0
CORNING INC               Com  219350105        1,461,643        5,416     5,416          0         0      5,416         0         0
COSTCO WHOLESALE CORP     Com  22160K105          414,711       12,567     8,887      1,000     2,680     10,087         0     2,480
DAW TECHNOLOGIES          Com  239220106           13,558       10,582         0          0    10,582          0         0    10,582
DELL COMPUTER CORP        Com  247025109        1,012,829       20,539    13,524        920     6,095     15,219       600     4,720
DESERT COMMUNITY BANK     Com  25037Y109          894,200       52,600    52,600          0         0     52,600         0         0
DESWELL INDS INC COM      Com  250639101          403,000       31,000         0          0    31,000          0         0    31,000
DIMON INC COM             Com  254394109           25,500       12,000         0          0    12,000          0         0    12,000
DISNEY COM STK            Com  254687106          696,684       17,950    10,669      6,525       756     16,344     1,725       756
DOMINION RES INC VA NEW   Com  25746U109          210,516        4,910     3,000      1,910         0      3,999       548       363
DOVER CORPORATION         Com  260003108          687,656       16,953     7,750          0     9,203      7,750     4,000     5,203
DOW CHEMICAL CO.          Com  260543103          954,529       31,620    27,120      1,200     3,300     27,420       900     3,300
DU PONT (E I) DE NEMOURS  Com  263534109        2,517,681       57,547    25,902      9,964    21,681     31,392     4,474    21,681
DYNEGY INC NEW CL A       Com  26816Q101          204,938        3,000         0      2,000     1,000      2,000     2,000         0
EI ENVIRONMENTAL ENGINEER Com  26852L107            3,942       65,700    65,700          0         0     65,700         0         0
EMC CORP MASS             Com  268648102        1,463,659       19,024    14,232        860     3,932     14,332       460     4,232
EASTMAN KODAK             Com  277461109          234,490        3,941     1,975      1,854       112      2,475     1,354       112
EDISON INTERNATIONAL      Com  281020107          274,147       13,373     2,800        900     9,673      5,700         0     7,673
EMERSON ELECTRIC CO.      Com  291011104        1,482,206       24,550    16,700      4,300     3,550     21,300       100     3,150
ENRON CORP                Com  293561106          235,425        3,650     3,150          0       500      3,150         0       500
ERICSSON L M TEL CO       Com  294821400          448,000       22,400    22,400          0         0     22,400         0         0
EXXON MOBIL CORP          Com  30231G102       19,328,427      246,222   101,503     50,581    94,138    133,565    24,669    87,988
FPL GROUP, INC.           Com  302571104          479,655        9,690     5,130      2,310     2,250      7,390       700     1,600
FANNIE MAE                Com  313586109          875,289       16,772    14,822      1,775       175     14,247     3,375       175
BRODY INTERNATIONAL, INC  Com  333331OX1           10,000       33,333         0          0    33,333          0         0    33,333
FIRST SECURITY CORP.      Com  336294103        2,453,104      180,874    63,234      2,500   115,140     74,234         0   106,640
FORD MOTOR CAP TR I PRD 9 Pfd  345343206          370,751       14,294    10,879      1,465     1,950      8,879     3,665     1,750
FORD MOTOR                Com  345370100          561,924       13,068     6,490      5,844       734      8,570     3,764       734
FOREST LABORATORIES INC   Com  345838106          202,000        2,000         0          0     2,000      2,000         0         0
FRIEDE GOLDMAN HALTER INC Com  358430106          223,438       25,000         0          0    25,000          0         0    25,000
GPU INC                   Com  36225X100          204,863        7,570         0      7,570         0      7,570     7,570         0
GTE CORP.                 Com  362320103        1,623,356       26,078    19,049      3,670     3,359     20,619     2,000     3,459
GATEWAY ENERGY CORPORATIO Com  367600301            4,248       18,471         0          0    18,471          0         0    18,471
GATEWAYS TO SPACE INC     Com  367847100           10,000      200,000   200,000          0         0    200,000         0         0
GENERAL ELECTRIC CO.      Com  369604103      100,503,052    1,896,284   990,266     95,637   810,381  1,190,870    89,916   615,498
GENERAL MILLS             Com  370334104          232,407        6,076     5,276          0       800      6,076         0         0
GENERAL MOTORS            Com  370442105          469,029        8,078     4,170      3,030       878      6,170     1,130       778

<PAGE>

                                                                              Investment Direction            Voting Authority
Name Of Issuer            Type   Cusip       Market Value    Shares/PV     Sole      Shared   Other       Sole      Shared   Other
------------------------- ---  ---------     ------------    ---------    ------     ------ ---------    -------    ------ ---------
GENEVA STEEL CO. - CL A   Com  372252106           14,974       53,100         0          0    53,100          0         0    53,100
GILLETTE CO.              Com  375766102          414,184       11,855     8,755      1,500     1,600     11,255     1,300       300
GOLF VENTURES 144         Com  3816821X0           19,800       10,000         0          0    10,000          0         0    10,000
GUIDANT CORP COM STK      Com  401698105          461,340        9,320     7,745      1,300       275      8,920         0       400
HEINZ (H J) CO.           Com  423074103        1,253,438       28,650     3,950        300    24,400      5,450         0    23,200
HEWLETT PACKARD CO.       Com  428236103        2,814,932       22,542     7,082     13,225     2,235     20,207       725     1,610
HOME DEPOT, INC.          Com  437076102        3,120,095       62,480    33,861     24,699     3,920     51,147     8,250     3,083
HONEYWELL INTERNATIONAL I Com  438516106          510,062       15,141     7,055      2,816     5,270      9,596         0     5,545
HOUGHTON INTERNATIONAL IN Com  441510OX1          428,431       20,037    20,037          0         0     20,037         0         0
IDAHO POWER CO.           Com  451107106          314,567        9,754     1,054          0     8,700      1,054         0     8,700
ILLINOIS TOOL WORKS       Com  452308109        1,426,425       25,025    23,265      1,480       280     16,276     9,469       280
INDUSTRIAL SUPPLY         Com  456001XO9        5,528,796        2,562       284      2,278         0        284     2,278         0
INNOVEX INC               Com  457647105          897,000       92,000         0          0    92,000          0         0    92,000
INTEL CORP.               Com  458140100        9,175,508       68,634    48,730      5,855    14,049     51,094     5,675    11,865
INTERNATIONAL ABSORBENTS  Com  45885E104           28,600       44,000         0     44,000         0     20,000    24,000         0
INTERNATIONAL BUSINESS MA Com  459200101        4,593,079       41,922    23,820      7,800    10,302     24,815     5,400    11,707
INTERNATIONAL GAME TECHNO Com  459902102          371,000       14,000     1,000          0    13,000     14,000         0         0
ITI                       Com  465710XO4                1       10,000         0          0    10,000          0         0    10,000
JP REALTY                 Com  46624A106          200,836       11,275         0          0    11,275          0         0    11,275
JOHNSON & JOHNSON         Com  478160104        6,153,454       60,402    45,049      9,360     5,993     52,099     5,795     2,508
KELLOGG CO.               Com  487836108          261,800        8,800     8,000        800         0      8,800         0         0
KIMBERLY CLARK CORP       Com  494368103          396,461        6,910     4,636      2,250        24      6,886        24        24
KROGER C0MPANY            Com  501044101        2,740,185      124,201     1,620    117,345     5,236    120,565         0     3,636
LSB INDUSTRIES INC        Com  502160104           12,750       17,000         0          0    17,000     17,000         0         0
LEVEL 8 SYSTEMS INC       Com  52729M10           273,813       13,000    13,000          0         0     13,000         0         0
LILLY (ELI) & CO.         Com  532457108          347,066        3,475     2,800        600        75      2,800         0       675
LOS ROBLES BANCORP        Com  545629107        1,013,288       45,035    45,035          0         0     45,035         0         0
LUCENT TECHNOLOGIES, INC. Com  549463107        5,807,685       98,020    59,647     19,206    19,167     77,376     7,127    13,517
MBNA CORP                 Com  55262L100          216,647        7,987     4,405      3,582         0      7,987     2,982         0
MAGELLAN TECHNOLOGY INC C Com  559092408            5,500       11,000         0          0    11,000          0         0    11,000
MARATHON BANCORP          Com  565757101          505,250      172,000   172,000          0         0    172,000         0         0
MARRIOTT INTERNATIONAL, I Com  571903202          245,694        6,813       813          0     6,000        813         0     6,000
MASTER SYSTEMS COMPUTER C Com  576357107               21       21,000         0          0    21,000          0         0    21,000
MAY DEPARTMENT STORES COM Com  577778103          562,488       23,437       600          0    22,837        600         0    22,837
MC DONALDS                Com  580135101          907,231       27,544    15,454      7,800     4,290     25,654     1,800        90
MCDONALD'S CORP 7.5 PFD C Pfd  580135804          265,399       11,415     9,915      1,500         0      7,415     4,000         0
MCGRAW HILL COMPANIES     Com  580645109          366,660        6,790     6,250          0       540      5,940         0       850
MEDIAONE GROUP INC        Com  58440J104        1,407,920       21,132    15,523      3,386     2,223     18,321     1,042     1,769
MEDTRONIC, INC.           Com  585055106        1,345,884       27,019    24,813      1,016     1,190     18,813     7,016     1,190
MELLON FINANCIAL CORP     Com  58551A108          216,402        5,939     2,979      2,960         0      4,819         0     1,120
MERCK & CO.               Com  589331107        5,688,334       74,236    63,236      4,900     6,100     69,336     3,750     1,150
MERRILL LYNCH             Com  590188108          492,315        4,281     3,561        450       270      4,011         0       270
METRO AIRLINES INC NEW    Com  591905203                0       93,506         0          0    93,506     93,506         0         0
MICROSOFT CORP            Com  594918104        4,261,360       53,267    27,421     15,033    10,813     44,014     2,178     7,075
MIDVIEW PROPERTIES L.C.   Com  598121XO4                0      699,951   699,951          0         0    699,951         0         0
MINNESOTA MINING & MANUFA Com  604059105        1,201,118       14,559     7,750      1,289     5,520      9,400     1,289     3,870
MONTANA POWER CO.         Com  612085100          815,648       23,098     4,398      1,500    17,200      5,898         0    17,200

<PAGE>

                                                                              Investment Direction            Voting Authority
Name Of Issuer            Type   Cusip       Market Value    Shares/PV     Sole      Shared   Other       Sole      Shared   Other
------------------------- ---  ---------     ------------    ---------    ------     ------ ---------    -------    ------ ---------
MORGAN (J P) & CO.        Com  616880100          404,379        3,672     3,172          0       500      3,172       600         0
MORGAN STANLEY DEAN WITTE Com  617446448        2,090,741       25,114     4,940     15,914     4,260     19,678     8,990       260
MOTOROLA, INC.            Com  620076109        1,194,672       41,107    25,597     11,865     3,645     36,877     8,940     1,515
NORTHERN STS PWR PFD 7.87 Pfd  629384207          210,865        9,320     8,300      1,020         0      5,900     3,420         0
NOKIA OYJ CORP. A - S ADR Com  654902204          978,825       19,601    18,386        350       865     17,996         0     1,605
NORFOLK SOUTHERN CORP.    Com  655844108          200,813       13,500    11,700        600     1,200     12,000     2,400     1,200
NORTEL NETWORKS CORP      Com  656568102          781,599       11,452     5,912          0     5,540      6,712         0     4,740
NORTHERN TRUST CORP       Com  665859104        3,259,631       50,100    50,100          0         0     50,100         0         0
NOVELL, INC.              Com  670006105          122,627       13,257       200      7,500     5,557      7,700         0     5,557
NSTAR                     Com  67019E107          362,119        8,900         0      8,900         0      8,900     7,400         0
ONLINE POWER SUPPLY INC   Com  68274C109           60,413       10,800         0          0    10,800          0         0    10,800
ORACLE CORP COM           Com  68389X105        2,914,951       34,676    22,040      7,516     5,120     28,810     4,676     1,190
PNC FINANICAL SERVICES GR Com  693475105          456,703        9,743     9,743          0         0      9,743         0         0
PACIFIC CENTURY FINANCIAL Com  694058108        7,166,250      490,000         0          0   490,000    490,000         0         0
PENNEY (J.C.) C0.         Com  708160106          281,356       15,260     4,752      2,308     8,200      4,852     2,208     8,200
PEPSICO, INC.             Com  713448108        2,314,572       52,086    40,477      6,009     5,600     49,577       809     1,700
PFIZER, INC.              Com  717081103        4,554,276       94,881    73,507     14,561     6,813     79,049     8,175     7,657
PHARMACIA CORP            Com  71713U102          804,206       15,559     7,699      3,860     4,000     11,559     1,000     3,000
PHILIP MORRIS COMPANIES,  Com  718154107        1,368,500       51,520     8,451     39,200     3,869     50,176       925       419
PINNACLE BUSINESS MGMT IN Com  72345F109            1,380       15,000    15,000          0         0     15,000         0         0
PINNACLE WEST CAPITAL     Com  723484101          633,463       18,700     1,300     17,400         0     18,700    17,400         0
POTLATCH CORP             Com  737628107          226,310        6,832     6,832          0         0      6,832         0         0
PRECISION PLASTICS INTERN Com  740300XO8           24,500       24,500         0          0    24,500          0         0    24,500
PRINTCO, INC.             Com  742351XO2          184,400       10,000    10,000          0         0     10,000         0         0
PROCTER & GAMBLE CO.      Com  742718109        6,279,409      109,684    24,930     80,032     4,722    107,137     1,225     1,322
QUALCOMM CORP             Com  747525103          446,040        7,434     5,144        300     1,990      5,444         0     1,990
QUESTAR CORP.             Com  748356102          982,080       50,688     9,900          0    40,788     10,500     4,000    36,188
QWEST COMMUNICATIONS INTE Com  749121109          263,344        5,300     1,900        300     3,100      2,200         0     3,100
RANGE RESOURCES CORP      Com  75281A109           62,500       20,000         0          0    20,000          0         0    20,000
RECOM MANAGED SYSTEMS,INC Com  75623Q101              625       10,000         0          0    10,000          0         0    10,000
RELIANT ENERGY INC        Com  75952J108          375,503       12,702         0      4,508     8,194      4,508         0     8,194
RITE AID CORP             Com  767754104          503,777       76,766    73,958          0     2,808     74,043         0     2,723
ROYAL DUTCH PETROLEUM N.Y Com  780257804          481,603        7,823     3,491      2,920     1,412      7,823         0         0
SBC COMMUNICATIONS INC.   Com  78387G103        5,588,419      129,212    84,698     23,139    21,375    107,181     6,495    15,536
SANSIDRA CORPORATION      Com  801051103                0       32,000         0          0    32,000          0         0    32,000
SARA LEE CORP.            Com  803111103          371,186       19,220    10,620      6,600     2,000     18,620         0       600
SCHERING-PLOUGH CORP.     Com  806605101        1,420,818       28,135    17,770      3,540     6,825     20,560       900     6,675
SCHLUMBERGER LTD.         Com  806857108          456,407        6,116     4,166      1,700       250      5,466       900       450
SCHWAB (CHARLES) CORP     Com  808513105          345,430       10,273    10,162          0       111     10,162         0       111
SCOTTISH POWER PLC ADR    Com  81013T705        1,134,200       33,920     9,382      1,651    22,887      9,672     1,651    22,597
SECURITY NATIONAL FINANCI Com  814785309          549,063      175,700         0          0   175,700    175,700         0         0
SERVICE CORP INTL         Com  817565104           95,625       30,000         0          0    30,000     30,000         0         0
SIERRA HEALTH SVCS INC    Com  82632210            47,813       15,000         0          0    15,000          0         0    15,000
SIERRA PACIFIC RESOURCES  Com  826428104          342,831       27,290       790     11,000    15,500     11,790    11,000     4,500
SKIN CARE INTL HLDGS INC  Com  830667101                0       10,921         0     10,921         0          0    10,921         0
SPECTRUM COMMUNICATIONS C Com  847612108            2,800       28,000         0          0    28,000     28,000         0         0
SPRINT CORP FON SERIES 1  Com  852061100          906,984       17,784    14,764      2,820       200     17,044       540       200

<PAGE>

                                                                              Investment Direction            Voting Authority
Name Of Issuer            Type   Cusip       Market Value    Shares/PV     Sole      Shared   Other       Sole      Shared   Other
------------------------- ---  ---------     ------------    ---------    ------     ------ ---------    -------    ------ ---------
SPRINT CORP PCS SERIES 1  Com  852061506          481,474        8,092     7,502        590         0      7,892       200         0
STAPLES INC               Com  855030102          455,976       29,657    28,257        900       500     27,407       900     1,350
SUMMIT BANCORP COM        Com  866005101          383,461       15,572    12,872          0     2,700      6,472         0     9,100
SUN MICRO SYSTEMS         Com  866810104        2,025,724       22,276    15,301      5,650     1,325     20,776     5,200     1,500
O C TANNER JEWELRY CL A N Com  875001XO2          699,091      613,238         0          0   613,238          0         0   613,238
O C TANNER JEWELRY VOTING Com  875002XO0          143,640      126,000         0          0   126,000          0         0   126,000
O C TANNER JEWELERY CL B  Com  875003XO8        5,899,119    5,174,666         0          0 5,174,666          0         0 5,174,666
TARGET CORP               Com  87612E106          417,078        7,191     5,691      1,500         0      6,663         0       528
TEXACO INC.               Com  881694103        1,386,577       26,039     7,514      2,100    16,425     10,234     1,200    14,605
TEXAS INSTRUMENTS         Com  882508104          989,031       14,399    10,109        540     3,750     10,409     2,240     1,750
THREE COM CORP            Com  885535104          218,399        3,790     3,290          0       500      3,190         0       600
TIME WARNER               Com  887315109          777,860       10,235     5,535      4,100       600      9,685         0       550
TOKHEIM CORP              Com  889073102           19,500       12,000         0     12,000         0      5,300     6,700         0
TYCO INTL LTD             Com  902124106          623,881       13,169     9,439      3,104       626     12,543         0       626
US BANCORP DEL INC        Com  902973106          347,694       18,062    16,976      1,086         0     18,062         0         0
UNION PACIFIC CORP.       Com  907818108          985,915       26,512     8,532      1,680    16,300     10,032     1,680    14,800
UNION PACIFIC RESOURCES G Com  907834105          352,154       16,007     4,400      1,422    10,185      4,400     1,422    10,185
U S WEST INC              Com  91273H101        3,414,651       39,821    27,949      5,094     6,778     31,884     1,858     6,079
UNITED TECHNOLOGIES CORP. Com  913017109          530,994        9,019     4,604      1,140     3,275      4,434       680     3,905
UTICS CORPORATION         Com  918004102           12,500       25,000         0          0    25,000     25,000         0         0
VIACOM INC CL B COM       Com  925524308          461,970        6,775     1,513      4,177     1,085      5,690     3,906         0
VIDEO PUBLISHING VENTURES Com  92656V105                0      400,000   400,000          0         0    400,000         0         0
VODAFONE AIRTOUCH PLC     Com  92857T107        1,631,229       39,366    32,066      3,530     3,770     36,426     1,470     1,470
WAL-MART STORES, INC.     Com  931142103        1,790,582       31,073    11,753      7,070    12,250     24,723       500     5,850
WALGREEN CO               Com  931422109          594,568       18,472    18,472          0         0     18,472         0         0
WATSON PHARMACEUTICALS IN Com  942683103          323,575        6,020     6,020          0         0      6,020         0         0
WELLS FARGO & CO.         Com  949746101       12,085,195      311,876   193,756      1,190   116,930    194,596     1,190   116,090
WESTCORE TR MIDCO GROWTH  Com  957904717          240,991       11,990         0          0    11,990     11,990         0         0
WEYERHAUSER               Com  962166104          452,833       10,531     9,863        668         0     10,531         0         0
WILSON PRODUCTS           Com  972001XO4           67,973       14,368         0     14,368         0     14,368         0         0
WORLDCOM INC              Com  98157D106        1,464,101       31,915    23,814      6,483     1,618     28,960     3,232     1,868
YAHOO!                    Com  984332106          287,638        2,322     1,832        100       390      1,674       100       548
ZIONS BANCORPORATION      Com  989701107      194,406,435    4,236,300   221,207    180,943 3,834,149    454,767   194,796 3,586,736
ZIONS BANCORP (ESCROW)    Com  9897011XO          365,991        5,939         0          0     5,939      5,939         0         0
CHISM HOMES INCORPORATED  Com  993000116                0      182,428         0          0   182,428    182,428         0         0
ULTRA MEDICAL DEVICES INC Com  993001387                0       15,712    15,712          0         0     15,712         0         0
SIOUX STEEL CO 5% CUM PFD Pfd  997300405          353,400        3,534         0      3,534         0      3,534         0         0
SIOUX STEEL CO 7% CUM PFD Pfd  997300413          244,100        2,441         0      2,441         0      2,441         0         0
SIOUX STEEL CO CLASS B CO Com  997300439        3,507,250      277,253         0    277,253         0    277,253         0         0
SIOUX STEEL CO CLASS A CO Com  997300440                0       29,597         0     29,597         0     29,597         0         0
PHOENIX USA INCORPORATED  Com  998000650           30,000       25,000         0          0    25,000     25,000         0         0
VALLEY BANK               Com  999111111          445,000       44,500         0          0    44,500     44,500         0         0
HIHO TECHNOLOGIES INC (FO Pfd  999310838           50,000       50,000    50,000          0         0     50,000         0         0
POLYAGRI INTERNATIONAL IN Pfd  999920109           10,000       10,000         0          0    10,000     10,000         0         0
                                             ------------
                                              590,402,918

                         * * * End Of Asset Report * * *

                   232 Assets Reported Of 33784 Assets On File
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