ARVEST TRUST CO N A
13F-HR, 2000-01-26
Previous: CHROMATICS COLOR SCIENCES INTERNATIONAL INC, S-3/A, 2000-01-26
Next: ARVEST TRUST CO N A, 13F-HR/A, 2000-01-26



 UNITED STATES
	SECURITIES AND EXCHANGE COMMISSION
	WASHINGTON DC  20549

	FORM 13-F
	FORM 13F COVER PAGE
	REPORT OF THE CALENDAR YEAR OR QUARTER ENDED:
	12/31/99

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:
NAME:    ARVEST ASSET MANAGEMENT
ADDRESS:  P O BOX 1156
                   BARTLESVILLE OK  74005-1156

13F_FILE NUMBER 893879

THE INSTITUTION 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 INTERGRAL PARTS OF THIS"
FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:
NAME:    SHERYL SWAYNE
TITLE:     ASSISTANT VICE PRESIDENT
PHONE:  918-337-3497
"SIGNATURE, PLACE AND DATE OF SIGNING"
"     SHERYL SWAYNE            BARTLESVILLE, OK     1/6/2000"

REPORT TYPE   13-F

I AM SIGNING THIS REPORT AS REQUIRED BY THE
SECURITIES AND EXCHANGE ACT OF 1934

<PAGE>

FORM 13F SUMMARY PAGE
NUMBER OF OTHER INCLUDED MANAGERS:  0
FORM 13F INFO TABLE ENTRY TOTAL:  185
FORM 13F INFO TABLE VALUE TOTAL: 387421

<PAGE>


<TABLE>	   		<C>				<C>
			VALUE	SHARE	SH		INVST		----VOTING AUTH---
NAME OF ISSUER	-TITLE-	CUSIP	X$1000	PRN 	PR		DSCRN		SOLE	SHA+K185	NONE

AT&T	COM	001957109	6906	135910	SH		SOLE		135910
AT&T	COM	001957109	426	8385	SH		SHARE		8385
ABBOTT LABS	COM	002824100	754	20760	SH		SOLE		20760
ABBOTT LABS	COM	002824100	183	5050	SH		SHARE		5050
AEGON NV ORD AMER R	COM	007924103	290	3033	SH		SOLE		3033
ALLEGHNEY ENER	COM	017361106	3337	123875	SH		SOLE		123375	500
ALLEGHENY ENER	COM	017361106	116	4300	SH		SHARE		4300
ALLSTATE CORP	COM	020002101	3175	131944	SH		SOLE		131544	400
ALLSTATE CORP	COM	020002101	123	5125	SH		SHARE		4900	225
AMEREN CORP	COM	023608102	352	10756	SH		SOLE		10756
AMER HOME PROD	COM	026609107	338	8600	SH		SOLE		7800	800
AMER HOME PROD	COM	026609107	204	5200	SH		SHARE		1200		4000
AMGEN INC	COM	031162100	7927	131980	SH		SOLE		131980
AMGEN INC	COM	031162100	240	4000	SH		SHARE		4000
ATLANTIC RICHFIELD	COM	048825103	5121	59203	SH		SOLE		59203
ATLANTIC RICHFIELD	COM	048825103	156	1800	SH		SHARE		1800
BP AMOCO PLC	ADR	055622104	2361	39800	SH		SOLE		39800
BP AMOCO PLC	ADR	055622104	25	422	SH		SHARE				422
BAXTER INTERNATL 	COM	071813109	4199	66853	SH		SOLE		66853
BAXTER INTERNATL 	COM	071813109	126	2000	SH		SHARE		2000
BELL ATLANTIC CORP	COM	077853109	1604	26048	SH		SOLE		26048
BELL ATLANTIC CORP	COM	077853109	174	2826	SH		SHARE		2826
BELLSOUTH CORP	COM	079860102	2690	57471	SH		SOLE		57471
BELLSOUTH CORP	COM	079860102	409	8730	SH		SHARE		8730
BERKSHIRE HATHAWAY 	COM	084670108	281	5	SH		SOLE		5
BESTFOODS	COM	08658U101	219	4160	SH		SOLE		4160
BESTFOODS	COM	08658U101	15	280	SH		SHARE			280
BOEING COMPANY	COM	097023105	84	2018	SH		SOLE		2018
BOEING COMPANY	COM	097023105	191	4600	SH		SHARE		1000		3600
BRISTOL MYERS SQUIBB 	COM	110122108	876	13640	SH		SOLE		13640
BURLINGTON NTH SF	COM	12189T104	235	9705	SH		SOLE		9705
BURLINGTON NTH SF	COM	12189T104	15	600	SH		SHARE		600
CIGNA	COM	125509109	4139	51380	SH		SOLE		50780	600
CIGNA	COM	125509109	137	1700	SH		SHARE		1700
C&S WEST 	COM	152357109	216	10787	SH		SOLE		10787
CHASE MANHATTAN	COM	16161A108	4614	59394	SH		SOLE		59394
CHASE MANHATTAN	COM	16161A108	323	4160	SH		SHARE		4160
CHEVRON	COM	166751107	2671	30832	SH		SOLE		30832
CHEVRON	COM	166751107	104	1200	SH		SHARE		1200
CISCO SYSTEMS INC	COM	17275R102	155	1444	SH		SOLE		1444
CISCO SYSTEMS INC	COM	17275R102	103	960	SH		SHARE		960
CITIGROUP INC	COM	172967101	1148	20613	SH		SOLE		20613
CITIGROUP INC	COM	172967101	140	2512	SH		SHARE		2512
COASTAL CORP	COM	190441105	3945	111334	SH		SOLE		111334
COASTAL CORP	COM	190441105	99	2800	SH		SHARE		2800


</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission