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 holdings entries.
Institutional Investment Manager Filing this Report:
Name: Eveans, Bash, Magrino & Klein, Inc.
Address: 7007 College Boulevard
Suite 330
Overland Park, KS 66211
13F File Number: 28-3019
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: David R. Phillips
Title: Director of Operations
Phone: 913-345-9889
Signature, Place, and Date of Signing:
David R. Phillips Overland Park, KS May 4, 1999
Report Type (Check only one.):
? X ? 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.
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FORM 13F SPECIAL ELECTRONIC FILING INSTRUCTIONS Continued
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: $447,124
List of Other Included Managers:
No. 13F File Number Name
NONE
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Eveans, Bash, Magrino & Klein, Inc.
FORM 13F
March 31, 1999
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Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt Other
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
- -
A T & T COMMON 001957109 9857123505.000SH Sole 123505.000
ALLIED SIGNAL COMMON 019512102 410983530.000 SH Sole 83530.000
AMERICA ONLINE INC COMMON 02364J104 453 3080.000 SH Sole 3080.000
AMERICAN EXPRESS CO COMMON 025816109 358 3040.000 SH Sole 3040.000
AMERICAN INTL GROUP COMMON 026874107 376 3116.000 SH Sole 3116.000
AMERISOURCE HEALTH COMMON 03071P102 4337126860.000SH Sole 126860.000
AMGEN COMMON 031162100 479 6400.000 SH Sole 6400.000
APACHE CORP COM COMMON 037411105 3877148750.000SH Sole 148750.000
ATLANTIC RICHFIELD COMMON 048825103 9695132585.000SH Sole 132585.000
AVT CORP COMMON 002420107 25010490.000 SH Sole 10490.000
BANC ONE CORP COM COMMON 06423a103 8164148265.000SH Sole 148265.000
BANK NEW YORK INC COM COMMON 064057102 282 7845.000 SH Sole 7845.000
BANKAMERICA CORP COMMON 06605F102 8046113918.984SH Sole 113918.984
BED BATH & BEYOND COMMON 075896100 223 6120.000 SH Sole 6120.000
BELL ATLANTIC COMMON 077853109 301 5832.000 SH Sole 5832.000
BERKSHIRE HATHAWAY INC-CL B COMMON 084670207 8573 3646.500 SH Sole 3646.500
BEST BUY COMMON 086516101 218 4200.000 SH Sole 4200.000
BRISTOL MYERS-SQUIBB COMMON 110122108 6467100854.000SH Sole 100854.000
BTR SIEBE PLC ADR COMMON 826166209 11512920.000 SH Sole 12920.000
C V S CORP COMMON 126650100 438092203.000 SH Sole 92203.000
CARDINAL HEALTH COMMON 14149Y108 309 4684.000 SH Sole 4684.000
CARNIVAL CORP CL A COMMON 143658102 381 7850.000 SH Sole 7850.000
CBS INC COMMON 12490K107 5930145300.000SH Sole 145300.000
CHASE MANHATTAN CORP COMMON 16161A108 739790900.000 SH Sole 90900.000
CHEVRON COMMON 166751107 420 4730.000 SH Sole 4730.000
CISCO SYSTEMS INC. COMMON 17275R102 619 5649.000 SH Sole 5649.000
CITIGROUP, INC COMMON 172967101 90714205.000 SH Sole 14205.000
CLOROX CO DEL COM COMMON 189054109 274 2335.000 SH Sole 2335.000
COCA COLA COMMON 191216100 476 7760.000 SH Sole 7760.000
COLGATE-PALMOLIVE CO COMMON 194162103 449 4880.000 SH Sole 4880.000
COMCAST CORP SPECIAL CL A COMMON 200300200 6856108930.000SH Sole 108930.000
COMPAQ COMPUTER CORP COMMON 204493100 5565175627.042SH Sole 175627.042
CORNING INC COMMON 219350105 585 9758.000 SH Sole 9758.000
COSTCO COMMON 22160Q102 344 3760.000 SH Sole 3760.000
CROMPTON & KNOWLES COMMON 227111101 3325211080.000SH Sole 211080.000
DAIMLER CHRYSLER A G SPONSORED COMMON d1668r123 336 3919.000 SH Sole 3919.000
DAYTON HUDSON COMMON 239753106 226 3395.000 SH Sole 3395.000
DUPONT (EI) DE NEMOURS COMMON 263534109 223 3844.000 SH Sole 3844.000
ELAN CORP PLC ADR COMMON 284131208 8219117830.000SH Sole 117830.000
ENRON CORP COM COMMON 293561106 473973751.869 SH Sole 73751.869
EQUITABLE COMPANIES INC. COMMON 29444G107 606886680.000 SH Sole 86680.000
ESTEE LAUDER COMMON 518439104 214 2260.000 SH Sole 2260.000
EXXON COMMON 302290101 96913737.033 SH Sole 13737.033
FEDERAL HOME LN MTG COMMON 313400301 513 8955.000 SH Sole 8955.000
FEDERAL NATIONAL MORTGAGE COMMON 313586109 9335134796.863SH Sole 134796.863
FINOVA GROUP INC COM COMMON 317928109 281 5410.000 SH Sole 5410.000
FORD MOTOR COMMON 345370100 412472755.000 SH Sole 72755.000
FPL GROUP INC COM COMMON 302571104 302356775.000 SH Sole 56775.000
GAP INC COMMON 364760108 8525126655.000SH Sole 126655.000
GENENTECH INC COM SPL COMMON 368710307 870698235.000 SH Sole 98235.000
GENERAL DYNAMICS CORP COMMON 369550108 571989015.000 SH Sole 89015.000
GENERAL ELECTRIC COMMON 369604103 211019073.924 SH Sole 19073.924
GILLETTE CO COM COMMON 375766102 227 3826.000 SH Sole 3826.000
GUIDANT CORP COM COMMON 401698105 292 4825.000 SH Sole 4825.000
HEINZ H J CO COM COMMON 423074103 263 5543.000 SH Sole 5543.000
HENRY JACK & ASSOC INC COM COMMON 426281101 58015782.000 SH Sole 15782.000
HOME DEPOT COMMON 437076102 63110142.000 SH Sole 10142.000
INGERSOLL RAND CO COM COMMON 456866102 6139123705.000SH Sole 123705.000
INTEL COMMON 458140100 503 4231.189 SH Sole 4231.189
INTERPUBLIC GROUP COMMON 460690100 287 3680.000 SH Sole 3680.000
INTIMATE BRANDS COMMON 461156101 6579136715.000SH Sole 136715.000
INTL BUS MACH COMMON 459200101 1055459545.000 SH Sole 59545.000
IPALCO ENTERPRISES (W/RTS) COMMON 462613100 64529400.000 SH Sole 29400.000
JOHNSON & JOHNSON COMMON 478160104 327 3495.685 SH Sole 3495.685
KROGER CO COM COMMON 501044101 549691795.000 SH Sole 91795.000
LEVEL 3 COMMUNICATIONS COMMON 52729n100 246 3380.000 SH Sole 3380.000
LINCOLN NATL COMMON 534187109 515152100.000 SH Sole 52100.000
LUCENT TECHNOLOGIES INC COMMON 549463107 527748857.210 SH Sole 48857.210
MAYTAG CORP COMMON 578592107 357859255.000 SH Sole 59255.000
MCDONALDS COMMON 580135101 76016765.000 SH Sole 16765.000
MEDTRONIC INC COMMON 585055106 331 4605.000 SH Sole 4605.000
MELLON BANK CORP COMMON 585509102 287 4075.000 SH Sole 4075.000
MERCK COMMON 589331107 360 4492.913 SH Sole 4492.913
MICROSOFT CORP COMMON 594918104 9465105610.000SH Sole 105610.000
MOBIL COMMON 607059102 491155807.000 SH Sole 55807.000
MOTOROLA COMMON 620076109 619384550.000 SH Sole 84550.000
NATIONAL CITY COMMON 635405103 652 9820.000 SH Sole 9820.000
NEWELL RUBBERMAID, INC. COMMON 651229106 361 7590.000 SH Sole 7590.000
NORTEL NETWORKS LTD COMMON 665815106 8201132010.000SH Sole 132010.000
OMNICOM COMMON 681919106 8727109170.000SH Sole 109170.000
PAYCHEX INC COM COMMON 704326107 328 6906.000 SH Sole 6906.000
PFIZER INC. COMMON 717081103 988 7122.000 SH Sole 7122.000
PHILLIPS PETROLEUM COMMON 718507106 7655162013.000SH Sole 162013.000
PITNEY BOWES COMMON 724479100 228 3570.000 SH Sole 3570.000
PROCTOR & GAMBLE CO COM COMMON 742718109 914 9337.000 SH Sole 9337.000
QUINTILES TRANSNATIONAL COMMON 748767100 326986595.000 SH Sole 86595.000
REINSURANCE CORP OF AMER CL A COMMON 759351208 3867114159.500SH Sole 114159.500
ROYAL DUTCH PETROLEUM COMMON 780257804 7644147001.000SH Sole 147001.000
SAFEWAY INC COM NEW COMMON 786514208 7013136679.000SH Sole 136679.000
SBC COMMUNICATIONS INC COMMON 78387G103 7804165378.000SH Sole 165378.000
SCHERING PLOUGH COMMON 806605101 275 4980.000 SH Sole 4980.000
SNYDER COMMUNICATIONS COMMON 832914105 5059181480.000SH Sole 181480.000
SOUTHWEST AIRLINES COMMON 844741108 284 9375.000 SH Sole 9375.000
SPRINT CORP FON GROUP COMMON 852061100 209 2125.000 SH Sole 2125.000
STEINER LEISURE LTD ORD COMMON p8744y102 56918500.000 SH Sole 18500.000
SUN MICROSYSTEMS COMMON 866810104 531642505.000 SH Sole 42505.000
SUNDSTRAND CORP COM COMMON 867323107 10306148285.000SH Sole 148285.000
SUNTRUST BANKS COMMON 867914103 369659375.000 SH Sole 59375.000
SYNOPSYS COMMON 871607107 319 5930.000 SH Sole 5930.000
TELEFONICA DE ESPANA ADR COMMON 879382208 550043054.200 SH Sole 43054.200
TELLABS INC COM COMMON 879664100 419142875.000 SH Sole 42875.000
TIME WARNER COMMON 887315109 304 4295.000 SH Sole 4295.000
TJX COMPANIES COMMON 872540109 9064266590.000SH Sole 266590.000
TOTAL SA COMMON 89151e109 485 7950.000 SH Sole 7950.000
TYCO INTL LTD NEW COM COMMON 902124106 96913510.000 SH Sole 13510.000
UNIGATE LTD ADR COMMON 904750403 8211585.000 SH Sole 11585.000
UNILEVER N V NEW YORK SHS COMMON 904784501 535380575.000 SH Sole 80575.000
UNION PACIFIC COMMON 907818108 222341600.000 SH Sole 41600.000
UNIONBANCAL CORP COMMON 908906100 4240124490.000SH Sole 124490.000
UNISYS COMMON 909214108 7044254406.000SH Sole 254406.000
UNITED TECHNOLOGIES COMMON 913017109 1240691596.000 SH Sole 91596.000
USG CORP COMMON 903293405 459989520.000 SH Sole 89520.000
WAL-MART COMMON 931142103 429 4655.000 SH Sole 4655.000
WARNER LAMBERT COMPANY COMMON 934488107 6870103695.000SH Sole 103695.000
WASTE MANAGEMENT, INC. COMMON 94106l109 70615915.000 SH Sole 15915.000
WELLS FARGO COMPANY COMMON 949746101 240 6840.000 SH Sole 6840.000
WORLDCOM INC GA COM COMMON 55268b106 697278727.000 SH Sole 78727.000
ZALE CORP COMMON 988858106 7155209296.000SH Sole 209296.000
VALUE LINE FD INC COM MUTUAL FDS 920423100 203 8154.037 SH Sole 8154.037
SCHWAB CHARLES VALUE ADVANTAGE 808515605 191190750.370SH Sole 190750.370
S & P 400 MID CAP DEP RECPT OTHER EQUITIES 595635103 71810410.000 SH Sole 10410.000
S & P 500 DEPOSITARY RECEIPT OTHER EQUITIES 78462F103 34642269852.000SH Sole 269852.000
WEBS INDEX FD INC GERMAN OTHER EQUITIES 92923h608 19910035.000 SH Sole 10035.000
WEBS INDEX FD INC JAPAN OTHER EQUITIES 92923h889 43237560.000 SH Sole 37560.000
WEBS INDEX FD INC UNITED KINGD OTHER EQUITIES 92923h798 53124920.000 SH Sole 24920.000
IMT - CORE VALUE STOCK FUND UNIT TRUSTS 3420174848.845SH Sole 174848.845
IMT - GROWTH EQUITY FUND UNIT TRUSTS 38836765.895 SH Sole 36765.895
IST - CORE GROWTH STOCK FUND UNIT TRUSTS 7074593738.878SH Sole 593738.878
REPORT SUMMARY 128 DATA RECORDS 447124 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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