BEACON FIDUCIARY ADVISORS INC /MA
13F-HR, 1999-05-20
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[DESCRIPTION]           FORM 13F
                                                 UNITED STATES
                                       SECURITIES AND EXCHANGE COMMISSION
                                            Washington, D.C.  20549
                                                    FORM 13F
                                              FORM 13F COVER PAGE
 
Report for the Calendar Year or Quarter Ended: 03/31/1999
 
Check here if Amendment       [ ]             Amendment Number:
 
This Amendment                [ ]             is a restatement
                              [ ]             adds new holding entries
 
Institutional Investment Manager Filing this Report:
 
Name:       BEACON FIDUCIARY ADVISORS INC
Address:    1330 BOYLSTON STREET
            CHESTNUT HILL, MA 02467
 
 
13F File Number: 28-04080
 
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 intergral parts of
this form.
 
Person Signing this Report on Behalf of Reporting Manager:
 
Name: JEAN O'ROURKE
Title: SR.V.P.
Phone: 617-277-0884
Signature, Place, and Date of Signing:
 
JEAN O'ROURKE    BROOKLINE, MASSACHUSETTS    05/17/1999
 
Report Type     (Check only one)
                [X]            13F HOLDINGS REPORT
                [ ]            13F NOTICE
                [ ]            13F COMBINATION REPORT
 
 
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:           169
Form 13F Information Table Value Total:           $ 279,901
 
List of Other Included Managers:
 
NONE
 
<TABLE>                                            <C>                         <C>
FORM 13F INFORMATION TABLE
                                   TITLE                   VALUE        SHARES/      SH/ PUT/
  NAME OF ISSUER                   OF CLASS        CUSIP    (X $1000)    PRN AMOUNT   PRN CALL
  SECURITY NAME                    SUBCLASS
 
  AT&T CORP                        COMMON STOCK    001957109         626         7840 SH
  AT&T CORP                        COMMON STOCK    001957208         287         5465 SH
  ABACUS DIRECT CORP               COMMON STOCK    002553105         345         4204 SH
  ABBOTT LABORATORIES              COMMON STOCK    002824100         322         6886 SH
  AMERICA ONLINE INC               COMMON STOCK    02364J104         632         4300 SH
  AMERICAN EXPRESS                 COMMON STOCK    025816109         275         2333 SH
  AMERICAN INTERNATIONAL GROUP     COMMON STOCK    026874107       11249        93254 SH
  AMERICAN INTERNATIONAL GROUP     COMMON STOCK    026874107         541         4484 SH
  AMERITECH CORP                   COMMON STOCK    030954101         320         5557 SH
  ANHEUSER-BUSCH INCORPORATED      COMMON STOCK    035229103         151         1986 SH
  ANHEUSER-BUSCH INCORPORATED      COMMON STOCK    035229103         305         4000 SH
  ASCEND COMMUNICATIONS            COMMON STOCK    043491109        1026        12260 SH
  ASIA PACIFIC FUND INC            MUTUAL FUNDS    044901106          72        10166 SH
  AU BON PAIN INC                  COMMON STOCK    050103100          57        10900 SH
  BP AMOCO PLC                     COMMON STOCK    055622104         664         6576 SH
  BP AMOCO PLC                     COMMON STOCK    055622104         334         3308 SH
  BMC SOFTWARE INC                 COMMON STOCK    055921100        2834        76473 SH
  BMC SOFTWARE INC                 COMMON STOCK    055921100         117         3160 SH
  BAUSCH & LOMB INC                COMMON STOCK    071707103         293         4500 SH
  BELL ATLANTIC CORP               COMMON STOCK    077853109         429         8296 SH
  BELLSOUTH CORPORATION            COMMON STOCK    079860102         335         8358 SH
  BENTON OIL & GAS CO              COMMON STOCK    083288100          77        21200 SH
  BERKSHIRE ENERGY RESOURCES       COMMON STOCK    084644103         605        31650 SH
  BERKSHIRE HATHAWAY INC           COMMON STOCK    084670207         245          104 SH
  BESTFOODS                        COMMON STOCK    08658U101        3611        76829 SH
  BESTFOODS                        COMMON STOCK    08658U101         144         3070 SH
  BIOGEN INC                       COMMON STOCK    090597105        2776        24280 SH
  BIOGEN INC                       COMMON STOCK    090597105         163         1430 SH
  BOSTON PRIVATE FINANCIAL HLDGS   COMMON STOCK    101119105          77        10500 SH
  BRISTOL MYERS SQUIBB CO          COMMON STOCK    110122108        1447        22560 SH
  BRISTOL MYERS SQUIBB CO          COMMON STOCK    110122108         577         9000 SH
  BROOKLINE BANCORP INC            COMMON STOCK    113739106         165        14500 SH
  CBS CORP                         COMMON STOCK    12490K107         753        18450 SH
  CVS CORPORATION                  COMMON STOCK    126650100        7777       163729 SH
  CVS CORPORATION                  COMMON STOCK    126650100         345         7265 SH
  CHEVRON CORP                     COMMON STOCK    166751107         225         2537 SH
  CIENA CORPORATION                COMMON STOCK    171779101        1210        53773 SH
  CISCO SYSTEMS INC                COMMON STOCK    17275R102       12566       114696 SH
  CISCO SYSTEMS INC                COMMON STOCK    17275R102         546         4988 SH
  CITIGROUP INC                    COMMON STOCK    172967101        4937        77293 SH
  CITIGROUP INC                    COMMON STOCK    172967101         205         3210 SH
  COCA COLA COMPANY                COMMON STOCK    191216100        1614        26295 SH
  COMCAST CORP                     COMMON STOCK    200300200         236         3750 SH
  COMPANIE GENERALE DE GEOPHYSIQUE COMMON STOCK    204386106          86        11000 SH
  CONCORD COMMUNICATIONS INC       COMMON STOCK    206186108        1264        22183 SH
  CORPORATE EXPRESS INC            COMMON STOCK    219888104         219        42143 SH
  DISNEY (WALT) CO                 COMMON STOCK    254687106        4657       149608 SH
  DISNEY (WALT) CO                 COMMON STOCK    254687106         188         6035 SH
  E I DUPONT DE NEMOURS & CO       COMMON STOCK    263534109        5106        87934 SH
  E I DUPONT DE NEMOURS & CO       COMMON STOCK    263534109         215         3705 SH
  EMC CORPORATION                  COMMON STOCK    268648102       11637        91089 SH
  EMC CORPORATION                  COMMON STOCK    268648102         586         4590 SH
  EASTERN ENTERPRISES              COMMON STOCK    27637F100         863        23733 SH
  EATON VANCE CORP                 COMMON STOCK    278265103         463        23000 SH
  AMERICAN FUNDS                   MUTUAL FUNDS    298706102         368        12180 SH
  CYTOMETRICS INC                  PREFERRED STOCK 299999987         189        13500 SH
  CYTOMETRICS INC                  PREFERRED STOCK 299999995        1050        75000 SH
  CYTOMETRICS INC                  PREFERRED STOCK 299999995         630        45000 SH
  EXXON INC                        COMMON STOCK    302290101        2909        41226 SH
  EXXON INC                        COMMON STOCK    302290101         509         7220 SH
  FANNIE MAE                       COMMON STOCK    313586109        7986       115326 SH
  FANNIE MAE                       COMMON STOCK    313586109         372         5365 SH
  FIRST UNION CORP                 COMMON STOCK    337358105        6977       130565 SH
  FIRST UNION CORP                 COMMON STOCK    337358105         319         5975 SH
  FLEET FINANCIAL GROUP INC        COMMON STOCK    338915101         298         7932 SH
  FRANCE GROWTH FUND INC           MUTUAL FUNDS    35177K108         136        10000 SH
  FREMONT GENERAL CORP             COMMON STOCK    357288109         547        28670 SH
  FULTON FINANCIAL CORP            COMMON STOCK    360271100        1055        45987 SH
  GALILEO INTERNATIONAL INC        COMMON STOCK    363547100         223         4600 SH
  GENERAL ELECTRIC COMPANY         COMMON STOCK    369604103       15820       143010 SH
  GENERAL ELECTRIC COMPANY         COMMON STOCK    369604103         536         4845 SH
  GENERAL MILLS INC                COMMON STOCK    370334104         230         3050 SH
  GILLETTE CO                      COMMON STOCK    375766102         403         6776 SH
  GILLETTE CO                      COMMON STOCK    375766102        3566        59998 SH
  GLOBAL MARINE INC - NEW          COMMON STOCK    379352404         248        21100 SH
  HSBC HOLDINGS PLC NEW SPNSRD ADR COMMON STOCK    404280307         284          900 SH
  ION SIGNATURE TECH INC           COMMON STOCK    404751984           0        10000 SH
  ION SIGNATURE TECH INC           SUNDRY ASSETS   404751992          35        70000 PRN
  HALLIBURTON COMPANY              COMMON STOCK    406216101         349         9064 SH
  HALLIBURTON COMPANY              COMMON STOCK    406216101          69         1800 SH
  HELMERICH & PAYNE INC            COMMON STOCK    423452101         287        12664 SH
  HERSHEY FOODS CORP               COMMON STOCK    427866108         454         8100 SH
  HEWLETT - PACKARD COMPANY        COMMON STOCK    428236103         836        12333 SH
  HOME DEPOT INC                   COMMON STOCK    437076102        8293       133223 SH
  HOME DEPOT INC                   COMMON STOCK    437076102         359         5760 SH
  HYAL PHARMACEUTICAL CORP         COMMON STOCK    44854D106           6        18500 SH
  ILLINOIS TOOL WORKS INC          COMMON STOCK    452308109         337         5450 SH
  INGERSOLL-RAND                   COMMON STOCK    456866102         231         4650 SH
  INTEL CORPORATION                COMMON STOCK    458140100         676         5690 SH
  I B M CORPORATION                COMMON STOCK    459200101         290         1637 SH
  INVESTORS FINL SERVICES CORP     COMMON STOCK    461915100         535        18622 SH
  JOHNSON & JOHNSON                COMMON STOCK    478160104        2338        25003 SH
  JOHNSON & JOHNSON                COMMON STOCK    478160104         690         7375 SH
  LILLY/ELI/ & CO                  COMMON STOCK    532457108         959        11304 SH
  LILLY/ELI/ & CO                  COMMON STOCK    532457108         407         4800 SH
  LUCENT TECHNOLOGIES              COMMON STOCK    549463107        2554        23647 SH
  MCI WORLDCOM INC                 COMMON STOCK    55268B106        9756       110160 SH
  MCI WORLDCOM INC                 COMMON STOCK    55268B106         387         4375 SH
  MAGAININ PHARMACEUTICALS INC     COMMON STOCK    559036108          16        10000 SH
  MANPOWER INC WIS                 COMMON STOCK    56418H100        1169        50000 SH
  MCDONALDS CORPORATION            COMMON STOCK    580135101         216         4766 SH
  MCKESSON HBOC INC                COMMON STOCK    58155Q103        5828        88296 SH
  MCKESSON HBOC INC                COMMON STOCK    58155Q103         260         3939 SH
  MEDTRONIC INC                    COMMON STOCK    585055106         255         3550 SH
  MERCK AND CO INC                 COMMON STOCK    589331107        9856       123008 SH
  MERCK AND CO INC                 COMMON STOCK    589331107         945        11790 SH
  MICROSOFT CORP                   COMMON STOCK    594918104         697         7780 SH
  MINNESOTA MINING & MFTG          COMMON STOCK    604059105         248         3507 SH
  MINNESOTA MINING & MFTG          COMMON STOCK    604059105          76         1075 SH
  MOBIL CORPORATION                COMMON STOCK    607059102         578         6568 SH
  MOBIL CORPORATION                COMMON STOCK    607059102         373         4240 SH
  MONSANTO COMPANY                 COMMON STOCK    611662107         215         4670 SH
  J P MORGAN & COMPANY             COMMON STOCK    616880100         241         1952 SH
  MOTOROLA INC                     COMMON STOCK    620076109         347         4734 SH
  NAC RE CORP                      COMMON STOCK    628907107         489         9100 SH
  NETI TECHNOLOGIES INC            COMMON STOCK    62909N101           0        23000 SH
  NAT AUSTRALIA BANK               PREFERRED STOCK 632525309         235         7500 SH
  NETWORK ASSOCIATES INC           COMMON STOCK    640938106        3301       107569 SH
  NETWORK ASSOCIATES INC           COMMON STOCK    640938106         138         4482 SH
  NESTLE SA SPONSORED ADR          COMMON STOCK    641069406         764         8653 SH
  NOBLE DRILLING CORP              COMMON STOCK    655042109         198        11419 SH
  NOVARTIS AG SPONSORED ADR        COMMON STOCK    66987V109         837        10600 SH
  NOVELL INC                       COMMON STOCK    670006105        3126       124098 SH
  NOVELL INC                       COMMON STOCK    670006105         125         4950 SH
  ORACLE CORPORATION               COMMON STOCK    68389X105        7130       270343 SH
  ORACLE CORPORATION               COMMON STOCK    68389X105         326        12366 SH
  ORGANOGENESIS INC                COMMON STOCK    685906109        3508       303400 SH
  PEPSICO INC                      COMMON STOCK    713448108        8327       212489 SH
  PEPSICO INC                      COMMON STOCK    713448108         369         9420 SH
  PFIZER INC                       COMMON STOCK    717081103        1832        13205 SH
  POTASH CORP OF SASKATCHEWAN      COMMON STOCK    73755L107        2197        41069 SH
  POTASH CORP OF SASKATCHEWAN      COMMON STOCK    73755L107          92         1711 SH
  PROCTER & GAMBLE CO              COMMON STOCK    742718109        6919        70643 SH
  PROCTER & GAMBLE CO              COMMON STOCK    742718109         298         3047 SH
  QWEST COMMUNICATION INT'L        COMMON STOCK    749121109        9033       125300 SH
  QWEST COMMUNICATION INT'L        COMMON STOCK    749121109         428         5938 SH
  ROCHE HOLDING LTD ADR            COMMON STOCK    771195203         507         4000 SH
  ROHM & HAAS CO                   COMMON STOCK    775371107         269         8004 SH
  ROYAL DUTCH PETROLEUM            COMMON STOCK    780257804        8806       169338 SH
  ROYAL DUTCH PETROLEUM            COMMON STOCK    780257804         167         3205 SH
  SBC COMMUNICATIONS INC           COMMON STOCK    78387G103         263         5584 SH
  SCHERING-PLOUGH CORPORATION      COMMON STOCK    806605101        5559       100616 SH
  SCHERING-PLOUGH CORPORATION      COMMON STOCK    806605101         251         4550 SH
  SCHLUMBERGER LTD                 COMMON STOCK    806857108        4601        76452 SH
  SCHLUMBERGER LTD                 COMMON STOCK    806857108         201         3345 SH
  SEPRACOR INC                     COMMON STOCK    817315104        1021         9100 SH
  SMITH INTERNATIONAL INC          COMMON STOCK    832110100         200         5000 SH
  SOUTHERN COMPANY                 COMMON STOCK    842587107         240        10303 SH
  STAPLES INC                      COMMON STOCK    855030102        4666       141938 SH
  STAPLES INC                      COMMON STOCK    855030102         175         5333 SH
  SUMMIT BANCORP                   COMMON STOCK    866005101         853        21865 SH
  SUNRISE ASSISTED LIVING          COMMON STOCK    86768K106        3986        87484 SH
  SUNRISE ASSISTED LIVING          COMMON STOCK    86768K106         178         3900 SH
  SWISS REINSURANCE CO ADR         COMMON STOCK    870887205         546         5000 SH
  TEXACO INC                       COMMON STOCK    881694103         252         4448 SH
  TIME WARNER INC                  COMMON STOCK    887315109         331         4680 SH
  TRENWICK GROUP                   COMMON STOCK    895290104         253         9000 SH
  UNUM CORP                        COMMON STOCK    903192102         325         6832 SH
  UNION PACIFIC CORP               COMMON STOCK    907818108         310         5792 SH
  UNION PACIFIC CORP               COMMON STOCK    907818108          53         1000 SH
  UNITED TECHNOLOGIES CORP         COMMON STOCK    913017109        8097        59784 SH
  UNITED TECHNOLOGIES CORP         COMMON STOCK    913017109         337         2490 SH
  VANGUARD INDEX TRUST             MUTUAL FUNDS    922908108         675         5681 SH
  WAL-MART STORES INC              COMMON STOCK    931142103         440         4775 SH
  WARNER LAMBERT CO                COMMON STOCK    934488107         268         4051 SH
  WARNER LAMBERT CO                COMMON STOCK    934488107          86         1300 SH
  WATSON PHARMACEUTICALS INC       COMMON STOCK    942683103        3130        70927 SH
  WATSON PHARMACEUTICALS INC       COMMON STOCK    942683103         157         3550 SH
  ACE LIMITED                      COMMON STOCK    G0070K103         404        12950 SH
 
  NAME OF ISSUER                  INVSTMT OTHER         VOTING AUTHORITY
  SECURITY NAME                   DISCRTN MANAGERS      SOLE         SHARED       NONE
 
  AT&T CORP                       SOLE                                            7840
  AT&T CORP                       SOLE                                            5465
  ABACUS DIRECT CORP              SOLE                                            4204
  ABBOTT LABORATORIES             SOLE                                            6886
  AMERICA ONLINE INC              SOLE                                            4300
  AMERICAN EXPRESS                SOLE                                            2333
  AMERICAN INTERNATIONAL GROUP    SOLE                                            93254
  AMERICAN INTERNATIONAL GROUP    DEFINED                                         4484
  AMERITECH CORP                  SOLE                                            5557
  ANHEUSER-BUSCH INCORPORATED     SOLE                                            1986
  ANHEUSER-BUSCH INCORPORATED     DEFINED                                         4000
  ASCEND COMMUNICATIONS           SOLE                                            12260
  ASIA PACIFIC FUND INC           SOLE                                            10166
  AU BON PAIN INC                 SOLE                                            10900
  BP AMOCO PLC                    SOLE                                            6576
  BP AMOCO PLC                    DEFINED                                         3308
  BMC SOFTWARE INC                SOLE                                            76473
  BMC SOFTWARE INC                DEFINED                                         3160
  BAUSCH & LOMB INC               SOLE                                            4500
  BELL ATLANTIC CORP              SOLE                                            8296
  BELLSOUTH CORPORATION           SOLE                                            8358
  BENTON OIL & GAS CO             SOLE                                            21200
  BERKSHIRE ENERGY RESOURCES      SOLE                                            31650
  BERKSHIRE HATHAWAY INC          SOLE                                            104
  BESTFOODS                       SOLE                                            76829
  BESTFOODS                       DEFINED                                         3070
  BIOGEN INC                      SOLE                                            24280
  BIOGEN INC                      DEFINED                                         1430
  BOSTON PRIVATE FINANCIAL HLDGS  SOLE                                            10500
  BRISTOL MYERS SQUIBB CO         SOLE                                            22560
  BRISTOL MYERS SQUIBB CO         DEFINED                                         9000
  BROOKLINE BANCORP INC           SOLE                                            14500
  CBS CORP                        SOLE                                            18450
  CVS CORPORATION                 SOLE                                            163729
  CVS CORPORATION                 DEFINED                                         7265
  CHEVRON CORP                    SOLE                                            2537
  CIENA CORPORATION               SOLE                                            53773
  CISCO SYSTEMS INC               SOLE                                            114696
  CISCO SYSTEMS INC               DEFINED                                         4988
  CITIGROUP INC                   SOLE                                            77293
  CITIGROUP INC                   DEFINED                                         3210
  COCA COLA COMPANY               SOLE                                            26295
  COMCAST CORP                    SOLE                                            3750
  COMPANIE GENERALE DE GEOPHYSIQUESOLE                                            11000
  CONCORD COMMUNICATIONS INC      SOLE                                            22183
  CORPORATE EXPRESS INC           SOLE                                            42143
  DISNEY (WALT) CO                SOLE                                            149608
  DISNEY (WALT) CO                DEFINED                                         6035
  E I DUPONT DE NEMOURS & CO      SOLE                                            87934
  E I DUPONT DE NEMOURS & CO      DEFINED                                         3705
  EMC CORPORATION                 SOLE                                            91089
  EMC CORPORATION                 DEFINED                                         4590
  EASTERN ENTERPRISES             SOLE                                            23733
  EATON VANCE CORP                SOLE                                            23000
  AMERICAN FUNDS                  SOLE                                            12180
  CYTOMETRICS INC                 SOLE                                            13500
  CYTOMETRICS INC                 SOLE                                            75000
  CYTOMETRICS INC                 DEFINED                                         45000
  EXXON INC                       SOLE                                            41226
  EXXON INC                       DEFINED                                         7220
  FANNIE MAE                      SOLE                                            115326
  FANNIE MAE                      DEFINED                                         5365
  FIRST UNION CORP                SOLE                                            130565
  FIRST UNION CORP                DEFINED                                         5975
  FLEET FINANCIAL GROUP INC       SOLE                                            7932
  FRANCE GROWTH FUND INC          SOLE                                            10000
  FREMONT GENERAL CORP            SOLE                                            28670
  FULTON FINANCIAL CORP           SOLE                                            45987
  GALILEO INTERNATIONAL INC       SOLE                                            4600
  GENERAL ELECTRIC COMPANY        SOLE                                            143010
  GENERAL ELECTRIC COMPANY        DEFINED                                         4845
  GENERAL MILLS INC               SOLE                                            3050
  GILLETTE CO                     SOLE                                            6776
  GILLETTE CO                     DEFINED                                         59998
  GLOBAL MARINE INC - NEW         SOLE                                            21100
  HSBC HOLDINGS PLC NEW SPNSRD ADRSOLE                                            900
  ION SIGNATURE TECH INC          SOLE                                            10000
  ION SIGNATURE TECH INC          SOLE                                            70000
  HALLIBURTON COMPANY             SOLE                                            9064
  HALLIBURTON COMPANY             DEFINED                                         1800
  HELMERICH & PAYNE INC           SOLE                                            12664
  HERSHEY FOODS CORP              SOLE                                            8100
  HEWLETT - PACKARD COMPANY       SOLE                                            12333
  HOME DEPOT INC                  SOLE                                            133223
  HOME DEPOT INC                  DEFINED                                         5760
  HYAL PHARMACEUTICAL CORP        SOLE                                            18500
  ILLINOIS TOOL WORKS INC         SOLE                                            5450
  INGERSOLL-RAND                  SOLE                                            4650
  INTEL CORPORATION               SOLE                                            5690
  I B M CORPORATION               SOLE                                            1637
  INVESTORS FINL SERVICES CORP    SOLE                                            18622
  JOHNSON & JOHNSON               SOLE                                            25003
  JOHNSON & JOHNSON               DEFINED                                         7375
  LILLY/ELI/ & CO                 SOLE                                            11304
  LILLY/ELI/ & CO                 DEFINED                                         4800
  LUCENT TECHNOLOGIES             SOLE                                            23647
  MCI WORLDCOM INC                SOLE                                            110160
  MCI WORLDCOM INC                DEFINED                                         4375
  MAGAININ PHARMACEUTICALS INC    SOLE                                            10000
  MANPOWER INC WIS                SOLE                                            50000
  MCDONALDS CORPORATION           SOLE                                            4766
  MCKESSON HBOC INC               SOLE                                            88296
  MCKESSON HBOC INC               DEFINED                                         3939
  MEDTRONIC INC                   SOLE                                            3550
  MERCK AND CO INC                SOLE                                            123008
  MERCK AND CO INC                DEFINED                                         11790
  MICROSOFT CORP                  SOLE                                            7780
  MINNESOTA MINING & MFTG         SOLE                                            3507
  MINNESOTA MINING & MFTG         DEFINED                                         1075
  MOBIL CORPORATION               SOLE                                            6568
  MOBIL CORPORATION               DEFINED                                         4240
  MONSANTO COMPANY                SOLE                                            4670
  J P MORGAN & COMPANY            SOLE                                            1952
  MOTOROLA INC                    SOLE                                            4734
  NAC RE CORP                     SOLE                                            9100
  NETI TECHNOLOGIES INC           SOLE                                            23000
  NAT AUSTRALIA BANK              SOLE                                            7500
  NETWORK ASSOCIATES INC          SOLE                                            107569
  NETWORK ASSOCIATES INC          DEFINED                                         4482
  NESTLE SA SPONSORED ADR         SOLE                                            8653
  NOBLE DRILLING CORP             SOLE                                            11419
  NOVARTIS AG SPONSORED ADR       SOLE                                            10600
  NOVELL INC                      SOLE                                            124098
  NOVELL INC                      DEFINED                                         4950
  ORACLE CORPORATION              SOLE                                            270343
  ORACLE CORPORATION              DEFINED                                         12366
  ORGANOGENESIS INC               SOLE                                            303400
  PEPSICO INC                     SOLE                                            212489
  PEPSICO INC                     DEFINED                                         9420
  PFIZER INC                      SOLE                                            13205
  POTASH CORP OF SASKATCHEWAN     SOLE                                            41069
  POTASH CORP OF SASKATCHEWAN     DEFINED                                         1711
  PROCTER & GAMBLE CO             SOLE                                            70643
  PROCTER & GAMBLE CO             DEFINED                                         3047
  QWEST COMMUNICATION INT'L       SOLE                                            125300
  QWEST COMMUNICATION INT'L       DEFINED                                         5938
  ROCHE HOLDING LTD ADR           SOLE                                            4000
  ROHM & HAAS CO                  SOLE                                            8004
  ROYAL DUTCH PETROLEUM           SOLE                                            169338
  ROYAL DUTCH PETROLEUM           DEFINED                                         3205
  SBC COMMUNICATIONS INC          SOLE                                            5584
  SCHERING-PLOUGH CORPORATION     SOLE                                            100616
  SCHERING-PLOUGH CORPORATION     DEFINED                                         4550
  SCHLUMBERGER LTD                SOLE                                            76452
  SCHLUMBERGER LTD                DEFINED                                         3345
  SEPRACOR INC                    SOLE                                            9100
  SMITH INTERNATIONAL INC         SOLE                                            5000
  SOUTHERN COMPANY                SOLE                                            10303
  STAPLES INC                     SOLE                                            141938
  STAPLES INC                     DEFINED                                         5333
  SUMMIT BANCORP                  SOLE                                            21865
  SUNRISE ASSISTED LIVING         SOLE                                            87484
  SUNRISE ASSISTED LIVING         DEFINED                                         3900
  SWISS REINSURANCE CO ADR        SOLE                                            5000
  TEXACO INC                      SOLE                                            4448
  TIME WARNER INC                 SOLE                                            4680
  TRENWICK GROUP                  SOLE                                            9000
  UNUM CORP                       SOLE                                            6832
  UNION PACIFIC CORP              SOLE                                            5792
  UNION PACIFIC CORP              DEFINED                                         1000
  UNITED TECHNOLOGIES CORP        SOLE                                            59784
  UNITED TECHNOLOGIES CORP        DEFINED                                         2490
  VANGUARD INDEX TRUST            SOLE                                            5681
  WAL-MART STORES INC             SOLE                                            4775
  WARNER LAMBERT CO               SOLE                                            4051
  WARNER LAMBERT CO               DEFINED                                         1300
  WATSON PHARMACEUTICALS INC      SOLE                                            70927
  WATSON PHARMACEUTICALS INC      DEFINED                                         3550
  ACE LIMITED                     SOLE                                            12950
</TABLE>


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