FIRST SECURITY BANK OF NEW MEXICO N A
13F-HR, 1999-05-14
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INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     1


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 ABBOTT  LABORATORIES                    002824100
280501       5992
X                  5532          0        460
 AFLAC  INCORPORATED                     001055102
141538       2600
X                  1100          0       1500
 AIRTOUCH  COMMUNICATIONS  INCORPORATED   00949T100
48989        507
X                   265          0        242
 ALLSTATE  CORPORATION                   020002101
48181       1300
X                  1300          0          0
 AMERICAN  ELECTRIC  POWER  INCORPORATED   025537101
39410        993
X                   993          0          0
 AMERICAN  HOME  PRODUCTS  CORPORATION     026609107
104400       1600
X                  1000          0        600
 AMERICAN  INTERNATIONAL  GROUP  INC       026874107
378039       3134
X                  2684          0        450
 AMERICAN  STORES  COMPANY  NEW            030096101
6600        200
X                   200          0          0
 AMERITECH  CORPORATION  NEW              030954101
85746       1488
X                   760          0        728
 AMGEN  INCORPORATED                     031162100
191680       2560
X                  2560          0          0
 AMR  CORPORATION  DELAWARE               001765106
5856        100
X                   100          0          0
 ANALOG  DEVICES  INCORPORATED            032654105
5950        200
X                   200          0          0
 APPLIED  MATERIALS  INCORPORATED         038222105
30844        500
X                   200          0        300
 ARMSTRONG  WORLD  INDUSTRIES  INC         042476101
9038        200
X                   200          0          0
 ASSOCIATES  FIRST  CAPITAL  CORP-CL  A     046008108
21330        474
X                   474          0          0
 AT  &  T  CORPORATION                     001957109
319649       4005
X                  2701          0       1304
 ATLANTIC  RICHFIELD  COMPANY             048825103
119340       1632
X                  1632          0          0
 BALTIMORE  GAS  &  ELECTRIC  COMPANY       059165100
15225        600
X                   600          0          0
 BANK  ONE  CORPORATION                   06423A103
199767       3628
X                  3628          0          0
 BAXTER  INTERNATIONAL  INCORPORATED      071813109
72600       1100
X                  1100          0          0
 BELL  ATLANTIC  CORPORATION              077853109
371633       7190
X                  5868          0       1322
 BELLSOUTH  CORPORATION                  079860102
240696       6008
X                  4924          0       1084
 BESTFOODS                              08658U101
65800       1400
X                  1400          0          0
 BOEING  COMPANY                         097023105
3400        100
X                   100          0          0
 BOSTON  SCIENTIFIC  CORPORATION          101137107
28438        700
X                   700          0          0
 BOWLIN  OUTDOOR  ADVERTISING  &  TRAVEL    102595105
3500        500
X                     0          0        500
 BRE  PROPERTIES  INCORPORATED-CLASS  A    05564E106
3959        175
X                     0          0        175
 BRISTOL-MYERS  SQUIBB  COMPANY           110122108
471191       7348
X                  7348          0          0
 BUTLER  MANUFACTURING  COMPANY  DEL       123655102
32906       1404
X                  1404          0          0
 CADENCE  DESIGN  SYSTEMS  INCORPORATED    127387108
8240        320
X                     0          0        320
 CAPITAL  ONE  FINANCIAL  CORPORATION      14040H105
45300        300
X                   300          0          0
 CARNIVAL  CORPORATION                   143658102
14569        300
X                   300          0          0
 CATELLUS  DEVELOPMENT  CORPORATION       149111106
281         21
X                     0          0         21
 CENTRAL  &  SOUTH  WEST  CORPORATION       152357109
14063        600
X                   600          0          0
 CHASE  MANHATTAN  CORPORATION  NEW        16161A108
32550        400
X                   400          0          0
 CHEVRON  CORPORATION                    166751107
128688       1450
X                  1450          0          0
 CHOICEPOINT  INCORPORATED               170388102
14713        295
X                   195          0        100
 CITIGROUP  INCORPORATED                 172967101
111781       1750
X                   550          0       1200
 COCA  COLA  COMPANY                      191216100
74878       1220
X                  1220          0          0
 COMERICA  INCORPORATED                  200340107
65559       1050
X                  1050          0          0
 COMPUTER  ASSOCIATES  INTL  INC           204912109
93814       2638
X                  1855          0        783
 CONAGRA  INCORPORATED                   205887102
24856        970
X                     0          0        970
 CONSOLIDATED  EDISON  INCORPORATED       209115104
190313       4200
X                  4200          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
4165811      73152
61093          0      12059
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     2


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 CONSOLIDATED  NATURAL  GAS  COMPANY       209615103
77900       1600
X                  1600          0          0
 CONSOLIDATED  STORES  CORPORATION        210149100
3031        100
X                   100          0          0
 CONVERSE  INCORPORATED  DELAWARE         212540108
99         33
X                     0          0         33
 CORN  PRODUCTS  INTERNATIONAL  INC        219023108
4189        175
X                   175          0          0
 COUNTRYWIDE  CREDIT  INDUSTRIES  INC      222372104
6938        185
X                     0          0        185
 CVS  CORPORATION                        126650100
60800       1280
X                     0          0       1280
 DELL  COMPUTER  CORPORATION              247025109
8175        200
X                   200          0          0
 DIXIE  GROUP  INCORPORATED-CLASS  A       255519100
7125       1000
X                     0          0       1000
 DOMINION  RES  BLACK  WARRIOR  TRUST       25746Q108
7406        500
X                     0          0        500
 DOMINION  RESOURCES  INC  VIRGINIA        257470104
71216       1928
X                  1850          0         78
 DU  PONT  E  I  DE  NEMOURS  &  COMPANY       263534109
23225        400
X                   300          0        100
 DUKE  ENERGY  CORPORATION                264399106
60294       1100
X                  1100          0          0
 ELECTRONIC  DATA  SYSTEMS  CORPORATION    285661104
1169         24
X                     0          0         24
 EQUIFAX  INCORPORATED                   294429105
101406       2950
X                  1950          0       1000
 EXXON  CORPORATION                      302290101
1336524      18941
X                 15042          0       3899
 FIFTH  THIRD  BANCORP                    316773100
44508        675
X                   675          0          0
 FIRST  SECURITY  CORPORATION  DEL         336294103
10631647     550506
X                531222          0      19284
 FIRST  TENNESSEE  NATIONAL  CORP          337162101
58600       1600
X                  1600          0          0
 FIRSTAR  CORPORATION  NEW  WIS            33763V109
68020        760
X                   760          0          0
 FLORSHEIM  GROUP  INCORPORATED           343302105
88         16
X                     0          0         16
 FOOTSTAR  INCORPORATED                  344912100
5888        184
X                     0          0        184
 FORD  MOTOR  COMPANY  DELAWARE            345370100
74091       1307
X                  1307          0          0
 FORTUNE  BRANDS  INCORPORATED            349631101
48972       1272
X                     0          0       1272
 FURNITURE  BRANDS  INTERNATIONAL  INC     360921100
664         30
X                     0          0         30
 GATX  CORPORATION                       361448103
13175        400
X                   400          0          0
 GENERAL  ELECTRIC  COMPANY               369604103
1088329       9838
X                  6606          0       3232
 GENERAL  MOTORS  CORPORATION             370442105
103269       1187
X                   187          0       1000
 GILLETTE  COMPANY                       375766102
59438       1000
X                   700          0        300
 GLOBAL  MARINE  INCORPORATED-COM-NEW     379352404
1175        100
X                     0          0        100
 GOODRICH  B  F  COMPANY                   382388106
20588        600
X                   500          0        100
 GREAT  NORTHERN  IRON  ORE  PROPERTIES     391064102
6000        100
X                     0          0        100
 GTE  CORPORATION                        362320103
48400        800
X                   700          0        100
 HARLEY  DAVIDSON  INCORPORATED           412822108
52326        912
X                     0          0        912
 HARRAHS  ENTERTAINMENT  INCORPORATED     413619107
5052        265
X                     0          0        265
 HILTON  HOTELS  CORPORATION              432848109
2813        200
X                   200          0          0
 HUNTINGTON  BANCSHARES  INC              446150104
123533       3993
X                  3993          0          0
 INDYMAC  MORTGAGE  HOLDINGS  INC          456607100
9070        834
X                   534          0        300
 INTEL  CORPORATION                      458140100
278643       2344
X                  1924          0        420
 INTERNATIONAL  BUSINESS  MACHINES  CORP   459200101
88625        500
X                   400          0        100
 JOHNSON  &  JOHNSON                      478160104
234685       2510
X                  2510          0          0
 JOHNSON  CONTROLS  INCORPORATED          478366107
43039        690
X                   690          0          0
 K  MART  CORPORATION                     482584109
90788       5400
X                     0          0       5400
 KELLOGG  COMPANY                        487836108
10820        320
X                   320          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
14981743     618759
577545          0      41214
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     3


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 KEYCORP  NEW                            493267108
24250        800
X                   800          0          0
 LOCKHEED  MARTIN  CORPORATION            539830109
7550        200
X                   200          0          0
 LSI  LOGIC  CORPORATION                  502161102
3431        110
X                     0          0        110
 LUCENT  TECHNOLOGIES  INCORPORATED       549463107
154224       1428
X                   648          0        780
 MALLINCKRODT  INCORPORATED  NEW          561232109
36157       1358
X                  1358          0          0
 MARRIOTT  INTERNATIONAL  INC  NEW-CL  A    571903202
6725        200
X                     0          0        200
 MARSHALL  &  ILSLEY  CORPORATION          571834100
49894        900
X                   900          0          0
 MATHSOFT  INCORPORATED                  576798102
3188       1000
X                  1000          0          0
 MCGRAW  HILL  COMPANIES  INCORPORATED     580645109
2180         40
X                    40          0          0
 MCI  WORLDCOM  INCORPORATED              55268B106
53138        600
X                   500          0        100
 MCKESSON  HBOC  INCORPORATED             58155Q103
26400        400
X                   200          0        200
 MEDIAONE  GROUP  INCORPORATED            58440J104
15479        244
X                     0          0        244
 MERCK  &  COMPANY  INCORPORATED           589331107
136213       1700
X                  1700          0          0
 MICROSOFT  CORPORATION                  594918104
298810       3334
X                  1800          0       1534
 MOBIL  CORPORATION                      607059102
79200        900
X                   900          0          0
 MONTANA  POWER  COMPANY                  612085100
15080        205
X                     0          0        205
 MOTOROLA  INCORPORATED                  620076109
21975        300
X                   300          0          0
 NATIONAL  CITY  CORPORATION              635405103
98235       1480
X                  1480          0          0
 NCR  CORPORATION-NEW                    62886E108
1850         37
X                     0          0         37
 NEW  PLAN  EXCEL  REALTY  TRUST  INC        648053106
38375       2000
X                  2000          0          0
 NEWMONT  MINING  CORPORATION             651639106
5950        340
X                   319          0         21
 ONEOK  INCORPORATED                     682680103
14850        600
X                   600          0          0
 ORACLE  SYSTEMS  CORPORATION             68389X105
2638        100
X                   100          0          0
 PARK  PL  ENTMT  CORP                     700690100
1513        200
X                   200          0          0
 PENNEY  J  C  INCORPORATED                708160106
35843        885
X                   885          0          0
 PEPSICO  INCORPORATED                   713448108
299784       7650
X                  7650          0          0
 PFIZER  INCORPORATED                    717081103
230880       1664
X                  1664          0          0
 PHILIP  MORRIS  COS  INCORPORATED         718154107
206199       5860
X                   100          0       5760
 PHYSICIAN  RELIANCE  NETWORK  INC         71940G108
5100        600
X                   600          0          0
 PIONEER  HI  BRED  INTERNATIONAL  INC      723686101
8654        230
X                     0          0        230
 PNC  FINANCIAL  CORPORATION              693475105
33338        600
X                   600          0          0
 POTOMAC  ELECTRIC  POWER  COMPANY         737679100
73644       3176
X                  3176          0          0
 PRAXAIR  INCORPORATED                   74005P104
9953        276
X                   276          0          0
 PROCTER  &  GAMBLE  COMPANY               742718109
186081       1900
X                  1100          0        800
 PUBLIC  STORAGE  INCORPORATED            74460D109
37675       1507
X                     0          0       1507
 QWEST  COMMUNICATIONS  INTL  INC          749121109
20186        280
X                     0          0        280
 RAYTHEON  COMPANY-CLASS  A               755111309
809         14
X                    12          0          2
 RAYTHEON  COMPANY-CLASS  B               755111408
9380        160
X                   160          0          0
 SBC  COMMUNICATIONS  INCORPORATED        78387G103
173556       3678
X                  2496          0       1182
 SCHERING  PLOUGH  CORPORATION            806605101
77350       1400
X                  1400          0          0
 SEARS  ROEBUCK  &  COMPANY                812387108
31631        700
X                   700          0          0
 SINGER  COMPANY  N  V                     82930F109
1010        265
X                     0          0        265
 SODEXHO  MARRIOTT  SERVICES  INC          833793102
552         25
X                     0          0         25
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
2538930      49346
35864          0      13482
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     4


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                     COMMON  STOCK
             ------------------------------

 SOUTHERN  COMPANY                       842587107
78307       3359
X                  3139          0        220
 SOUTHWEST  AIRLINES  COMPANY             844741108
6806        225
X                     0          0        225
 SPRINT  CORPORATION                     852061100
7850         80
X                    80          0          0
 SPRINT  CORPORATION-PCS  GROUP           852061506
1773         40
X                    40          0          0
 SUPERVALU  INCORPORATED                 868536103
111788       5420
X                  5420          0          0
 SYLVAN  LEARNING  SYSTEMS  INCORPORATED   871399101
2738        100
X                     0          0        100
 TECO  ENERGY  INCORPORATED               872375100
49688       2500
X                  2500          0          0
 TERADYNE  INCORPORATED                  880770102
24553        450
X                   450          0          0
 TEXACO  INCORPORATED                    881694103
55161        972
X                   872          0        100
 TEXAS  UTILITIES  COMPANY                882848104
42000       1000
X                   900          0        100
 TORCH  ENERGY  RTY  TR-UNIT  BEN  INT       891013104
3900        800
X                     0          0        800
 TRI  CONTINENTAL  CORPORATION            895436103
39962       1378
X                  1378          0          0
 TRICON  GLOBAL  RESTAURANTS  INC          895953107
52336        745
X                   745          0          0
 TYCO  INTERNATIONAL  LTD-NEW             902124106
14350        200
X                   200          0          0
 U  S  WEST  INCORPORATED  NEW              91273H101
54732        994
X                   544          0        450
 UNION  CARBIDE  CORPORATION              905581104
13195        292
X                   292          0          0
 UNION  PACIFIC  CORPORATION              907818108
44513        833
X                   673          0        160
 UNION  PACIFIC  RESOURCES  GROUP  INC      907834105
1615        136
X                     0          0        136
 UNITED  STATES  FILTER  CORPORATION       911843209
9188        300
X                   300          0          0
 USX  MARATHON  GROUP-COMMON  NEW          902905827
4593        167
X                     0          0        167
 WAL  MART  STORES  INCORPORATED           931142103
173313       1880
X                  1400          0        480
 WARNER  LAMBERT  COMPANY                 934488107
238500       3600
X                  3600          0          0
 WD  40  COMPANY                          929236107
14500        500
X                   500          0          0
 WELLS  FARGO  &  COMPANY  NEW              949746101
164093       4680
X                  4680          0          0
 WESTERN  RESOURCES  INCORPORATED         959425109
2669        100
X                   100          0          0
 WILMINGTON  TRUST  CORPORATION           971807102
22850        400
X                   400          0          0
 WISCONSIN  ENERGY  CORPORATION           976657106
23456        900
X                   900          0          0
 WPS  RESOURCES  CORPORATION              92931B106
11800        400
X                   400          0          0
 WRIGLEY  WM  JR  COMPANY                  982526105
140178       1550
X                  1550          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  COMMON  STOCK
23096891     775258
705565          0      69693
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     5


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 A.  COMMON  STOCK
INSTR  OTHER

V
                 FOREIGN  COMMON  STOCK
             ------------------------------

 BP  AMOCO  PLC-SPONSORED  ADR             055622104
5252         52
X                    52          0          0
 CABLE  &  WIRELESS  PLC-ADR               126830207
3694        100
X                     0          0        100
 GALLAHER  GROUP  PLC-SPONSORED  ADR       363595109
29892       1272
X                     0          0       1272
 ROYAL  DUTCH  PETE  CO  -  NY  REG  5  GLDR    780257804
14976        288
X                   288          0          0
 SCHLUMBERGER  LIMITED                   806857108
12038        200
X                   200          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  FOREIGN  COMMON  STOCK
65852       1912
540          0       1372
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     6

 *SUMMARY  PAGE  FOR  A.  COMMON  STOCK  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 39  COMMON  STOCK
23096891     775258
705565          0      69693
 40  FOREIGN  COMMON  STOCK
65852       1912
540          0       1372
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
23162743     777170
706105          0      71065
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     7


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 B.  PREFERRED  STOCK
INSTR  OTHER

V
                    PREFERRED  STOCK
             ------------------------------

 FREEPORT  MCMORAN  COPPER  GO-PFD  DEP     35671D501
3175        200
X               N.A.       N.A.       N.A.
 GENERAL  MOTORS  CORPORATION  CLASS  H     370442832
303          6
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  PREFERRED  STOCK
3478        206
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     8

 *SUMMARY  PAGE  FOR  B.  PREFERRED  STOCK  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 36  PREFERRED  STOCK
3478        206
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
3478        206
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE     9


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
              MUTUAL  FD/INV  TRUSTS-EQUITY
             ------------------------------

 AMERICAN  INDL  PPTYS  REIT             *  026791202
7033        605
X               N.A.       N.A.       N.A.
 LL  &  E  ROYALTY  TRUST                 *  502003106
2750       1000
X               N.A.       N.A.       N.A.
 OXFORD  TAX  EXEMPT  FD  II  LTD          *  69181P100
18047        750
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-EQUITY
27830       2355
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE    10


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-BOND
             ------------------------------

 MFS  MULTIMARKET  INCOME  TRUST  -  SBI   *  552737108
11838       1857
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-BOND
11838       1857
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE    11


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-MUNI
             ------------------------------

 MFS  MUN  INCOME  TR                    *  552738106
11230       1302
X               N.A.       N.A.       N.A.
 MSDW  -  MUNICIPAL  INC  OPPORTUNITIES   *  61745P452
56078       5942
X               N.A.       N.A.       N.A.
 MUNICIPAL  YIELD  FUND  INCORPORATED    *  626299101
9300        600
X               N.A.       N.A.       N.A.
 MUNIYIELD  QUALITY  FUND  II  INC        *  62630T104
50750       3500
X               N.A.       N.A.       N.A.
 PUTNAM  HIGH  YIELD  MUN  TR             *  746781103
10938       1000
X               N.A.       N.A.       N.A.
 PUTNAM  MUN  OPPORTUNITIES  TR-SBI      *  746922103
5975        400
X               N.A.       N.A.       N.A.
 VAN  KAMPEN  AMERN  CAP  MUN             *  920935103
5797        350
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-MUNI
150068      13094
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE    12


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
               MUTUAL  FD/INV  TRUSTS-GOVT
             ------------------------------

 ACM  GOVERNMENT  INCOME  FUND           *  000912105
10125       1200
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-GOVT
10125       1200
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE    13


SEC
USE  ONLY  ______________________________
 ITEM  1                ITEM  2            ITEM  3
ITEM  4     ITEM  5
ITEM  6      ITEM  7          ITEM  8
 NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)

SOLE
SHRD-  SHRD-              SOLE     SHARED      NONE
 C.  OTHER
INSTR  OTHER

V
             LTD  PARTNERSHIPS  NON  REAL  EST
             ------------------------------

 ALLIANCE  CAPITAL  MANAGEMENT-LP       *  018548107
12656        500
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  LTD  PARTNERSHIPS  NON  REAL  EST
12656        500
N.A.       N.A.       N.A.
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE    14

 *SUMMARY  PAGE  FOR  C.  OTHER  *


 MINOR ASSET TYPE
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ---------------------------------                  --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 51  MUTUAL  FD/INV  TRUSTS-EQUITY
27830       2355
N.A.       N.A.       N.A.
 54  MUTUAL  FD/INV  TRUSTS-GOVT
10125       1200
N.A.       N.A.       N.A.
 52  MUTUAL  FD/INV  TRUSTS-BOND
11838       1857
N.A.       N.A.       N.A.
 53  MUTUAL  FD/INV  TRUSTS-MUNI
150068      13094
N.A.       N.A.       N.A.
 88  LTD  PARTNERSHIPS  NON  REAL  EST
12656        500
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
212517      19006
N.A.       N.A.       N.A.

     *  THESE  ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE
MINOR ASSET TYPE IS
NOT  INCLUDED  IN  THE  MAPPING
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  914  PAGE    15

 **SUMMARY  PAGE  FOR:  FIRST  SECURITY  BANK  **


 CATEGORY
MARKET    SH/PV    INVEST
AUTH     MNGR      VOTING  AUTH(SHARES)
 ------------------                                 --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------

 A.  COMMON  STOCK
23162743     777170
706105          0      71065
 B.  PREFERRED  STOCK
3478        206
N.A.       N.A.       N.A.
 C.  OTHER
212517      19006
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 **GRAND  TOTALS**
23378738     796382
706105          0      71065
1
1 JOB: JN914EQ0      DATE:  4/ 3/99      TIME: 15:02:17
BANK:  840  ID:  933

 ******************************
 *        END  OF  REPORT       *
 ******************************






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