BEESE FULMER & PINCOE INC
13F-HR, 1999-04-29
Previous: CHELSEA GCA REALTY INC, DEF 14A, 1999-04-29
Next: PETROCORP INC, DEF 14A, 1999-04-29


                       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 umber:
This Amendment (Check only one.) : [  ] is a restatement.
                                   [  ] adds a new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Beese, Fulmer & Pincoe, Inc.
Address: 1150 United Bank Plaza
         220 Market Avenue South
         Canton, Ohio   44702

13F File Number:  28-3920

The institutional investment manager filing this report and the
person by whom it is signed herby 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:     Dennis Fulmer
Title:    Chairman
Phone:    330-454-6555
Signature, Place, and Date of Signing:

     Dennis Fulmer     Canton, Ohio    04/29/99


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.
<PAGE>
                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                    0

Form 13F Information Table Entry Total:             140

Form 13F Information Table Value Total:        $245,177



List of Other Included Managers:




<PAGE>
<TABLE>                         <C>                                  <C>
                                                      FORM 13F INFORMATION TABLE
                                                           VALUE     SHARES/    SH/ PUT/ INVSTMT   OTHER         VOTING AUTHORITY
    NAME OF ISSUER              TITLE OR CLASS   CUSIP     (x$1000)  PRN AMT    PRN CALL DSCRETN  MANAGERS     SOLE   SHARED   NONE
- - ------------------------------- -------------- ---------   --------  -------    --- ---- ------- ----------- ------- -------- -----
A T & T CORP LIBERTY MEDIA GROU COM            00195720        7792   148164     SH      SOLE                  4076          144088
A T & T CORPORATION             COM            00195710        3941    49383     SH      SOLE                  1007           48376
ABBOTT LABORATORIES             COM            00282410        3075    65696     SH      SOLE                  2200           63496
AFLAC INCORPORATED              COM            00105510         767    14090     SH      SOLE                                 14090
AIRTOUCH 4.25% CL C CONV PFD    CONV PFD CL C  00949T30         991     7369     SH      SOLE                                  7369
AIRTOUCH 6% CL B CONV PFD       CONV PFD CL B  00949T20        2348    29821     SH      SOLE                  1000           28821
ALLEGHENY TELEDYNE INCORPORATED COM            01741510        1714    90482     SH      SOLE                   500           89982
ALTERNATIVE LIVING SERVICES, IN COM            02145K10         380    19000     SH      SOLE                  1000           18000
AMBAC FINANCIAL GROUP, INC.     COM            02313910        1179    21840     SH      SOLE                  1000           20840
AMERICA ONLINE, INC.            COM            02364J10         228     1550     SH      SOLE                                  1550
AMERICAN EXPRESS COMPANY        COM            02581610         412     3500     SH      SOLE                                  3500
AMERICAN HOME PRODUCTS CORPORAT COM            02660910        1516    23232     SH      SOLE                   600           22632
AMERICAN INTERNATIONAL GROUP, I COM            02687410         537     4454     SH      SOLE                                  4454
AMERITECH CORPORATION           COM            03095410        1074    18640     SH      SOLE                  1200           17440
ARGONAUT GROUP, INC.            COM            04015710         446    17357     SH      SOLE                                 17357
ATLANTIC RICHFIELD COMPANY      COM            04882510         333     4548     SH      SOLE                                  4548
ATRIX LABORATORIES, INC.        COM            04962L10         745    66200     SH      SOLE                  2000           64200
AUTOMATIC DATA PROCESSING       COM            05301510         288     6950     SH      SOLE                                  6950
B P AMOCO PLC                   ADS            05562210         740     7324     SH      SOLE                                  7324
BANCFIRST OHIO CORP.            COM            05945010        1173    46900     SH      SOLE                  4000           42900
BANK ONE CORP (NEW)             COM            06423A10         738    13405     SH      SOLE                   162           13243
BANKAMERICA CORPORATION         COM            06605F10         247     3500     SH      SOLE                                  3500
BELL ATLANTIC CORPORATION       COM            07785310        1862    36024     SH      SOLE                   528           35496
BELLSOUTH CORPORATION           COM            07986010         200     5000     SH      SOLE                                  5000
BOB EVANS FARMS, INC.           COM            09676110         280    13977     SH      SOLE                                 13977
BRISTOL RETAIL SOLUTIONS, INC.  COM            11020210          43    40000     SH      SOLE                                 40000
BRISTOL-MYERS SQUIBB COMPANY    COM            11012210        3590    55980     SH      SOLE                                 55980
C F S B  BANCORPORATION         COM            12492710        1418    56726     SH      SOLE                  6158           50568
CATALINA MARKETING CORPORATION  COM            14886710        3828    44580     SH      SOLE                  1100           43480
CEDAR FAIR, L.P.                UNIT LTD PARTN 15018510        5069   201755     SH      SOLE                                201755
CELLULAR COMMUNICATIONS OF PUER COM            15116N10         256     9463     SH      SOLE                                  9463
CHEVRON CORPORATION             COM            16675110         264     2972     SH      SOLE                                  2972
CISCO SYSTEMS, INC.             COM            17275R10         466     4254     SH      SOLE                                  4254
COASTCAST CORPORATION           COM            19057T10         101    10600     SH      SOLE                                 10600
COCA-COLA COMPANY               COM            19121610        5174    84304     SH      SOLE                                 84304
COHOES BANCORP INC.             COM            19251310         132    12680     SH      SOLE                                 12680
COMCAST CORPORATION CL A SPECIA COM            20030020        5047    80196     SH      SOLE                  3794           76402
COMPAQ COMPUTER CORPORATION     COM            20449310         555    17500     SH      SOLE                   200           17300
CONEXANT SYSTEMS, INC.          COM            20714210         372    13424     SH      SOLE                                 13424
CONSOLIDATED NATURAL GAS COMPAN COM            20961510         577    11854     SH      SOLE                                 11854
CONSORCIO G GRUPO DINA S A DE   ADR            21030620           8    10000     SH      SOLE                                 10000
CORECOMM LIMITED                COM            G2422R10         388    10563     SH      SOLE                                 10563
CYTOGEN CORPORATION             COM            23282410          12    11500     SH      SOLE                                 11500
DATASCOPE CORPORATION           COM            23811310        2262    83795     SH      SOLE                  1650           82145
DELL COMPUTER CORPORATION       COM            24702510        1717    42000     SH      SOLE                                 42000
DIEBOLD, INC.                   COM            25365110        3200   133353     SH      SOLE                  4724          128629
DISNEY (WALT) PRODUCTIONS COMPA COM            25468710        5482   176126     SH      SOLE                  4500          171626
DUN & BRADSTREET CORPORATION (N COM            26483B10        1100    30874     SH      SOLE                  2100           28774
EAGLE FOOD CENTERS, INC.        COM            26951410          29    10000     SH      SOLE                                 10000
ECHOSTAR COMM PFD CUM CONV 6.75 CONV PREFERRED 27876230        1018     6190     SH      SOLE                   200            5990
ECHOSTAR COMMUNICATIONS CORP CL COM            27876210        5699    69825     SH      SOLE                  3100           66725
ELAN CORPORATION PLC ADR        COM            28413120        3357    48125     SH      SOLE                  1900           46225
EMERSON ELECTRIC CORPORATION    COM            29101110         799    15102     SH      SOLE                                 15102
EXCITE, INC.                    COM            30090410        3710    26500     SH      SOLE                   300           26200
EXXON CORPORATION               COM            30229010        3481    49330     SH      SOLE                   600           48730
FIFTH THIRD BANCORP             COM            31677310         344     5213     SH      SOLE                                  5213
FIRST UNION REAL ESTATE INVESTM COM            33740010          58    13361     SH      SOLE                                 13361
FIRSTAR CORPORATION             COM            33763V10         269     3009     SH      SOLE                                  3009
FIRSTMERIT CORPORATION          COM            33791510       22703   881667     SH      SOLE                 16246          865421
FLEET FINANCIAL GROUP           COM            33891510         301     8000     SH      SOLE                                  8000
G T E  CORPORATION              COM            36232010        2204    36434     SH      SOLE                   650           35784
GANNETT CORPORATION             COM            36473010         224     3550     SH      SOLE                                  3550
GENERAL ELECTRIC COMPANY        COM            36960410        4113    37180     SH      SOLE                   100           37080
GENERAL MILLS, INC.             COM            37033410         801    10595     SH      SOLE                                 10595
GENERAL MOTORS CORPORATION      COM            37044210        2677    30768     SH      SOLE                  1250           29518
GEOTEK COMMUNICATIONS INC.      COM            37365410                25000     SH      SOLE                                 25000
GILLETTE COMPANY                COM            37576610        6158   103596     SH      SOLE                  4370           99226
GOLDEN ST GOODWILL LITIGATION W WARRANTS       38119713         298    61550     SH      SOLE                  2800           58750
GOLDEN STATE BANCORP INC.       COM            38119710        1842    82787     SH      SOLE                  2516           80271
HERSHEY FOODS CORPORATION       COM            42786610        3039    54205     SH      SOLE                  2700           51505
HUGHES ELECTRONICS CORP (GM)    COM            37044250         406     8050     SH      SOLE                   250            7800
I M S  HEALTH, INCORPORATED     COM            44993410        1777    53632     SH      SOLE                  2500           51132
IKON OFFICE SOLUTIONS, INC.     COM            45171310         141    11000     SH      SOLE                                 11000
INTEL CORPORATION               COM            45814010         247     2074     SH      SOLE                                  2074
INTERACTIVE ENTERTAINMENT LTD   COM            G4802P10           1    10000     SH      SOLE                                 10000
INTERNATIONAL BUSINESS MACHINES COM            45920010        1076     6068     SH      SOLE                   100            5968
INTERNATIONAL FLAVORS & FRAGRAN COM            45950610        1213    32285     SH      SOLE                  1320           30965
JOHNSON & JOHNSON COMPANY       COM            47816010        6920    74011     SH      SOLE                  2750           71261
KEYCORP                         COM            49326710        7918   261201     SH      SOLE                  1200          260001
LOEWS CORPORATION               COM            54042410         336     4500     SH      SOLE                                  4500
LUCENT TECHNOLOGIES, INC.       COM            54946310         282     2615     SH      SOLE                   150            2465
MARKEL CORPORATION              COM            57053510         967     5366     SH      SOLE                                  5366
MAY DEPARTMENT STORES COMPANY   COM            57777810        2183    55795     SH      SOLE                  1125           54670
MAYTAG CORPORATION              COM            57859210         458     7580     SH      SOLE                                  7580
MCDONALD'S CORPORATION          COM            58013510         208     4600     SH      SOLE                                  4600
MEDIA GENERAL CLASS A           COM            58440410        2247    48320     SH      SOLE                  1700           46620
MEDIAONE GROUP, INC.            COM            58440J10         223     3508     SH      SOLE                                  3508
MELLON BANK CORPORATION         COM            58550910         783    11125     SH      SOLE                   350           10775
MERCK & COMPANY, INC.           COM            58933110        3559    44424     SH      SOLE                   400           44024
MICROSOFT CORPORATION           COM            59491810        1695    18916     SH      SOLE                   740           18176
MILLICOM INTERNATIONAL CELLULAR COM            L6388F10        1215    46748     SH      SOLE                  1010           45738
MOBIL CORPORATION               COM            60705910        2720    30910     SH      SOLE                  1200           29710
MONSANTO COMPANY                COM            61166210         368     8000     SH      SOLE                                  8000
MUTUAL RISK MANAGEMENT LTD.     COM            62835110        2926    76008     SH      SOLE                  5398           70610
NATIONAL BANCSHARES CORP., ORRV COM            63259210        4440   153112     SH      SOLE                 15454          137658
NATIONAL CITY CORPORATION       COM            63540510        1169    17611     SH      SOLE                   200           17411
NATIONAL GOLF PROPERTIES, INC.  COM            63623G10         680    30890     SH      SOLE                  2250           28640
NEWS CORP LIMITED ADS           ADS            65248770         551    18667     SH      SOLE                                 18667
NEWS CORP PREFERRED LIMITED VOT PFD ADS        65248780         901    32764     SH      SOLE                                 32764
NORFOLK SOUTHERN CORPORATION    COM            65584410         237     9000     SH      SOLE                                  9000
OGDEN CORPORATION               COM            67634610         937    38923     SH      SOLE                  2250           36673
OMNICARE, INC.                  COM            68190410         456    23931     SH      SOLE                                 23931
P N C  BANK CORP                COM            69347510        2309    41554     SH      SOLE                   100           41454
PAGING NETWORK, INC.            COM            69554210         411    87695     SH      SOLE                  4200           83495
PEOPLES BANCORP, INCORPORATED   COM            70978910         259    11706     SH      SOLE                  2196            9510
PEPSICO, INC.                   COM            71344810        5598   142840     SH      SOLE                  5500          137340
PFIZER, INC.                    COM            71708110        1058     7625     SH      SOLE                                  7625
PHARMACIA UPJOHN                COM            71694110        2420    38796     SH      SOLE                  2015           36781
PHILIP MORRIS COMPANIES         COM            71815410        1083    30785     SH      SOLE                                 30785
PITNEY BOWES, INC.              COM            72447910        1137    17841     SH      SOLE                                 17841
PROCTER & GAMBLE COMPANY        COM            74271810         506     5168     SH      SOLE                                  5168
PROGRESS SOFTWARE CORPORATION   COM            74331210        1918    56199     SH      SOLE                  2250           53949
QUAKER OATS COMPANY             COM            74740210        1029    16534     SH      SOLE                                 16534
R T I  INTERNATIONAL METALS, IN COM            74973W10         146    14600     SH      SOLE                                 14600
RELIANT ENERGY, INC.            COM            75952J10         702    26936     SH      SOLE                   500           26436
ROCKWELL INTERNATIONAL CORPORAT COM            77390310        1006    23700     SH      SOLE                                 23700
ROGERS COMMUNICATIONS, INC. CLA COM            77510820        2189   120761     SH      SOLE                   800          119961
S B C COMMUNICATIONS            COM            78387G10         886    18767     SH      SOLE                  1366           17401
SCHERING-PLOUGH CORPORATION     COM            80660510         761    13780     SH      SOLE                   200           13580
SCHLUMBERGER LIMITED            COM            80685710        2893    48066     SH      SOLE                  1500           46566
SCRIPPS (E.W.) CORPORATION      COM            81103910        2753    62225     SH      SOLE                  2200           60025
SHELL TRANSPORT AND TRADING CO. COM            82270360         600    14776     SH      SOLE                                 14776
SHERWIN-WILLIAMS COMPANY        COM            82434810         900    31993     SH      SOLE                                 31993
SKY FINANCIAL GROUP, INC.       COM            83080P10        2682    99093     SH      SOLE                  3356           95737
SPRINT CORPORATION (FON GROUP)  COM            85206110        3480    35467     SH      SOLE                  2368           33099
SPRINT CORPORATION PCS GROUP    COM            85206150         804    18151     SH      SOLE                  1433           16718
ST. JUDE MEDICAL INCORPORATED   COM            79084910         651    26702     SH      SOLE                  2000           24702
SUN MICROSYSTEMS, INC.          COM            86681010         498     3980     SH      SOLE                                  3980
T R W, INC.                     COM            87264910         391     8600     SH      SOLE                                  8600
TEXACO, INCORPORATED            COM            88169410        1854    32670     SH      SOLE                  2050           30620
TEXAS INSTRUMENTS INCORPORATED  COM            88250810         238     2400     SH      SOLE                                  2400
THE TIMKEN COMPANY              COM            88738910        3256   200384     SH      SOLE                  6500          193884
THORNBURG MORTGAGE ASSET CORPOR COM            88521810         153    17750     SH      SOLE                  1900           15850
TIME WARNER, INC.               COM            88731510         510     7200     SH      SOLE                                  7200
TYCO INTERNATIONAL, LTD.        COM            90212410        5047    70337     SH      SOLE                  2424           67913
U N B  CORPORATION              COM            90305610        4892   238615     SH      SOLE                  8400          230215
UNIPRIME CAPITAL ACCEPTANCE, IN COM            90915110          10    13500     SH      SOLE                                 13500
UNISOURCE WORLDWIDE, INC.       COM            90920810          93    13000     SH      SOLE                                 13000
UNITRIN, INC.                   COM            91327510        2922    93514     SH      SOLE                                 93514
WARNER-LAMBERT COMPANY          COM            93448810         701    10582     SH      SOLE                                 10582

</TABLE>


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