MOODY LYNN & CO/
13F-HR, 1999-05-17
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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                   FORM 13F-HR

                           NAME OF REPORTING MANAGER:
                                MOODY, LYNN & CO.


Report for the Calendar Year or Quarter Ended:       3/31/99

Institutional Investment Manager:                    MOODY, LYNN & CO.


I REPRESENT THAT I AM AUTHORIZED T SUBMIT THIS FORM AND THAT ALL  INFORMATION IN
THIS  FORM AND THE  ATTACHMENTS  TO IT ARE TRUE,  CORRECT  AND  COMPLETE,  AND I
UNDERSTAND THAT ALL REQUIRED ITEMS,  STATEMENTS AND SCHEDULES ARE INTEGRAL PARTS
OF THIS  FORM AND THAT  THE  SUBMISSION  OF ANY  AMENDMENT  REPRESENTS  THAT ALL
UNAMENDED ITEMS, STATEMENTS AND SCHEDULES REMAIN TRUE, CORRECT AND COMPLETE AS
PREVIOUSLY SUBMITTED.


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

Name, Title and Telephone Number of Person Submitting Report:

ELIZABETH C. JONES,  Vice President
(617)973-0590

Signature, Place and Date of Signing:

/s/ Elizabeth C. Jones
- ---------------------------
One Boston Place
Boston, MA  02108
5/11/99

Report Summary:

Number of Other Included Managers: None
                                  ---------
Form 13F Information Table Entry Total: 177
                                       -----
Form 13F Information Table Value Total: $430,035,000
                                       --------------



<PAGE>



                UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                   FORM 13F-HR

                           NAME OF REPORTING MANAGER:
                                MOODY, LYNN & CO.




<TABLE>               <S>                                                    <C>

                                                          MOODY, LYNN & CO.
                                                     FORM 13F INFORMATION TABLE                                                     
                                                        AS OF DATE: 03/31/99                                                        

                                                            VALUE   SHARES/ SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY     
  NAME OF ISSUER               TITLE OF CLASS    CUSIP    (x$1000)  PRN AMT PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE  
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
ABBOTT LABS                    COM              002824100     2210    47200 SH       SOLE                    47200        0        0
ABN AMRO CAP II 7.125% 00/00/0 PREFERRED STOCKS 00371T206      985    39400 SH       SOLE                    39400        0        0
AFLAC INC                      COM              001055102     1192    21900 SH       SOLE                    21900        0        0
ALLICO CORP                    COM              018836106        0    15000 SH       SOLE                    15000        0        0
ALTERA CORP                    COM              021441100      547     9200 SH       SOLE                     9200        0        0
AMERICA ONLINE INC             COM              02364J104    35983   244784 SH       SOLE                   244784        0        0
AMERICA ONLINE INC             COM              02364J104      485     3300 SH       OTHER                       0        0     3300
AMERICAN EXPRESS CO            COM              025816109     1275    10824 SH       SOLE                    10824        0        0
AMERICAN HOME PRODS CORP       COM              026609107     1346    20634 SH       SOLE                    20634        0        0
AMERICAN INTL GROUP INC        COM              026874107    14037   116365 SH       DEFINED                116175      190        0
AMGEN INC                      COM              031162100      359     4800 SH       SOLE                     4800        0        0
ANHEUSER BUSCH COS INC         COM              035229103     2476    32530 SH       SOLE                    32530        0        0
AT HOME CORP COM SER A         COM              045919107     8816    55975 SH       DEFINED                 55775      200        0
AT & T CORP.                   COM              001957109     1870    35152 SH       SOLE                    35152        0        0
ATLANTIC RICHFIELD COMPANY     COM              048825103      437     5980 SH       SOLE                     5980        0        0
AT&T CORP LIBERTY MEDIA CL A   COM              001957208     5324   101233 SH       DEFINED                100367      866        0
AUTOMATIC DATA PROCESSING      COM              053015103      554    13400 SH       SOLE                    13400        0        0
AXA-UAP ADR SPONSORED          COM              054536107     1153    17400 SH       SOLE                    17400        0        0
BARRICK GOLD CORP COM          COM              067901108     1305    76500 SH       SOLE                    76500        0        0
BASKAHEGAN CO CL C             COM              0              459     5158 SH       SOLE                     5158        0        0
BELLSOUTH CORP                 COM              079860102      502    12520 SH       SOLE                    12520        0        0
BERKSHIRE HATHAWAY INC DEL CL  COM              084670207     1928      820 SH       SOLE                      820        0        0
BJS WHSL CLUB INC COM          COM              05548J106      700    26600 SH       SOLE                    26600        0        0
BP AMOCO ADS                   COM              055622104     4828    47805 SH       SOLE                    47805        0        0
BRISTOL MYERS SQUIBB CO        COM              110122108     6270    97776 SH       DEFINED                 97476      300        0
BRISTOL MYERS SQUIBB CO        COM              110122108      282     4400 SH       OTHER                       0        0     4400
BROADCAST COM INC COM          COM              111310108      355     3000 SH       SOLE                     3000        0        0
BURLINGTON RESOURCES INC       COM              122014103     2089    52300 SH       SOLE                    52300        0        0
CABLEVISION SYS CORP COM       COM              12686C109     1394    18800 SH       SOLE                    18800        0        0
CARDINAL HEALTH INC COM        COM              14149Y108     2009    30441 SH       SOLE                    30441        0        0
CARNIVAL CRUISE LINE INC       COM              143658102      389     8000 SH       SOLE                     8000        0        0
CBS CORP COM                   COM              12490K107      767    18800 SH       SOLE                    18800        0        0
CENDANT CORP INCOME PRIDES     PREFERRED STOCKS 151313301      697    24200 SH       SOLE                    24200        0        0
CENTURY TEL ENTERPRISES INC CO COM              156686107     1869    39900 SH       SOLE                    39900        0        0
CHASE MANHATTAN CORP NEW COM   COM              16161A108      252     3100 SH       SOLE                     3100        0        0
CISCO SYS INC                  COM              17275R102    16059   146576 SH       SOLE                   146576        0        0
CITIGROUP INC.                 COM              172967101      607     9500 SH       SOLE                     9500        0        0
CITRIX SYSTEMS                 COM              177376100     2324    60954 SH       DEFINED                 60354      600        0
CLOROX CO                      COM              189054109     2941    25100 SH       DEFINED                 24900      200        0
CMG INFORMATION SVCS INC COM   COM              125750109      659     3600 SH       SOLE                     3600        0        0
COCA COLA CO                   COM              191216100      658    10714 SH       SOLE                    10714        0        0
COLGATE PALMOLIVE CO           COM              194162103      230     2500 SH       SOLE                     2500        0        0
COMCAST CORP CL A SPL          COM              200300200     4601   146200 SH       DEFINED                145400      800        0
CONCORD COMMUNICATIONS INC COM COM              206186108      587    10300 SH       SOLE                    10300        0        0
COX COMMUNICATIONS INC NEW CL  COM              224044107     7037    93050 SH       SOLE                    93050        0        0
CSG SYS INTL INC COM           COM              126349109     1956    49600 SH       DEFINED                 49000      600        0
CVS CORPORATION                COM              126650100     3306    69602 SH       SOLE                    69602        0        0
DEERE & CO.                    COM              244199105      688    17800 SH       SOLE                    17800        0        0
DELL COMPUTER CORP COM         COM              247025109      270     6600 SH       SOLE                     6600        0        0
DIAMOND TECHNOLGY PRTNRS INCCL COM              252762109      655    28400 SH       SOLE                    28400        0        0
DISNEY WALT PRODUCTIONS        COM              254687106      491    15770 SH       SOLE                    15770        0        0
DU PONT E I DE NEMOURS CO      COM              263534109      343     5900 SH       SOLE                     5900        0        0
DUKE PWR CO                    COM              264399106      921    16800 SH       SOLE                    16800        0        0
DURA PHARMACEUTICALS CV 3.500% CONVERTIBLE BOND 26632SAA7     1973  2620000 PRN      SOLE                  2620000        0        0
DURA PHARMACEUTICALS CV 3.500% CONVERTIBLE BOND 26632SAA7       49    65000 PRN      OTHER                       0        0    65000
E M C CORP MASS COM            COM              268648102     1539    12050 SH       SOLE                    12050        0        0
EATON VANCE CORP               COM              278265103      986    49000 SH       SOLE                    49000        0        0
ENRON CORP                     COM              293561106     1981    30833 SH       SOLE                    30833        0        0
EQUITABLE COS INC COM          COM              29444G107      280     4000 SH       SOLE                     4000        0        0
EXCITE INC COM                 COM              300904109      322     2300 SH       SOLE                     2300        0        0
EXXON CORP                     COM              302290101     1879    26630 SH       SOLE                    26630        0        0
FED HOME LN MTG CP-VTG COM-FOR COM              313400301      527     9200 SH       SOLE                     9200        0        0
FEDERAL NAT MORTGAGE ASSN      COM              313586109      824     7750 SH       SOLE                     7750        0        0
FIDUCIARY CO INC               COM              316992106      366     1500 SH       SOLE                     1500        0        0
FISERV INC COM                 COM              337738108     1491    41700 SH       SOLE                    41700        0        0
GENERAL ELEC CO                COM              369604103    13621   123131 SH       SOLE                   123131        0        0
GENERAL MOTORS CLASS H         COM              370442832      852    16900 SH       SOLE                    16900        0        0
GILLETTE CO                    COM              375766102      707    11900 SH       SOLE                    11900        0        0
GLAXO WELLCOME PLC SPONSOR     COM              37733W105      549     8200 SH       SOLE                     8200        0        0
GLOBAL TELESYSTEMS GROUP INCCD COM              37936U104     1024    18300 SH       SOLE                    18300        0        0
GLOBALSTAR CAPITAL 06/15/04 11 CONVERTIBLE BOND 379363AL8       16    25000 PRN      SOLE                    25000        0        0
GTE CORP                       COM              362320103      369     6100 SH       SOLE                     6100        0        0
GUIDANT CORP                   COM              401698105    11489   189900 SH       SOLE                   189900        0        0
HARTFORD FINANCIAL SERVICES    COM              416515104     1824    32100 SH       SOLE                    32100        0        0
HEINZ, H J COMPANY             COM              423074103      845    17835 SH       SOLE                    17835        0        0
HELLENIC TELECOMMUNICATIONS AD COM              423325307      210    18000 SH       SOLE                    18000        0        0
HOME DEPOT INC                 COM              437076102     1731    27800 SH       SOLE                    27800        0        0
HOUSTON INDS INC 7% AUTO COM E COM              442161204      603     5000 SH       SOLE                     5000        0        0
ILLINOIS TOOL WORKS INC        COM              452308109     6129    99055 SH       DEFINED                 98955      100        0
IMCLONE SYS INC COM            COM              45245W109     1004    59500 SH       SOLE                    59500        0        0
IMS HEALTH INC COM             COM              449934108     2710    81800 SH       SOLE                    81800        0        0
INTEL CORP                     COM              458140100     5976   100548 SH       SOLE                   100548        0        0
INTERNATIONAL BUSINESS MACHINE COM              459200101     5107    28813 SH       SOLE                    28813        0        0
INTUIT INC COM                 COM              461202103     7626    74950 SH       DEFINED                 74600      350        0
INVESTORS FINL SERVICES CORPCO COM              461915100      502    17478 SH       SOLE                    17478        0        0
JAGGED EDGE MTN GEAR INC COM   COM              470082108        7    10000 SH       SOLE                    10000        0        0
JOHNSON & JOHNSON              COM              478160104      954    10200 SH       SOLE                    10200        0        0
KEANE INC COM                  COM              486665102      332    15600 SH       SOLE                    15600        0        0
KENT ELECTRONICS CV 4.500% 09/ CONVERTIBLE BOND 490553AA2       56    75000 PRN      SOLE                    75000        0        0
KOHLS CORP COM                 COM              500255104     3494    49300 SH       SOLE                    49300        0        0
LEVEL 3 COMMUNICATIONS INC COM COM              52729N100      728    10000 SH       SOLE                    10000        0        0
LIBERTY PROPERTY TRUST         REAL ESTATE INVE 531172104     1073    51700 SH       SOLE                    51700        0        0
LILLY ELI & CO                 COM              532457108     5513    64951 SH       SOLE                    64951        0        0
LUCENT TECHNOLOGIES INC.       COM              549463107     2133    39496 SH       SOLE                    39496        0        0
LYCOS INC COM                  COM              550818108      499     5800 SH       SOLE                     5800        0        0
MBIA INC                       COM              55262C100      597    10300 SH       SOLE                    10300        0        0
MCDONALDS CORP                 COM              580135101      218     4800 SH       SOLE                     4800        0        0
MCI WORLDCOM                   COM              55268B106     6740    76108 SH       SOLE                    76108        0        0
MEDIAONE FINANCE TR PFD 9.04%  PREFERRED STOCKS 584458202     1597    62800 SH       SOLE                    62800        0        0
MEDIAONE GROUP INC COM         COM              58440J104     8754   137998 SH       DEFINED                137498      500        0
MEDTRONIC INC                  COM              585055106    14257   198358 SH       DEFINED                198058      300        0
MERCK & CO                     COM              589331107     6402    79906 SH       SOLE                    79906        0        0
MGI PROPERTIES                 REAL ESTATE INVE 552885105      753    27500 SH       SOLE                    27500        0        0
MICROSOFT CORP                 COM              594918104    22387   249784 SH       DEFINED                249584      200        0
MICROSOFT CORP                 COM              594918104      287     3200 SH       OTHER                       0        0     3200
MIDDLESEX WTR CO               COM              596680108      536    22000 SH       SOLE                    22000        0        0
MOBIL CORP                     COM              607059102     3935    44716 SH       SOLE                    44716        0        0
MONSANTO CO                    COM              611662107     1414    30778 SH       SOLE                    30778        0        0
MORGAN J.P. & CO INC           COM              616880100      595     4825 SH       SOLE                     4825        0        0
MORGAN STANLEY DEAN WITTER COM COM              617446448     3318    33200 SH       SOLE                    33200        0        0
MOTOROLA INC                   COM              620076109      423     5771 SH       SOLE                     5771        0        0
MYTEC TECHNOLOGIES INC         COM              62865P108        6    19000 SH       SOLE                    19000        0        0
NABORS INDS INC                COM              629568106      702    38600 SH       SOLE                    38600        0        0
NABORS INDUSTRIES CV DEB 5.000 CONVERTIBLE BOND 629568AA4       68    60000 PRN      SOLE                    60000        0        0
NABORS INDUSTRIES CV DEB 5.000 CONVERTIBLE BOND 629568AA4       46    40000 PRN      OTHER                       0        0    40000
NEWELL FINL TR CV 5.250% 12/01 CONVERTIBLE PREF 651195307     1066    19300 SH       SOLE                    19300        0        0
NEWELL RUBBERMAID INC.         COM              651229106      257     5400 SH       SOLE                     5400        0        0
NEWPARK RES INC COM PAR$0.01NE COM              651718504      189    26000 SH       SOLE                    26000        0        0
OGDEN CORP CV SUB DEB(EURO) 5. CONVERTIBLE BOND 676346AD1       24    25000 PRN      OTHER                       0        0    25000
OMNICOM GROUP                  COM              681919106     6998    87545 SH       SOLE                    87545        0        0
ORACLE SYS CORP                COM              68389X105      600    22737 SH       SOLE                    22737        0        0
ORYX ENERGY CO 7.500% 05/15/14 CONVERTIBLE BOND 68763FAD2      870   875000 PRN      SOLE                   875000        0        0
ORYX ENERGY CO 7.500% 05/15/14 CONVERTIBLE BOND 68763FAD2       20    20000 PRN      OTHER                       0        0    20000
OSTEOTECH INC COM              COM              688582105      753    21900 SH       SOLE                    21900        0        0
PAYCHEX INC COM                COM              704326107     4485    94550 SH       DEFINED                 94150      400        0
PEGASUS COMMUNICATIONS CORP CL COM              705904100      302    10800 SH       SOLE                    10800        0        0
PEPSICO INC                    COM              713448108      920    23486 SH       SOLE                    23486        0        0
PFIZER INC                     COM              717081103    19058   137356 SH       DEFINED                137156      200        0
PFIZER INC                     COM              717081103      416     3000 SH       OTHER                       0        0     3000
PHILIP MORRIS COS INS          COM              718154107      802    22800 SH       SOLE                    22800        0        0
PITNEY BOWES INC               COM              724479100     1785    28000 SH       SOLE                    28000        0        0
PLC CAP TRUST II 6.5% SERIES P CONVERTIBLE PREF 743674202      262     4200 SH       SOLE                     4200        0        0
POGO PRODUCING 5.500% 06/15/06 CONVERTIBLE BOND 72645AA92       57    75000 PRN      SOLE                    75000        0        0
PRAEGITZER IND CV 12/29/08     CONVERTIBLE BOND 739422AB9       24    50000 PRN      SOLE                    50000        0        0
PREVIEW TRAVEL INC COM         COM              74137R101      631    33200 SH       SOLE                    33200        0        0
PROBUSINESS SVCS INC COM       COM              742674104     2499    59500 SH       DEFINED                 59000      500        0
PROCTER & GAMBLE COMPANY       COM              742718109     1280    13070 SH       SOLE                    13070        0        0
PUBLIC SVC ENTERPRISES         COM              744573106      216     5650 SH       SOLE                     5650        0        0
QUALCOMM INC COM               COM              747525103      423     3400 SH       SOLE                     3400        0        0
RAYTHEON CO CL A               COM              755111309     1028    17800 SH       SOLE                    17800        0        0
RAYTHEON CO CL B               COM              755111408     3324    56700 SH       DEFINED                 56300      400        0
RELIANT ENERGY INC COM         COM              75952J108      237     9100 SH       SOLE                     9100        0        0
RJR NABISCO HLDGS CAP TR I TOP PREFERRED STOCKS 74961M202      479    19100 SH       SOLE                    19100        0        0
ROYAL DUTCH PETRO-NY SHARES    COM              780257804      676    13000 SH       SOLE                    13000        0        0
SALOMON INC DECS               CONVERTIBLE PREF 79549B867      455     6600 SH       SOLE                     6600        0        0
SBC COMMUNICATIONS, INC COMMON COM              78387G103      302     6394 SH       SOLE                     6394        0        0
SCHERING PLOUGH CORP           COM              806605101    11606   210062 SH       DEFINED                209762      300        0
SCHLUMBERGER                   COM              806857108      982    16322 SH       SOLE                    16322        0        0
SCUDDER INTL FD INC COM        MUTUAL FUNDS     811165109      257     5136 SH       SOLE                     5136        0        0
SERVICE CORP INTL COM          COM              817565104      439    30800 SH       SOLE                    30800        0        0
SMITHKLINE BEECHAM PLC ADR RPS COM              832378301      629     8800 SH       SOLE                     8800        0        0
SPRINT CORP COM                COM              852061100     1472    15000 SH       SOLE                    15000        0        0
SPRINT CORP PCS COM SER 1      COM              852061506     6031   136100 SH       DEFINED                135400      700        0
SPRINT EXCH NTS 8.250% 03/31/0 CONVERTIBLE PREF 852061407     1139    15600 SH       SOLE                    15600        0        0
STAPLES INC                    COM              855030102      279     8475 SH       SOLE                     8475        0        0
STATE STREET CORP              COM              857477103      370     4500 SH       SOLE                     4500        0        0
SUN MICROSYSTEM INC            COM              866810104     4677    74800 SH       SOLE                    74800        0        0
SUNGARD DATA SYS INC COM       COM              867363103     1748    43700 SH       SOLE                    43700        0        0
TELE COMMUNICATIONS INC 7.375% CONVERTIBLE BOND 879240AT6      605   595000 PRN      SOLE                   595000        0        0
TELE COMMUNICATIONS INC 7.375% CONVERTIBLE BOND 879240AT6       66    65000 PRN      OTHER                       0        0    65000
TEXAS UTILS CO INCOME PRIDES   PREFERRED STOCKS 882848203      573    10750 SH       SOLE                    10750        0        0
TIME WARNER CAP I TR PFD 8.87% PREFERRED STOCKS 88731G204      418    16000 SH       SOLE                    16000        0        0
TIME WARNER INC                COM              887315109     6787    95838 SH       DEFINED                 95638      200        0
TIME WARNER INC                COM              887315109      212     3000 SH       OTHER                       0        0     3000
TMP WORLDWIDE INC COM          COM              872941109     1789    27600 SH       SOLE                    27600        0        0
TYCO INTL LTD NEW COM          COM              902124106     8007   111600 SH       DEFINED                111300      300        0
UNITED TECHNOLOGIES CORP       COM              913017109     2858    21100 SH       DEFINED                 20900      200        0
VETERINARY CENTERS CV 5.250% 0 CONVERTIBLE BOND 925514AB7       38    50000 PRN      SOLE                    50000        0        0
VIACOM INC COM NON VTG         COM              925524308     5960   142000 SH       DEFINED                141800      200        0
VISIO CORP COM                 COM              927914101      214     7600 SH       SOLE                     7600        0        0
WAL MART STORES INC            COM              931142103     1303    28276 SH       SOLE                    28276        0        0
WALGREEN COMPANY               COM              931422109     3509   124200 SH       SOLE                   124200        0        0
WARNER LAMBERT CO              COM              934488107     2993    45175 SH       SOLE                    45175        0        0
WASHINGTON GAS LT CO           COM              938837101      324    14300 SH       SOLE                    14300        0        0
WATERS CORP COM                COM              941848103      462     4400 SH       SOLE                     4400        0        0
XEROX CORP                     COM              984121103      844    16200 SH       SOLE                    16200        0        0
XEROX CORP.CV 0.570% 04/21/18  CONVERTIBLE BOND 984121BB8      594  1000000 PRN      SOLE                  1000000        0        0
                                                                                                                

</TABLE>


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