DAVENPORT & CO OF VIRGINIA INC
13F-HR/A, 1999-12-13
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
"WASHINGTON, DC  20549"
FORM 13F
FORM 13 F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR   "QUARTER ENDED: SEPTEMBER 30, 1999"
CHECK HERE IF AMENDMENT (X); (X) IS A RESTATEMENT
                        ( ) ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:  DAVENPORT & COMPANY LLC
ADDRESS:  ONE JAMES CENTER   901 E CARY STREET  SUITE 1100
"RICHMOND, VA"     23219
13 F FILE NUMBER:

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 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:  J LEE KEIGER III
TITLE: SR VICE PRESIDENT
PHONE:  804-780-2016
"SIGNATURE, PLACE, AND DATE OF SIGNING:

"J LEE KEIGER III, RICHMOND,"     VA   6-Dec-99

REPORT TYPE:
(X) 13 F HOLDINGS REPORT

I AM SIGNING THIS REPORT AS  REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

FORM 13 F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:  0
FORM 13F INFORMATION TABLE ENTRY TOTAL: 139
FORM 13 F INFORMATION TABLE  VALUE TOTAL:"$1,301,584,807 "
<PAGE>
<TABLE>              <C>          <C>


                        Item 5:        Item 6:                  Item 8
Item 1:  Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
Name of Issuer     Title of Class CUSIP          Fair Market    Principal
(b)
Shared-       Managers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
A T & T CORP. COMMON    1957109        "$17,717,410 " "415,657" X
    "79,
888"          "335,769"
AT&T CP LIBERTY    COMMON    1957208        "$19,282,365 " "565,051" X
         "11
5,448"        "449,603"
ABBOTT LABS   COMMON    2824100        "$428,017 "    "10,733"  X
    "4,4
00"      "6,333"
AIR PRODUCTS & CHEMICALS     COMMON    9158106        "$12,160,621 " "402,004"
X
                   "87,962"       "314,042"
ALBEMARLE CORP.    COMMON    12653101  "$8,025 " "$502,135 "    "29,216"  X
              4
00       "28,816"
ALCOA    COMMON    13817101       "$13,841,042 " "380,605" X
"80,0
20"      "300,585"
ALLIED CAPITAL     COMMON    01903Q108      "$715,395 "    "33,765"  X
         0
"33,765"
ALLIEDSIGNAL INC.  COMMON    19512102  "$9,511 " "$24,301,055 " "421,710" X
              "
90,037"       "331,673"
AMERICA ONLINE     COMMON    02364J104      "$470,878 "    "4,580"   X
         40
    "4,540"
AMERICAN EXPRESS CO     COMMON    25816109  "$7,052 " "$936,487 "    "6,867"
X
         0         "6,867"
AMERICAN GENERAL CORP   COMMON    26351106       "$1,168,382 "  "23,412"  X
              0
         "17,872"
AMERICAN HOME PRODUCTS  COMMON    26609107  "$9,917 " "$21,374,746 " "488,565"
X
                   "90,737"       "397,828"
AMERICAN INT'L GROUP INC.    COMMON    26814107  "$10,387 "     "$32,815,133 "
"
369,227" X                   "75,082"       "294,145"
AMGEN INC     COMMON    31162100       "$27,668,286 " "355,291" X
    "72,
562"          "282,729"
ANHEUSER BUSCH COS. INC.     COMMON    35229103  "$10,372 "     "$29,861,877 "
"
416,193" X                   "88,040"       "328,153"
ARCHSTONE COMMUNITIES   COMMON    39581103       "$237,744 "    "11,962"  X
              0
         "11,962"
ATLANTIC RICHFIELD CO.  COMMON    48825103  "$4,764 " "$13,448,326 " "155,247"
X
                   "35,996"       "119,251"
AVERY DENNISON CORP     COMMON    53611109       "$17,388,145 " "323,880" X
              "
66,825"       "257,055"
BB&T CORP     COMMON    54937107       "$17,158,786 " "556,886" X
    "95,
107"          "461,779"
BP AMOCO COMMON    55622104       "$1,644,138 "  "15,223"  X
68       "
15,155"
BANK OF AMERICA    COMMON    60505104       "$4,157,172 "  "71,985"  X
         "2,
512"          "69,473"
BANK ONE CORP COMMON    06423A103      "$289,713 "    "8,337"   X
    0         "
8,337"
BEDFORD PROPERTIES COMMON    76446301       "$849,455 "    "49,067"  X
         0
"49,067"
BELL ATLANTIC CORP COMMON    77853109  "$1,487 " "$2,324,285 "  "36,105"  X
              0
         "36,105"
COLUMN TOTAL                 "$260,741,593 "

                                                      (SEC USE ONLY)


                        Item 5:        Item 6:                  Item 8
    Item 2:   Item 3:        Item 4:   Shares of      Investment Discretion
    Ite
m 7:          Voting Authority (Shares)
Item 1:  Title of Class CUSIP          Fair Market    Principal      (b)
Shared-       Managers
Name of Issuer          Number         Value     Amount    (a) Sole  As Defined
(c) Shared-   See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
BELLSOUTH CORP.    COMMON    79860102  1141 "$1,924,974 "  "43,625"  X
         "3,
000"          "40,625"
BERKSHIRE HATHAWAY COMMON    84670207  151  "$13,907,394 " "7,191"   X
         "1,
722"          "5,469"
BEST FOODS    COMMON    08658U101      "$399,687 "    "7,866"   X
    0         "
7,866"
BRISTOL MYERS SQUIBB CO.     COMMON    110122108 11106     "$38,552,424 " "554,7
11" X                   "111,611"      "443,100"
CCB FINANCIAL CORP COMMON    124875105      "$14,594,034 " "354,870" X
         "67
,299"         "287,571"
CFW COMMUNICATIONS CO   COMMON    124923103 916  "$909,247 "    "45,180"  X
              0
         "45,180"
CMS ENERGY CORP    COMMON    125896100      "$207,680 "    "5,955"   X
         0
"5,955"
CSX CORP.     COMMON    126408103      "$342,334 "    "8,138"   X
    0         "
8,138"
CAPITAL ONE FIN CORP    COMMON    14040H105      "$30,226,016 " "762,801" X
              "
109,658"      "653,143"
CENDANT CORP  COMMON    151313103      "$361,878 "    "20,175"  X
    400
    "19,775"
CHASE MANHATTEN CORP    COMMON    16161A108 3274 "$378,608 "    "5,023"   X
              0
         "5,023"
CHESAPEAKE CORP.   COMMON    165159104 7664 "$14,244,359 " "458,578" X
         "91
,912"         "366,666"
CHEVRON CORP. COMMON    166751107 10822     "$21,649,292 " "246,014" X
         "44
,966"         "201,048"
CIRCUIT CITY STORES INC.     COMMON    172737108 10749     "$31,010,970 " "826,9
59" X                   "145,663"      "681,296"
CISCO SYSTEMS COMMON    17275R102      "$26,115,327 " "378,483" X
    "71,
951"          "306,532"
CITIGROUP INC COMMON    172967101      "$523,350 "    "12,008"  X
    0         "
12,008"
CLEVELAND CLIFFS INC.   COMMON    185896107 10105     "$6,663,781 "  "208,243"
X
                   "48,509"       "159,734"
COCA COLA CO. COMMON    191216100 16705     "$17,699,150 " "346,193" X
         "55
,666"         "290,527"
COLGATE PALMOLIVE CO    COMMON    194162103      "$327,937 "    "6,625"   X
              0
         "6,625"
COMPAQ COMPUTER    COMMON    204493100      "$222,855 "    "9,960"   X
         0
"9,960"
CONOCO INC    COMMON    208251405      "$16,659,865 " "643,859" X
    "73,
738"          "570,121"
COLUMN TOTAL                 "$236,921,162 "


                                                      (SEC USE ONLY)

Item 1:                      Item 5:        Item 6:                  Item 8
Name of Issuer     Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
    Title of Class CUSIP          Fair Market    Principal      (b) Shared-
    Man
agers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
COX COMMUNICATIONS COMMON    224044107 8403 "$19,623,633 " "498,378" X
         "92
,453"         "405,925"
DANA CORP     COMMON    23581106       "$216,568 "    "6,133"   X
    0         "
6,133"
DEERE & COMPANY    COMMON    244199105      "$10,187,624 " "257,914" X
         "55
,426"         "202,488"
"DISNEY, WALT CO." COMMON    "$254,687,106 "     8125 "$16,093,019 " "611,622"
X
                   "138,382"      "473,240"
DOMINION RESOURCES INC. COMMON    257470104 1331 "$1,147,291 "  "25,818"  X
              0
         "25,818"
DREYFUS STRATEGIC GOVTS INCOM     COMMON    261938104      "$218,400 "    "26,88
0"  X                   0         "26,880"
E.I. DU PONT DE NEMOURS & CO.     COMMON    263534109 12616     "$2,923,239 "
"4
8,318"   X                   "19,089"       "29,229"
DUKE ENERGY CORP   COMMON    264399106 482  "$1,242,337 "  "23,221"  X
         0
"23,221"
EMC CORPORATION    COMMON    268648102      "$27,672,867 " "400,696" X
         722
00       "328,496"
EASTERN VA BANKSHARES   COMMON    277196101      "$174,216 "    "10,248"  X
              0
         "10,248"
EASTMAN KODAK COMMON    277461109      "$262,315 "    "3,575"   X
    0         "
3,575"
ENRON CORP.   COMMON    293561106 9533 "$26,910,543 " "675,940" X
    "133
,848"         "542,092"
ETHYL CORP    COMMON    297659104      "$57,280 "     "12,556"  X
    0         "
12,556"
EXXON CORP.   COMMON    302290101 4645 "$7,538,171 "  "100,761" X
    "1,2
00"      "99,561"
FED. NAT. MORTGAGE ASSOC.    COMMON    313586109 400  "$1,043,979 "  "17,062"
X
              0         "17,062"
FEDERAL REALTY INV TRUST     COMMON    313747206      "$11,348,520 " "546,916"
X
                   "111,589"      "435,327"
FIRST UNION CORP   COMMON    337358105      "$433,731 "    "11,683"  X
         200
         "11,483"
FIRST VIRGINIA BANKS    COMMON    337477103      "$968,248 "    "22,583"  X
              6
75       "21,908"
FLORIDA ROCK INDUTSTRIES     COMMON    341140101 570  "$1,549,800 "  "43,200"
X
              0         "43,200"
FORD MOTOR CORP.   PFD A     345370209 4492 "$18,248,581 " "367,270" X
         "72
,269"         "295,001"
FORT JAMES CORP    COMMON    347471104      "$431,851 "    "16,650"  X
         0
"16,650"
GTE CORP.     COMMON    362320103      "$1,172,151 "  "15,786"  X
    "2,4
70"      "13,316"
COLUMN TOTAL                 "$149,397,936 "

                                                      (SEC USE ONLY)


                        Item 5:        Item 6:                  Item 8
Item 1:  Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
Name of Issuer     Title of Class CUSIP          Fair Market    Principal
(b)
Shared-       Managers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
GENERAL ELECTRIC CORP.  COMMON    369604103 1065 "$38,841,772 " "329,167" X
              "
48,491"       "280,676"
GILLETTE CO   COMMON    375766102 13097     "$13,266,454 " "348,548" X
         "70
,776"         "277,772"
GLENBOROUGH REALTY TRUST     COMMON    37803P105 7520 "$650,318 "    "38,825"
X
              0         "38,825"
GIANT CEMENT HOLDINGS   COMMON    374450104      "$669,018 "    "28,775"  X
              0
         "28,775"
GOODRICH BF CO     COMMON    382388106      "$204,977 "    "7,420"   X
         0
"7,420"
HALLIBURTON CO     COMMON    406216101      "$17,947,890 " "441,121" X
         "90
,587"         "350,534"
HEINZ HJ CO   COMMON    423074103      "$493,059 "    "11,450"  X
    "2,2
50"      "9,200"
HEWLETT PACKARD CO COMMON    428236103      "$28,306,945 " "292,956" X
         "59
,184"         "233,772"
HILB ROGAL & HAMILTON CO.    COMMON    431294107 "$4,073 " "$947,881 "    "39,80
6"  X                   0         "39,806"
INTEL CORP    COMMON    458140100      "$35,622,866 " "470,759" X
    "94,
278"          "376,481"
INT'L FLAVORS & FRAGRANCES   COMMON    459506101 $379      "$1,268,480 "  "35,17
5"  X                   500       "34,675"
INTERNATIONAL PAPER     COMMON    460146103      "$487,620 "    "10,080"  X
              0
         "10,080"
JEFFERSON PILOT CORP    COMMON    475070108      "$803,268 "    "12,943"  X
              0
         "12,943"
JOHNSON & JOHNSON  COMMON    47816104       "$32,084,251 " "356,491" X
         "67
,584"         "288,907"
KONINKLIJKE PHILIPS ELECTRONIC    SPON ADR  500472204      "$25,178,133 " "257,0
85" X                   "56,904"       "200,181"
ELI LILLY  & CO    COMMON    532457108      "$845,688 "    "12,973"  X
         "6,
000"          "6,973"
LINCOLN NATIONAL CORP   COMMON    534187109      "$315,298 "    "7,995"   X
              0
         "7,995"
COLUMN TOTAL                 "$197,933,918 "


                                                      (SEC USE ONLY)


                        Item 5:        Item 6:                  Item 8
Item 1:  Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
Name of Issuer     Title of Class CUSIP          Fair Market    Principal
(b)
Shared-       Managers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
LOCKHEED MARTIN CORP    COMMON    550819106 "$4,712 " "$9,475,441 "  "309,402"
X
                   "60,389"       "249,013"
LUCENT TECHNOLOGY  COMMON    549463107      "$1,952,504 "  "30,154"  X
         0
"30,154"
MCI WORLDCOM INC   COMMON    55268B106      "$17,888,689 " "234,991" X
         "43
,537"         "191,454"
MDU RESOURCES GROUP INC COMMON    552690109 $329      "$365,982 "    "15,956"
X
              0         "15,956"
MFS GOVT MKTS SH BEN INT     552939100      "$260,070 "    "42,035"  X
         0
"42,035"
MARKEL CORP.  COMMON    570535104 "$12,288 "     "$30,724,061 " "167,662" X
              "
36,610"       "131,052"
MARTIN MARIETTA MATERIALS INC.    COMMON    573284106 "$8,999 " "$16,695,325 "
"
422,004" X                   "72,289"       "349,715"
MASSMUTUAL CORPORATE INVESTORS    COMMON    576292106      "$213,006 "    "9,850
"   X                   0         "9,850"
MCDONALDS CORP.    COMMON    580135101 "$8,110 " "$936,778 "    "21,785"  X
              8
00       "20,985"
MEDIA GENERAL INC. CLASS A   584404107 "$7,524 " "$19,216,126 " "381,461" X
              "
77,217"       "304,244"
MELLON BANK   COMMON    585509102      "$215,556 "    "6,532"   X
    0         "
6,532"
MERCANTILE BANKSHARES CO     COMMON    587405101 $411      "$370,450 "    "11,95
0"  X                   0         "11,950"
MERCK & CO INC.    COMMON    589331107 "$12,255 "     "$32,210,763 " "487,583"
X
                   "85,632"       "401,951"
MESABI TRUST  CTF BEN INT    590672101 $106      "$37,012 "     "14,100"  X
              0
         "14,100"
MOBIL CORP.   COMMON    607059102 "$10,081 "     "$24,008,535 " "244,985" X
              "
46,116"       "198,869"
COLUMN TOTAL                 "$154,570,298 "


                                                      (SEC USE ONLY)


                        Item 5:        Item 6:                  Item 8
Item 1:  Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
Name of Issuer     Title of Class CUSIP          Fair Market    Principal
(b)
Shared-       Managers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
MICROSOFT CORP     COMMON    620076109 "$9,008 " "$21,155,583 " "232,640" X
              "
41,851"       "190,789"
MOTOROLA INC  COMMON    620076109      "$16,848,316 " "203,297" X
    "35,
721"          "167,576"
NORFOLK SOUTHERN CORP   COMMON    655844108 "$9,121 " "$12,393,231 " "480,134"
X
                   "99,893"       "380,241"
NUVEEN MUNICIPAL VALUE FUND  COMMON    670928100 $219      "$265,755 "    "31,03
9"  X                   "7,600"        "23,439"
OHIO CASUALTY CORP COMMON    677240103      "$215,318 "    "13,200"  X
         0
"13,200"
OWENS & MINOR HLDG. CO. INC. COMMON    690732102 "$8,107 " "$1,576,283 "  "149,2
41" X                   "27,380"       "121,861"
PEPSICO INC.  COMMON    713448108 $708      "$700,879 "    "21,945"  X
         0
"21,945"
PFIZER INC    COMMON    717081103      "$2,335,426 "  "67,206"  X
    "12,
000"          "55,206"
PHILIP MORRIS COS. INC. COMMON    718154107 "$7,864 " "$2,086,757 "  "60,817"
X
              "8,400"        "52,417"
PITT DESMOINES INC COMMON    724508106 "$4,604 " "$220,000 "    "10,000"  X
              0
         "10,000"
PRISON REALTY CORP COMMON    74264N105      "$128,094 "    "11,200"  X
         0
"11,200"
COLUMN TOTAL                 "$57,925,642 "

                                                      (SEC USE ONLY)


                        Item 5:        Item 6:                  Item 8
Item 1:  Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
Name of Issuer     Title of Class CUSIP          Fair Market    Principal
(b)
Shared-       Managers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
PUBLIC SERVICE CO. NO. CAROLINA   COMMON    744516105 $352      "$496,073 "
"16,
100"     X                   300       "15,800"
PROCTOR & GAMBLE CO     COMMON    742718109      "$1,456,667 "  "14,969"  X
              4
00       "14,569"
PROVIDENT BANCSHARES CORP    COMMON    743859100      "$1,179,484 "  "57,713"
X
              0         "57,713"
PUTNAM MASTER INTERMEDIATE INCOME SH BEN INT     746909100      "$207,634 "
"31,
642"     X                   0         "31,642"
QUAKER OATS CO     COMMON    747402105 "$5,453 " "$796,950 "    "12,600"  X
              3
00       "12,300"
QUIXOTE CORP  COMMON    749056107      "$624,750 "    "41,650"  X
    0         "
41,650"
ROYAL PETROLEUM    NY REG    780257804      "$1,090,449 "  "18,862"  X
         0
18862
SBC COMMUN. INC.   COMMON    78387G103 "$6,728 " "$25,801,391 " "526,559" X
              "
118,338"      "408,221"
ST PAUL COMPANIES  COMMON    792860108      "$11,627,991 " "402,701" X
         "90
,537"         "312,164"
SAKS INC COMMON    79377W108      "$6,586,039 "  "433,663" X
"90,7
62"      "342,901"
SARA LEE CORP COMMON    803111103      "$12,280,859 " "529,644" X
    "108
,817"         "420,827"
SCHERING PLOUGH CORP.   COMMON    806605101 "$12,171 "     "$33,606,705 " "729,5
97" X                   "153,905"      "575,692"
SCHLUMBERGER LIMITED    COMMON    806857108 "$10,083 "     "$15,599,875 " "263,0
13" X                   "54,666"       "208,347"
SUN MICRO SYSTEMS  COMMON    866810104      "$705,262 "    "7,820"   X
         0
"7,820"
SUNTRUST BANKS INC COMMON    867914103      "$19,503,161 " "299,187" X
         "56
,647"         "242,540"
SYSCO CORP    COMMON    871829107      "$26,321,663 " "784,269" X
    "182
,315"         "601,954"
TEMPLETON GLOBAL INCOME FUND COMMON    880198106      "$224,022 "    "34,465"
X
              0         "34,465"
TEXACO INC.   COMMON    881694103 "$1,948 " "$2,409,951 "  "38,102"  X
         400
         "37,702"
TIDEWATER INC.     COMMON    886423102 "$11,694 "     "$281,317 "    "10,137"
X
              0         "10,137"
COLUMN TOTAL                 "$160,800,243 "


                                                      (SEC USE ONLY)


                        Item 5:        Item 6:                  Item 8
Item 1:  Item 2:   Item 3:        Item 4:   Shares of      Investment
Discretion         Item 7:        Voting Authority (Shares)
Name of Issuer     Title of Class CUSIP          Fair Market    Principal
(b)
Shared-       Managers
         Number         Value     Amount    (a) Sole  As Defined     (c)
Shared-  See Instr.V    (a) Sole  (b) Shared     (c) None
                                  in Instr. V    Other
TREDEGAR INDUSTRIES INC.     COMMON    894650100 "$12,090 "     "$28,800,458 "
"
1,316,592"    X                   "245,202"      "1,071,390"
UNITED DOMINION REALTY TRUST COMMON    910197102 "$12,855 "     "$432,878 "
"39,
352"     X                   0         "39,352"
WACHOVIA CORP COMMON    929771103      "$14,242,162 " "184,364" X
    "32,
405"          "151,959"
WALGREEN CO.  COMMON    931422109 "$9,105 " "$20,897,939 " "850,824" X
         "20
5,117"        "645,707"
WALMART STORES INC COMMON    931142103      "$466,066 "    "10,022"  X
         0
"10,022"
WARNER LAMBERT CO  COMMON    934488107      "$1,370,814 "  "21,460"  X
         0
"21,460"
WASHINGTON GAS LIGHT CO.     COMMON    938837101 $563      "$403,631 "    "15,45
0"  X                   600       "14,850"
WASHINGTON REAL ESTATE INVESTMENT COMMON    939653101      "$316,875 "    "21,12
5"  X                   0         "21,125"
WILLIAMS COMPANIES COMMON    969457100      "$683,364 "    "19,082"  X
         0
"19,082"
ZALE CORP     COMMON    988858106      "$15,613,400 " "413,600" X
    "90,
596"          "323,004"
COLUMN TOTAL                 "$83,227,587 "
         TOTAL          "$1,301,584,807 "




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