SPEARS BENZAK SALOMON & FARRELL/NY
13F-HR, 2000-08-16
Previous: AMVESCAP PLC/LONDON/, 6-K, 2000-08-16
Next: MILLS CORP, 8-K, 2000-08-16



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:         Spears, Benzak, Salomon and Farrell (Division of Key Asset
              Management, Inc.)
Address:      45 Rockefeller Plaza
              New York, NY  10111

13F File Number:  28-3968

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 contaned 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:         Diane L. Wozniak
Title:        Assistant Vice President
Phone:        216-813-4794
Signature, Place, and Date of Signing:

      Diane L. Wozniak       Brooklyn, Ohio       August 14, 2000

Report Type (Check only one):
[X]         13F HOLDINGS REPORT.

[ ]         13F NOTICE.

[ ]         13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

Key Trust Company of Ohio, National Association

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

FORM 13F SUMMARY PAGE

   Report Summary:

   Number of Other Included Managers:  0

   Form 13F Information Table Entry Total:  247

   Form 13F Information Table Value Total:  $2,665,919,510

List of Other Included Managers:

No.   13F File Number      Name

None

<PAGE>
<TABLE>
<S>                            <C>                                           <C>
SBSF 13F REPORT
June 30 2000

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)

ALCOA INC                      COMMON  138171010              214             X                                           7,380
ABBOTT LABORATORIES            COMMON  002824100              536             X                                         11,750
ACACIA BANCORP / SERIES A      PREFER  783374PRA              200             X                                         20,000
ACE LTD                        COMMON  G0070K103           87,892   3,139     X                                    2,674,619
ADELPHIA COMMUNICATIONS        COMMON  684810500              811             X                                         16,300
ADV ENV RECYC WT 6/3/03        COMMON  AERTAWTS                18             X                                         10,799
ADV ENV RECYC WTS 4/07/03      COMMON  AERTAWTSB               33             X                                         12,300
ADV ENV RECYC WTS 2/05/03      COMMON  AERTAWTSC              282      10     X                                       104,001
ADV ENV RECYC WTS 10/30/02     COMMON  AERTAWTSD              106             X                                         39,000
ADV ENV RECYC SER X            COMMON  AERTAWTSX               90      10     X                                       104,372
AFFYMETRIX                     COMMON  00826T108            2,477             X                                         15,000
ASSOCIATES FIRST CAP CORP      COMMON  046008108           33,788   1,514     X                                    1,290,645
AGRIBRANDS INTERNATIONAL I     COMMON  00849R105            2,101             X                                         45,500
AMERICAN HOME PRODS CORP       COMMON  026609107           92,879   1,580     X                                    1,374,320
AMERICAN INTL GROUP INC        COMMON  026874107           52,843      44     X                                       439,526
APARTMENT INV 8% SERIES K      PREFER  03748R705              353             X                                         13,000
ALKERMES INC                   COMMON  01642T108              325             X                                           6,900
AMB PROPERTIES                 COMMON  00163T109            1,417             X                                         40,000
AMGEN INC                      COMMON  031162100            8,023      11     X                                       112,600
AMR CORP                       COMMON  001765106            6,831      25     X                                       242,600
AMERICAN SUPERCONDUCTOR CO     COMMON  030111108            1,944             X                                         40,300
AMERIVEST PROPERTIES INC.      COMMON  03071L101              234             X                                         53,500
AUTONATION INC                 COMMON  05329W102              892      12     X                                       120,254
AMERICA ON LINE  INC           COMMON  02364J104              980             X                                         18,000
ANADARKO PETROLEUM CORP        COMMON  032511107            3,089             X                                         44,026
ARDEN REALTY INC               COMMON  039793104              682             X                                         25,000


                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)

AGL RESOURCES  INC             COMMON  001204106            1,658      10     X                                       104,000
AVALON BAY CMNTYS INC.         COMMON  053484101            1,852             X                                         18,366
AVON PRODUCTS                  COMMON  054303102              926             X                                         19,602
AVATAR HOLDINGS INC            COMMON  053494100            9,161      39     X                                       393,275
AMERICAN EXPRESS CO            COMMON  025816109              274             X                                           4,650
ALZA CORP                      COMMON  022615108            1,939             X                                         32,800
BANK OF AMERICA CORP           COMMON  060505104              215             X                                           5,000
BAXTER INTL INC                COMMON  071813109              221             X                                           3,000
BANKATLANTIC BANCORP INC C     COMMON  065908501               41             X                                         10,845
BIO CHEM PHARMACEUTICAL        COMMON  09058T108            8,013      32     X                                       301,667
BRANDYWINE REALTY TRUST SB     COMMON  105368203              497             X                                         26,000
BECKMAN COULTER INC.           COMMON  075811109           54,129      92     X                                       777,877
BELL ATLANTIC CORP             COMMON  077853109            3,070             X                                         56,079
BIOGEN INC                     COMMON  090597105            2,460             X                                         38,132
BANK OF NEW YORK INC           COMMON  064057102            5,355      11     X                                       115,152
BELO (A.H.) CORP -COM SER      COMMON  080555105           10,715      61     X                                       600,300
BRISTOL MYERS SQUIBB CO        COMMON  110122108            1,149             X                                         19,620
BP AMOCO PLC SPONS ADR         COMMON  055622104           11,805      20     X                                       204,539
BURLINGTON RES INC             COMMON  122014103           71,866   1,878     X                                    1,580,067
BERKSHIRE HATHAWAY CLASS B     COMMON  084670207            2,260             X                                           1,284
ANHEUSER-BUSCH CO. INC         COMMON  035229103              690             X                                           9,153
BORG WARNER AUTOMOTIVE         COMMON  099724106           16,614      47     X                                       412,449
BOSTON PROPERTIES INC          COMMON  101121101            1,402             X                                         28,300
BEAZER HOME                    COMMON  07556Q105            2,558      14     X                                       140,177
CITIGROUP INC                  COMMON  172967101           22,313      37     X                                       351,451
CONAGRA INC.                   COMMON  205887102            1,489             X                                         77,505
CHUBB CORP                     COMMON  171232101            5,927             X                                         93,873
COMMERCE BANCORP INC. NJ       COMMON  200519106            8,644      18     X                                       187,911
CENDANT                        COMMON  151313103              140             X                                         10,000
CHIRON CORP                    COMMON  170040109            1,267             X                                         26,676

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)


C.I.T. GROUP INC-A             COMMON  125577106           74,342   4,574     X                                    3,872,071
COLGATE PALMOLIVE CO           COMMON  194162103              240             X                                           4,000
CLEVELAND CLIFFS INC           COMMON  185896107            1,213             X                                         47,000
MACK CALI REALTY               COMMON  554489104              694             X                                         23,000
COMERICA  INC                  COMMON  200340107              222             X                                           4,950
CHASE MANHATTAN CORP NEW       COMMON  16161A108            3,225             X                                         69,909
CHASE MANHATTAN BANK NEW S     PREFER  16161A835              324             X                                         13,000
COMCAST CORP CL A SPL          COMMON  200300200           22,059      54     X                                       527,765
CONOCO INC CL - B              COMMON  208251405           19,298      78     X                                       626,401
COLLAGENESIS CORP SENIOR S     COMMON  COLLAGEN               463      46     X                                       462,671
CAMPBELL SOUP CO               COMMON  134429109              350             X                                         10,000
CENTRAL PACIFIC MINERALS       COMMON  154762306               48             X                                         10,000
CORNERSTONE PROPERTIES INC     COMMON  21922H103              279             X                                         15,400
COMPAQ COMPUTER                COMMON  204493100            9,889      38     X                                       380,852
CISCO SYSTEMS INC              COMMON  17275R102            1,417             X                                         20,200
CORRECTIONAL SERVICES          COMMON  219921103               60             X                                         15,275
CABOT INDUSTRIAL TRUST         COMMON  127072106              230             X                                         11,700
CENTEX CORP.                   COMMON  152312104            9,158      38     X                                       373,000
COUSINS PROPERTIES             COMMON  222795106            9,016      23     X                                       226,475
CABLEVISION SYS CP CL A        COMMON  12686C109            1,840             X                                         27,115
CONVERGYS CORP.                COMMON  212485106              285             X                                           5,500
CYGNUS INC                     COMMON  232560102              527             X                                         37,000
DIACRIN INC.                   COMMON  25243N103              169             X                                         21,500
DU PONT E I DE NEMOURS & C     COMMON  263534109            1,938             X                                         44,302
DIGIRAD SERIVE D PFD           SIRCOM  DIGIRADXX              249      10     X                                       107,904
DLJ DIRECT                     COMMON  257661504              214             X                                         30,000
WALT DISNEY CO.                COMMON  254687106           15,518      39     X                                       394,025
DREAMLIFE INC                  COMMON  26152Q103              363      10     X                                       100,000
GENENTECH INC                  COMMON  368710406              430             X                                           2,500
DOW CHEMICAL CO                COMMON  26054310               344             X                                         11,400

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)

EASTMAN KODAK CO               COMMON  27746110               561             X                                           9,433
ELAN CORP PLC ADR              COMMON  284131208              880             X                                         18,160
ELXSI CORP                     COMMON  268613205              166             X                                         15,000
EMC CORP MASS                  COMMON  268648102            2,248             X                                         28,000
EMMIS BROADCASTING CL A        COMMON  291525103            2,105             X                                         50,884
ENRON CORP                     COMMON  293561106              232             X                                           3,600
ENZON INC                      COMMON  293904108            1,284             X                                         30,200
EOG RESOURCES INC              COMMON  26875P101           66,245   1,977     X                                    1,657,063
EQUITY OFFICE PROPERTIES       COMMON  294741103            7,738      28     X                                       243,052
EQUITY RESIDENTIAL PPTYS T     COMMON  29476L107              690             X                                         15,000
FORD MTR CO DEL                COMMON  345370100            1,849             X                                         43,000
FNB CORP                       COMMON  302520101              299             X                                         14,473
FIDELITY HOLDINGS INC          COMMON  31617J108               32             X                                         25,953
FEDEX CORPORATION              COMMON  31428X106           29,457      77     X                                       652,713
FLEXTRONICS INTL LTD.          COMMON  Y2573F102            4,720             X                                         68,722
FEDERAL NATL MORTGAGE ASSN     COMMON  313586109           63,143   1,209     X                                       991,789
SPRINT CORP                    COMMON  852061100           81,539   1,598     X                                    1,349,774
FEDERAL HOME LOAN              COMMON  313400301              279             X                                           5,290
FOREST LABORATORIES INC        COMMON  345838106              558             X                                           5,220
FIRSTAR CORPORATION            COMMON  33763V109              741             X                                         35,163
GLOBAL CROSSING LTD            COMMON  G3921A100              421             X                                         15,100
GABLES RESIDENTIAL TR          COMMON  362418105              773             X                                         20,000
GANNETT CO                     COMMON  364730101            5,246             X                                         87,705
GENERAL ELECTRIC CO            COMMON  369604103           45,013      84     X                                       837,367
GENZYME CORP                   COMMON  372917104           16,638      27     X                                       262,658
GILEAD SCIENCES INC            COMMON  375558103              249             X                                           3,500
GOLD BANC CORPORATION INC      COMMON  379907108              124             X                                         24,790
GLAMIS GOLD LTD                COMMON  376775102               19             X                                         10,000
CORNING INC                    COMMON  219350105              310             X                                              550
GENERAL MTRS CORP              COMMON  370442105            7,217      12     X                                       115,085

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)

GTE CORP                       COMMON  362320103           97,518   1,566     X                                    1,308,812
GENZYME TISSUE REPAIR          COMMON  372917401              332             X                                         63,330
HARBOR FLORIDA                 COMMON  411901101            1,044      10     X                                       100,000
HUTTIG BUILDING PRODUCTS I     COMMON  448451104              151             X                                         36,644
HOME DEPOT INC                 COMMON  437076102          166,412   3,332     X                                    3,332,400
HOUSEHOLD INTL                 COMMON  441815107              391             X                                           9,400
HIBERNIA CORP CL A             COMMON  428656102            1,661      15     X                                       152,768
HOME PROPERTIES OF NY INC      COMMON  437306103              600             X                                         20,000
H.J. HEINZ                     COMMON  423074103           56,703   1,296     X                                    1,075,105
HONEYWELL INC                  COMMON  438506107              251             X                                           2,200
HEWLETT PACKARD CO             COMMON  428236103            1,698             X                                         12,600
INTL BUSINESS MACHINES COR     COMMON  459200101           62,864      57     X                                       506,144
PACKAGED ICE INC.              COMMON  695148106               42             X                                         10,000
IDEXX LABS INC                 COMMON  45168D104              778             X                                         34,000
INCYTE PHARMACEUTICAL INC      COMMON  45337C102              370             X                                           4,500
INITIALS PLUS INC              COMMON  045719710                1             X                                         10,000
INTEL CORP                     COMMON  458140100           69,324      51     X                                       467,503
INTERPUBLIC GROUP COS INC      COMMON  460690100              592             X                                         13,757
IRON MOUNTAIN INC.             COMMON  462846106              248             X                                           7,300
MARK IV INDUSTRIES INC         COMMON  570387100            3,476      16     X                                       165,000
PENNEY  J.C.                   COMMON  708160106              550             X                                         29,572
JLG INDUSTRIES INC.            COMMON  466210101              202             X                                         17,000
JOHNSON & JOHNSON              COMMON  047816010            2,209             X                                         13,300
THE ST JOE COMPANY             COMMON  790148100              420             X                                         14,000
MORGAN J P & CO INC            COMMON  616880100            9,834             X                                         89,300
KEYCORP NEW                    COMMON  493267108           27,353   1,551     X                                    1,551,948
COCA COLA CO                   COMMON  019121610            1,355             X                                         23,596
LEGGETT & PLATT                COMMON  052466010              267             X                                         16,200
LENNAR CORP.                   COMMON  526057104            3,929      19     X                                       192,871

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)

AT&T CORP-LIBERTY MEDIA-A      COMMON  1957208                248             X                                           6,216
LORAL SPACE & COMMUNICATIO     COMMON  G56462107              241             X                                         34,800
*LONG TERM CREDIT BANK         SINMOT  LTCB                 1,186             X                                           1,186
LUCENT TECHNOLOGIES            COMMON  549463107              578             X                                           8,040
MASCO CORP.                    COMMON  574599106           22,014   1,218     X                                    1,029,086
MCDONALDS CORP                 COMMON  580135101              330             X                                           7,500
MEDIMMUNE INC                  COMMON  584699102              444             X                                           6,000
MELLON BANK CORP               COMMON  585509102              284             X                                           7,000
MILLENIUM PHARMACEUTICALS      COMMON  599902103              224             X                                           2,000
MUTUAL RISK MANAGEMENT LTD     COMMON  628351108            4,593      26     X                                       255,000
PHILIP MORRIS COS INC          COMMON  718154107            1,172             X                                         44,115
MERCK & CO INC                 COMMON  589331107            1,540             X                                         18,197
MICROSOFT CORP                 COMMON  594918104            2,713             X                                         27,074
MGIC INVESTMENT                COMMON  552848103            3,021             X                                         52,772
MORGAN STANLEY DEAN WITTER     COMMON  617446448            3,206             X                                         37,720
*NARRAGANSETT I, LP            SINMOT  NARRA                  755             X                                              750
NAVISTAR INTL                  COMMON  63934E108           63,986   2,059     X                                    1,748,036
NOBLE AFFILIATES               COMMON  654894104            9,305      24     X                                       249,786
NCR CORP NEW                   COMMON  62886E108           78,857   2,025     X                                    1,691,390
NEW HORIZONS WORLDWIDE INC     COMMON  645526104              744             X                                         31,700
NORTH FORK BANCORPORATION      COMMON  659424105            9,845      65     X                                       625,290
NSTAR                          COMMON  67019E107              513             X                                         12,600
NEWS CORP LTD                  COMMON  652487703              967             X                                         17,000
OMNICOM GROUP                  COMMON  681919106              347             X                                           3,900
ONTOGENY                       SIRCOM  ONTOGENY             1,610      14     X                                       142,330
OPTA FOOD INGREDIENTS          COMMON  68381N105               26             X                                         10,000
PITNEY-BOWES INC               COMMON  724479100              209             X                                           5,222
PROTEIN DESIGN LABS INC.       COMMON  74369L103              231             X                                           1,400
PREMIER FINANCIAL BANCORP      COMMON  74050M105               68             X                                         10,500
PFIZER INC                     COMMON  717081103           57,674   1,201     X                                    1,031,130

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)


PROTCTIVE LIFE                 COMMON  743674103              871             X                                         30,900
PROLOGIS                       COMMON  743410102            1,461             X                                         60,536
PRESIDENTIAL LIFE CORP.        COMMON  740884101              208             X                                         15,000
POTOMAC ELECTRIC POWER CO      COMMON  737679100              238             X                                           9,500
PPG INDUSTRIES INC             COMMON  693506107              412             X                                           9,308
POST PROPERTIES  INC           COMMON  737464107              440             X                                         10,000
POLAROID                       COMMON  731095105            2,828      15     X                                       129,233
PARTNER RE LTD                 COMMON  G6852T105           89,412   2,523     X                                    2,193,301
PATHWAYS GROUP INC             COMMON  70321D106               30             X                                         30,000
PACTIV CORP.                   COMMON  695257105            2,088      26     X                                       229,800
PRISON REALTY CORP             COMMON  74264N105              268             X                                         87,625
QWEST COMMUNICATIONS INTL      COMMON  749121109            4,341             X                                         85,160
QLT PHOTOTHERAPEUTICS INC      COMMON  746927102              232             X                                           3,000
ROYAL DUTCH PETE NY REGIST     COMMON  780257804              407             X                                           5,600
RADIAN GROUP INC               COMMON  750236101              883             X                                         17,064
EVEREST REINSURANCE GROUP      COMMON  G3223R108              789             X                                         24,000
RELIANT ENERGY INCORP          COMMON  75952J108            2,063             X                                         69,800
ROBERT HALF INT'L              COMMON  770323103           64,965   2,279     X                                    1,916,052
RENAISSANCERE HOLDINGS LTD     COMMON  G7496G103            3,964             X                                         91,005
ROBOTIC VISION SYSTEMS         COMMON  771074101              900             X                                         50,000
REUTERS GROUP PLC SPONS AD     COMMON  76132M102              260             X                                           2,599
SANGSTAT MEDICAL CORP          COMMON  801003104              549             X                                         19,000
SBC COMMUNICATIONS  INC        COMMON  78387G103           75,961   1,756     X                                    1,470,899
SMITHKLINE BEECHAM SPONS A     COMMON  832378301           14,999      23     X                                       230,086
SEIBELS BRUCE GROUP INC        COMMON  816006209               40             X                                         35,000
SECURITY CAPITAL GROUP - B     COMMON  81413P204            1,275             X                                         60,000
SCHERING PLOUGH CORP           COMMON  806605101            5,177      10     X                                         94,227
SHERWIN-WILLIAMS CO.           COMMON  824348106            1,877             X                                         76,800
SCHLUMBERGER LTD               COMMON  806857108              276             X                                           3,700

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)

SYNOPSYS INC.                  COMMON  871607107            3,991      11     X                                       102,728
SPIEKER PROPERTIES             COMMON  848497103              391             X                                           8,504
CHARLES E SMITH RESIDENTIA     COMMON  832197107            1,102             X                                         16,000
SUNTRUST BANKS INC             COMMON  867914100            1,919             X                                         42,000
SOUTHERN UNION COMPANY         COMMON  844030106           15,492      97     X                                       946,819
SOVEREIGN BANCORP INC          COMMON  845905108            1,067      15     X                                       149,701
AT&T CORP.                     COMMON  195710900           10,213      32     X                                       298,620
TASTY BAKING CO                COMMON  876553300              360             X                                         28,125
TENNECO AUTOMOTIVE INC         COMMON  880349105            2,201      41     X                                       380,100
TENET HEALTHCARE CORP.         COMMON  88033G100           63,772   2,361     X                                    1,986,150
TEEKAY SHIPPING CORPORATIO     COMMON  Y8564W103            3,412      10     X                                         90,100
TELLABS INC.                   COMMON  879664100            1,096             X                                         13,820
TRIBUNE CO NEW                 COMMON  896047107           44,559   1,273     X                                    1,051,231
TREGA BIOSCIENCES INC.         COMMON  894699107              154             X                                         48,300
SABRE HOLDINGS CORP            COMMON  785905100            5,106      17     X                                       169,635
TIME WARNER INC                COMMON  887315109            3,530             X                                         39,870
TEXACO INC                     COMMON  881694103           85,209   1,600     X                                    1,358,321
TXU CORPORATION                COMMON  873168108            3,220      10     X                                       108,851
TYCO INTERNATIONAL LTD         COMMON  902124106              493             X                                           9,000
TRIZECHAHN                     COMMON  896938107              324             X                                         18,100
UNOCAL CORP                    COMMON  915289102           63,887   1,928     X                                    1,586,122
UTILICORP UNITED               COMMON  918005109              239             X                                         12,000
ULTRAMAR DIAMOND SHAMROCK      COMMON  904000106              239             X                                           9,622
MEDIAONE GROUP INC COM         COMMON  58440J104           97,248   1,466     X                                    1,254,531
UNITEDHEALTH GROUP INC         COMMON  91324P102              587             X                                           5,846
UNION PAC RES                  COMMON  907834105            1,520             X                                         69,106
UNITED TECHNOLOGIES CORP       COMMON  913017100              254             X                                           4,320
VIACOM INC CL A                COMMON  925524100              499             X                                           6,900
VORNADO REALTY TRUST           COMMON  929042109              593             X                                         17,000
VODAFONE AIRTOUCH PLC-SP A     COMMON  92857T107            4,662      11     X                                       111,750

                               Title                Fair          Shares Investment Disc           Voting Authority
                               of      Cusip        Market        Princip    SOLE    SHARED OTHER      SOLE      SHARED   NONE
NAME OF ISSUER                 Class   Number       Value (X1000) Amount     (A)       (B)   (C)       (A)        (B)      (C)


WEBB (DEL) CORP.               COMMON  947423109              547             X                                         35,700
WORLDCOM INC                   COMMON  98157D106           64,521   1,406     X                                    1,218,880
WELLS FARGO & CO               COMMON  949746101            2,347             X                                         60,580
WASHINGTON GAS LT CO           COMMON  938837100            1,035             X                                         43,000
WASHINGTON MUTUAL INC          COMMON  939322103           74,091   2,565     X                                    2,130,633
WILLIAMS COS  INC              COMMON  969457100              293             X                                           7,030
WASTE MANAGEMENT INC DEL       COMMON  94106L109              380             X                                         20,015
WAL-MART STORES                COMMON  931142103            1,105             X                                         19,000
WESTWOOD ONE                   COMMON  961815107            6,433      18     X                                       188,500
WATSON PHARMACEUTICALS INC     COMMON  942683103              255             X                                           4,740
WASHINGTON POST CO CL B        COMMON  939640108            6,069             X                                         12,696
XL CAPITAL LTD                 COMMON  G98255105           55,365   1,022     X                                       850,654
EXXON MOBIL CORPORATION        COMMON  30231G102           16,112      20     X                                       196,810

                                                        2,763,482
</TABLE>


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