HALDOR INVESTMENT ADVISORS L P
13F-HR, 1999-07-29
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<PAGE>
                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549
                                    FORM 13F
                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 06/30/1999

Check here if Amendment       [ ]             Amendment Number:

This Amendment                [ ]             is a restatement

Institutional Investment Manager Filing this Report:

Name:       HALDOR INV ADV LP 28-04282
Address:    60 STATE ST 26TH FLOOR
            BOSTON MA  02109


13F File Number: 28-04282

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 integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: JEFFREY ANTHONY
Title: CHIEF EXECUTIVE OFFICER
Phone: 617-526-6000
Signature, Place, and Date of Signing:

/S/JEFFREY ANTHONY    BOSTON, MASSACHUSETTS    07/27/1999

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


<PAGE>

                                                      FORM 13F INFORMATION TABLE

<TABLE>
<CAPTION>
                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
<S>                <C>               <C>        <C>      <C>     <C>  <C>    <C>        <C>             <C>       <C>        <C>

AT&T CORP          COMMON STOCK      001957109     493      8828 SH          SOLE                        8828

                                     001957109    2015     36104 SH          OTHER                      36104

ABBOTT             COMMON STOCK      002824100    1275     28100 SH          SOLE                       28100
LABORATORIES

                                     002824100    2105     46400 SH          OTHER                      46400

AIRTOUCH           COMMON STOCK      00949T100      48       428 SH          SOLE                         428
COMMUNICATIONS
INC

                                     00949T100    1686     15190 SH          OTHER                      15190

ALCOA, INC.        COMMON STOCK      013817101     808     13056 SH          SOLE                       13056

                                     013817101     334      5400 SH          OTHER                       5400

ALLIED SIGNAL INC  COMMON STOCK      019512102     246      3900 SH          SOLE                        3900

ALLSTATE CORP      COMMON STOCK      020002101      13       368 SH          SOLE                         368

                                     020002101     968     26970 SH          OTHER                      26970

AMERICA ONLINE     COMMON STOCK      02364J104      61       550 SH          SOLE                         550
INC DEL

                                     02364J104     193      1750 SH          OTHER                       1750

AMERICAN EXPRESS   COMMON STOCK      025816109     562      4320 SH          SOLE                        4320
CO

                                     025816109    1015      7800 SH          OTHER                       7800

AMERICAN HOME      COMMON STOCK      026609107    1690     29464 SH          SOLE                       29464
PRODUCTS CORP

                                     026609107    2517     43872 SH          OTHER                      43872

AMERICAN INTL      COMMON STOCK      026874107     870      7422 SH          SOLE                        7422
GROUP INC

                                     026874107    4327     36900 SH          OTHER                      36900

AMERICAN WATER     COMMON STOCK      030411102     329     10700 SH          OTHER                      10700
WORKS CO


COLUMN TOTALS                                    21555


<PAGE>

                           FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


AMERITECH CORP     COMMON STOCK      030954101      56       760 SH          SOLE                         760

                                     030954101     446      6072 SH          OTHER                       6072

APPLIED            COMMON STOCK      038222105     332      4500 SH          SOLE                        4500
MATERIALS INC

                                     038222105      59       800 SH          OTHER                        800

ATLANTIC           COMMON STOCK      048825103      50       600 SH          SOLE                         600
RICHFIELD CO

                                     048825103     210      2516 SH          OTHER                       2516

AUTOMATIC DATA     COMMON STOCK      053015103    1064     24180 SH          SOLE                       24180
PROCESSING INC

                                     053015103    2035     46250 SH          OTHER                      46250

AVERY DENNISON     COMMON STOCK      053611109    1223     20250 SH          SOLE                       20250
CORP

                                     053611109     892     14780 SH          OTHER                      14780

BP AMOCO - PLC     COMMON STOCK      055622104     618      5694 SH          SOLE                        5694
SPONS ADR

                                     055622104     474      4371 SH          OTHER                       4371

JONES & BABSON     MUTUAL            056161102     256     12793 SH          OTHER                      12793
MUTUAL FUNDS       FUNDS-EQUITY

BANK OF AMERICA    COMMON STOCK      060505104     134      1826 SH          SOLE                        1826
CORPORATION

                                     060505104    2299     31354 SH          OTHER                      31354

BANK ONE           COMMON STOCK      06423A103     412      6915 SH          SOLE                        6915
CORPORATION

                                     06423A103    3395     56992 SH          OTHER                      56992

BAXTER INTL INC    COMMON STOCK      071813109     856     14117 SH          SOLE                       14117

                                     071813109    1165     19224 SH          OTHER                      19224

BECTON DICKINSON   COMMON STOCK      075887109     233      7760 SH          SOLE                        7760

COLUMN TOTALS                                    16209


<PAGE>

                           FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


& CO

                                     075887109     105      3500 SH          OTHER                       3500

BELL ATLANTIC      COMMON STOCK      077853109     295      4512 SH          SOLE                        4512
CORP

                                     077853109    3503     53576 SH          OTHER                      53576

BELLSOUTH CORP     COMMON STOCK      079860102    1499     32506 SH          SOLE                       32506

                                     079860102    3349     72600 SH          OTHER                      72600

BESTFOODS INC      COMMON STOCK      08658U101     790     15960 SH          SOLE                       15960

                                     08658U101    2093     42282 SH          OTHER                      42282

BRISTOL-MYERS      COMMON STOCK      110122108    3243     46041 SH          SOLE                       46041
SQUIBB CO

                                     110122108    4447     63129 SH          OTHER                      63129

CVS CORPORATION    COMMON STOCK      126650100     187      3690 SH          SOLE                        3690

                                     126650100    1498     29525 SH          OTHER                      29525

CABOT CORP         COMMON STOCK      127055101     350     14478 SH          OTHER                      14478

CATERPILLAR INC    COMMON STOCK      149123101     108      1800 SH          SOLE                        1800

                                     149123101     138      2300 SH          OTHER                       2300

CHASE MANHATTAN    COMMON STOCK      16161A108      41       476 SH          SOLE                         476
CORP NEW

                                     16161A108    1445     16700 SH          OTHER                      16700

CHEVRON CORP       COMMON STOCK      166751107      38       400 SH          SOLE                         400

                                     166751107     383      4032 SH          OTHER                       4032

CHUBB CORP         COMMON STOCK      171232101     160      2300 SH          SOLE                        2300

                                     171232101     890     12800 SH          OTHER                      12800

CISCO SYSTEMS INC  COMMON STOCK      17275R102    1376     21360 SH          SOLE                       21360


COLUMN TOTALS                                    25938


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


                                     17275R102    6079     94344 SH          OTHER                      94344

CITIGROUP, INC.    COMMON STOCK      172967101     366      7702 SH          SOLE                        7702

                                     172967101     369      7761 SH          OTHER                       7761

COCA COLA CO       COMMON STOCK      191216100    1457     23500 SH          SOLE                       23500

                                     191216100    1560     25157 SH          OTHER                      25157

COCA COLA          COMMON STOCK      191219104     238      8000 SH          OTHER                       8000
ENTERPRISES INC

                   COMMON STOCK      194162103     681      6917 SH          SOLE                        6917

                                     194162103    2799     28420 SH          OTHER                      28420

COMPUTER           COMMON STOCK      205363104      42       600 SH          SOLE                         600
SCIENCES CORP

                                     205363104    1411     20400 SH          OTHER                      20400

CORNING INC        COMMON STOCK      219350105    1111     15850 SH          OTHER                      15850

DELL COMPUTER      COMMON STOCK      247025109     141      3800 SH          SOLE                        3800
CORP

                                     247025109     100      2700 SH          OTHER                       2700

DIEBOLD INC        COMMON STOCK      253651103     299     10400 SH          SOLE                       10400

                                     253651103     115      4000 SH          OTHER                       4000

DISNEY WALT CO     COMMON STOCK      254687106     688     22333 SH          SOLE                       22333

                                     254687106     728     23638 SH          OTHER                      23638

DOW CHEMICAL CO    COMMON STOCK      260543103     336      2650 SH          SOLE                        2650

                                     260543103     461      3633 SH          OTHER                       3633

DUPONT E I         COMMON STOCK      263534109     676      9900 SH          SOLE                        9900
DENEMOURS & CO

                                     263534109    2716     39752 SH          OTHER                      39752

DUKE ENERGY CORP   COMMON STOCK      264399106      23       416 SH          SOLE                         416

COLUMN TOTALS                                    22396


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


                                     264399106     914     16796 SH          OTHER                      16796

E G & G INC        COMMON STOCK      268457108     321      9000 SH          OTHER                       9000

E M C CORP MASS    COMMON STOCK      268648102     253      4600 SH          SOLE                        4600

                                     268648102     228      4150 SH          OTHER                       4150

EASTMAN KODAK CO   COMMON STOCK      277461109     139      2050 SH          SOLE                        2050

                                     277461109     116      1715 SH          OTHER                       1715

EL PASO ENERGY     COMMON STOCK      283905107     880     25000 SH          OTHER                      25000

ELAN PLC           FOREIGN STOCK     284131208      68      2450 SH          SOLE                        2450

                                     284131208     945     34050 SH          OTHER                      34050

EMERSON ELECTRIC   COMMON STOCK      291011104     374      5944 SH          SOLE                        5944
CO

                                     291011104    1536     24400 SH          OTHER                      24400

ENRON CORP         COMMON STOCK      293561106     347      4250 SH          SOLE                        4250

                                     293561106    1975     24155 SH          OTHER                      24155

EXXON CORP         COMMON STOCK      302290101    2090     27104 SH          SOLE                       27104

                                     302290101    4101     53178 SH          OTHER                      53178

FPL GROUP INC      COMMON STOCK      302571104     663     12136 SH          OTHER                      12136

FIRST UNION CORP   COMMON STOCK      337358105    1556     33020 SH          OTHER                      33020

FLEET FINANCIAL    COMMON STOCK      338915101      68      1530 SH          SOLE                        1530
GROUP INC

                                     338915101     171      3844 SH          OTHER                       3844

GTE CORP           COMMON STOCK      362320103     544      7208 SH          SOLE                        7208

                                     362320103    2227     29500 SH          OTHER                      29500

GANNETT INC        COMMON STOCK      364730101     157      2200 SH          SOLE                        2200


COLUMN TOTALS                                    19673


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


                                     364730101     121      1700 SH          OTHER                       1700

GAP INC            COMMON STOCK      364760108     230      4575 SH          SOLE                        4575

                                     364760108      68      1350 SH          OTHER                       1350

GENERAL ELECTRIC   COMMON STOCK      369604103    4123     36488 SH          SOLE                       36488
CO

                                     369604103   14091    124697 SH          OTHER                     124697

GENERAL MILLS INC  COMMON STOCK      370334104     333      4140 SH          SOLE                        4140

                                     370334104     193      2400 SH          OTHER                       2400

GILLETTE CO        COMMON STOCK      375766102     482     11752 SH          SOLE                       11752

                                     375766102    3292     80286 SH          OTHER                      80286

GLAXO WELLCOME     FOREIGN STOCK     37733W105     268      4725 SH          SOLE                        4725
PLC

                                     37733W105     149      2633 SH          OTHER                       2633

HALLIBURTON CO     COMMON STOCK      406216101     166      3666 SH          SOLE                        3666

                                     406216101      72      1600 SH          OTHER                       1600

HARTFORD FINL      COMMON STOCK      416515104     136      2332 SH          SOLE                        2332
SVCS GROUP INC

                                     416515104    1120     19202 SH          OTHER                      19202

HEWLETT PACKARD    COMMON STOCK      428236103     543      5400 SH          SOLE                        5400
CO

                                     428236103    4593     45700 SH          OTHER                      45700

HOME DEPOT INC     COMMON STOCK      437076102      58       900 SH          SOLE                         900

                                     437076102    2020     31348 SH          OTHER                      31348

HONEYWELL INC      COMMON STOCK      438506107     701      6050 SH          SOLE                        6050

                                     438506107     406      3500 SH          OTHER                       3500

HUNTINGTON         COMMON STOCK      446150104     697     19902 SH          SOLE                       19902

COLUMN TOTALS                                    33862


<PAGE>

                           FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


BANCSHARES INC

IMS HEALTH INC     COMMON STOCK      449934108     233      7450 SH          SOLE                        7450

                                     449934108      88      2800 SH          OTHER                       2800

INTEL CORP         COMMON STOCK      458140100    2566     43130 SH          SOLE                       43130

                                     458140100    2409     40482 SH          OTHER                      40482

INTL BUSINESS      COMMON STOCK      459200101    2378     18402 SH          SOLE                       18402
MACHINES CORP

                                     459200101    8836     68366 SH          OTHER                      68366

INTL FLAVORS &     COMMON STOCK      459506101     133      3030 SH          SOLE                        3030
FRAGRANCES INC

                                     459506101     181      4110 SH          OTHER                       4110

INTL PAPER CO      COMMON STOCK      460146103     204      4060 SH          SOLE                        4060

                                     460146103     204      4055 SH          OTHER                       4055

JOHNSON & JOHNSON  COMMON STOCK      478160104    3426     34961 SH          SOLE                       34961

                                     478160104    5750     58676 SH          OTHER                      58676

KIMBERLY CLARK     COMMON STOCK      494368103     393      6900 SH          SOLE                        6900
CORP

                                     494368103    1538     26988 SH          OTHER                      26988

LILLY ELI & CO     COMMON STOCK      532457108     587      8190 SH          SOLE                        8190

                                     532457108    2054     28680 SH          OTHER                      28680

LINCOLN NATL CORP  COMMON STOCK      534187109     209      4000 SH          OTHER                       4000

LUCENT             COMMON STOCK      549463107    1374     20372 SH          SOLE                       20372
TECHNOLOGIES INC

                                     549463107    6929    102754 SH          OTHER                     102754

MCI WORLDCOM,      COMMON STOCK      55268B106     125      1450 SH          SOLE                        1450
INC.


COLUMN TOTALS                                    39617


<PAGE>

                           FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


                                     55268B106    1082     12574 SH          OTHER                      12574

MARSH & MCLENNAN   COMMON STOCK      571748102     726      9590 SH          SOLE                        9590
COS INC

                                     571748102     169      2230 SH          OTHER                       2230

MATTEL INC         COMMON STOCK      577081102     919     35159 SH          OTHER                      35159

MCDONALDS CORP     COMMON STOCK      580135101     364      8850 SH          SOLE                        8850

                                     580135101     748     18200 SH          OTHER                      18200

MCGRAW HILL        COMMON STOCK      580645109     928     17200 SH          SOLE                       17200
COMPANIES INC

                                     580645109    1663     30840 SH          OTHER                      30840

MEDIA ONE GROUP,   COMMON STOCK      58440J104     181      2428 SH          SOLE                        2428
INC.

                                     58440J104     147      1970 SH          OTHER                       1970

MEDTRONIC INC      COMMON STOCK      585055106     452      5800 SH          SOLE                        5800

                                     585055106     825     10600 SH          OTHER                      10600

MELLON BANK CORP   COMMON STOCK      585509102     138      3800 SH          SOLE                        3800

                                     585509102     100      2760 SH          OTHER                       2760

MERCK & CO INC     COMMON STOCK      589331107    2229     30270 SH          SOLE                       30270

                                     589331107    4053     55050 SH          OTHER                      55050

MICROSOFT CORP     COMMON STOCK      594918104     755      8370 SH          SOLE                        8370

                                     594918104    5422     60120 SH          OTHER                      60120

MINNESOTA MINING   COMMON STOCK      604059105    1238     14239 SH          SOLE                       14239
& MFG CO

                                     604059105    1004     11550 SH          OTHER                      11550

MOBIL CORP         COMMON STOCK      607059102    1431     14496 SH          SOLE                       14496

                                     607059102    2527     25590 SH          OTHER                      25590

COLUMN TOTALS                                    27101


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL

MOLEX INC          COMMON STOCK      608554200      44      1387 SH          SOLE                        1387

                                     608554200    1181     37500 SH          OTHER                      37500

MONSANTO CO        COMMON STOCK      611662107    1197     30250 SH          OTHER                      30250

J P MORGAN & CO    COMMON STOCK      616880100     762      5421 SH          SOLE                        5421
INC

                                     616880100     973      6924 SH          OTHER                       6924

MOTOROLA INC       COMMON STOCK      620076109     781      8246 SH          SOLE                        8246

                                     620076109     838      8840 SH          OTHER                       8840

NEW YORK TIMES CO  COMMON STOCK      650111107     294      7975 SH          SOLE                        7975

                                     650111107     125      3400 SH          OTHER                       3400

NEWELL             COMMON STOCK      651229106    1243     26800 SH          OTHER                      26800
RUBBERMAID, INC

NOKIA CORP         COMMON STOCK      654902204     284      3100 SH          SOLE                        3100

                                     654902204     125      1365 SH          OTHER                       1365

NORTEL NETWORKS    COMMON STOCK      656569100      15       177 SH          SOLE                         177
CORPORATION

                                     656569100     303      3485 SH          OTHER                       3485

OMNICOM GROUP INC  COMMON STOCK      681919106     896     11200 SH          SOLE                       11200

                                     681919106     204      2550 SH          OTHER                       2550

J C PENNEY CO INC  COMMON STOCK      708160106     233      4800 SH          SOLE                        4800

                                     708160106      29       600 SH          OTHER                        600

PEPSICO INC        COMMON STOCK      713448108     190      4900 SH          SOLE                        4900

                                     713448108    1754     45340 SH          OTHER                      45340

PFIZER INC         COMMON STOCK      717081103    1284     11780 SH          SOLE                       11780

                                     717081103    4879     44765 SH          OTHER                      44765

COLUMN TOTALS                                    17634


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


PITNEY-BOWES INC   COMMON STOCK      724479100     684     10650 SH          SOLE                       10650

                                     724479100     373      5800 SH          OTHER                       5800

PROCTER & GAMBLE   COMMON STOCK      742718109    1631     18280 SH          SOLE                       18280
CO

                                     742718109    4464     50022 SH          OTHER                      50022

QUESTAR CORP       COMMON STOCK      748356102     784     41000 SH          SOLE                       41000

RPM INC OHIO       COMMON STOCK      749685103     497     35000 SH          OTHER                      35000

REUTERS GROUP PLC  FOREIGN STOCK     76132M102     592      7298 SH          SOLE                        7298

                                     76132M102     407      5023 SH          OTHER                       5023

ROCKWELL INTL      COMMON STOCK      773903109     304      5000 SH          SOLE                        5000
CORP NEW

                                     773903109      24       400 SH          OTHER                        400

ROYAL DUTCH        FOREIGN STOCK     780257804    1300     21578 SH          SOLE                       21578
PETROLEUM CO

                                     780257804    1950     32360 SH          OTHER                      32360

SBC                COMMON STOCK      78387G103     474      8174 SH          SOLE                        8174
COMMUNICATIONS
INC

                                     78387G103    2929     50492 SH          OTHER                      50492

SARA LEE CORP      COMMON STOCK      803111103     415     18300 SH          SOLE                       18300

                                     803111103    2174     95832 SH          OTHER                      95832

SCHERING PLOUGH    COMMON STOCK      806605101     100      1900 SH          SOLE                        1900
CORP

                                     806605101    1050     20000 SH          OTHER                      20000

SCHLUMBERGER LTD   COMMON STOCK      806857108     351      5519 SH          SOLE                        5519

                                     806857108     186      2925 SH          OTHER                       2925


COLUMN TOTALS                                    20689


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL


SMITHKLINE         COMMON STOCK      832378301      79      1200 SH          SOLE                        1200
BEECHAM PLC

                                     832378301     364      5504 SH          OTHER                       5504

STANDEX INTL CORP  COMMON STOCK      854231107    3957    144531 SH          OTHER                     144531

STATE STREET CORP  COMMON STOCK      857477103    1089     12760 SH          OTHER                      12760

TRW INC            COMMON STOCK      872649108     107      1950 SH          SOLE                        1950

                                     872649108      99      1800 SH          OTHER                       1800

TEXAS              COMMON STOCK      882508104     691      4800 SH          SOLE                        4800
INSTRUMENTS INC

                                     882508104     518      3600 SH          OTHER                       3600

TEXTRON INC        COMMON STOCK      883203101      66       800 SH          SOLE                         800

                                     883203101    2028     24640 SH          OTHER                      24640

THOMAS & BETTS     COMMON STOCK      884315102     227      4800 SH          SOLE                        4800
CORP

                                     884315102     205      4335 SH          OTHER                       4335

TIME WARNER INC    COMMON STOCK      887315109      47       650 SH          SOLE                         650

                                     887315109     185      2550 SH          OTHER                       2550

TYCO               COMMON STOCK      902124106    1098     11592 SH          SOLE                       11592
INTERNATIONAL LTD

                                     902124106     682      7202 SH          OTHER                       7202

UNUM CORP          COMMON STOCK      903192102      11       200 SH          SOLE                         200

                                     903192102    1259     23000 SH          OTHER                      23000

UNILEVER N V       COMMON STOCK      904784709      25       357 SH          SOLE                         357

                                     904784709     249      3572 SH          OTHER                       3572

UNITED             COMMON STOCK      913017109    1448     20108 SH          SOLE                       20108
TECHNOLOGIES CORP


COLUMN TOTALS                                    14434


<PAGE>

                           FORM 13F INFORMATION TABLE


                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED     NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL

                                     913017109     711      9870 SH          OTHER                       9870

WAL MART STORES    COMMON STOCK      931142103     478      9900 SH          SOLE                        9900
INC

                                     931142103     392      8120 SH          OTHER                       8120

WALGREEN CO        COMMON STOCK      931422109    1669     56800 SH          SOLE                       56800

                                     931422109     444     15100 SH          OTHER                      15100

WARNER LAMBERT CO  COMMON STOCK      934488107    1237     17890 SH          SOLE                       17890

                                     934488107    2460     35581 SH          OTHER                      35581

WELLS FARGO &      COMMON STOCK      949746101     806     18854 SH          SOLE                       18854
COMPANY - NEW

                                     949746101     318      7450 SH          OTHER                       7450

WILLIAMS CO INC    COMMON STOCK      969457100     334      7850 SH          SOLE                        7850
(DELAWARE)

                                     969457100    2413     56699 SH          OTHER                      56699

WRIGLEY WM JR CO   COMMON STOCK      982526105     352      3950 SH          SOLE                        3950

                                     982526105      36       400 SH          OTHER                        400

XEROX CORP         COMMON STOCK      984121103     478      8100 SH          SOLE                        8100

                                     984121103    2814     47638 SH          OTHER                      47638
</TABLE>

COLUMN TOTALS                                    14942


AGGREGATE TOTAL                                 274050


<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:           $ 274,050

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment Managers with respect to which this report is filed,
other than the Manager filing this report.



NONE


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