FIRST SECURITY TRUST CO OF NEVADA
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#  896  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
7022        150
X                   150          0          0
 AIRTOUCH  COMMUNICATIONS  INCORPORATED   00949T100
304369       3150
X                  3150          0          0
 ALBERTSONS  INCORPORATED                013104104
266744       4900
X                  4900          0          0
 ALDILA  INCORPORATED                    014384101
469        250
X                   250          0          0
 ALLSTATE  CORPORATION                   020002101
213554       5762
X                  5762          0          0
 ALLTEL  CORPORATION                     020039103
7610        122
X                   122          0          0
 ALTAIR  INTERNATIONAL  INC               02136W102
18181       2999
X                  2999          0          0
 ALTERA  CORPORATION                     021441100
297500       5000
X                  5000          0          0
 AMEREN  CORPORATION                     023608102
223639       6180
X                  6180          0          0
 AMERICAN  ELECTRIC  POWER  INCORPORATED   025537101
15875        400
X                   400          0          0
 AMERICAN  EXPRESS  COMPANY               025816109
1048564       8905
X                  5755          0       3150
 AMERICAN  HOME  PRODUCTS  CORPORATION     026609107
2066141      31665
X                 23565          0       8100
 AMERICAN  INTERNATIONAL  GROUP  INC       026874107
919404       7622
X                  5372          0       2250
 AMERICAN  SOFTWARE  INC-CLASS  A          029683109
625        200
X                   200          0          0
 AMERICAN  STORES  COMPANY  NEW            030096101
1346895      40815
X                 27915          0      12900
 AMERICAN  TOWER  CORP                    029912201
141512       5776
X                  5776          0          0
 AMERITECH  CORPORATION  NEW              030954101
44256        768
X                   768          0          0
 ANADARKO  PETROLEUM  CORPORATION         032511107
173650       4600
X                  4600          0          0
 ANALOG  DEVICES  INCORPORATED            032654105
277657       9333
X                  9333          0          0
 APPLIED  MATERIALS  INCORPORATED         038222105
80194       1300
X                  1300          0          0
 ARCHER  DANIELS  MIDLAND  COMPANY         039483102
6800        463
X                   463          0          0
 ARMCO  INCORPORATED                     042170100
4438       1000
X                  1000          0          0
 ASCEND  COMMUNICATIONS  INCORPORATED     043491109
25106        300
X                   300          0          0
 ASSOCIATES  FIRST  CAPITAL  CORP-CL  A     046008108
23580        524
X                   524          0          0
 AT  &  T  CORPORATION                     001957109
2109923      26436
X                 19636          0       6800
 ATLANTIC  RICHFIELD  COMPANY             048825103
190125       2600
X                  2600          0          0
 AUTOMATIC  DATA  PROCESSING  INC          053015103
18205        440
X                   440          0          0
 AVIRON                                 053762100
2025        100
X                   100          0          0
 AZTAR  CORPORATION                      054802103
1203        250
X                   250          0          0
 BANK  ONE  CORPORATION                   06423A103
922848      16760
X                 11430          0       5330
 BANKAMERICA  CORPORATION                06605F102
1626211      23026
X                 18175          0       4851
 BAUSCH  &  LOMB  INCORPORATED             071707103
2600         40
X                    40          0          0
 BECTON  DICKINSON  &  COMPANY             075887109
7663        200
X                   200          0          0
 BELL  ATLANTIC  CORPORATION              077853109
320463       6200
X                  6200          0          0
 BELLSOUTH  CORPORATION                  079860102
304475       7600
X                  7600          0          0
 BERKSHIRE  HATHAWAY  INC  DEL-CLASS  B     084670207
686492        292
X                   175          0        117
 BOEING  COMPANY                         097023105
931600      27400
X                 19050          0       8350
 BOYD  GAMING  CORPORATION                103304101
25696       6046
X                  6046          0          0
 BRE  PROPERTIES  INCORPORATED-CLASS  A    05564E106
15838        700
X                   700          0          0
 BRISTOL-MYERS  SQUIBB  COMPANY           110122108
746159      11636
X                 11636          0          0
 BRUNSWICK  CORPORATION                  117043109
19063       1000
X                  1000          0          0
 BURLINGTON  NORTHERN  SANTA  FE  CORP      12189T104
295875       9000
X                  9000          0          0
 CABLETRON  SYSTEMS  INCORPORATED         126920107
2456        300
X                   300          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
15742705     282210
230362          0      51848
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  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
             ------------------------------

 CALLON  PETROLEUM  COMPANY  DELAWARE      13123X102
668         60
X                    60          0          0
 CAMDEN  PROPERTY  TRUST                  133131102
3737        151
X                   151          0          0
 CAMPBELL  SOUP  COMPANY                  134429109
5696        140
X                   140          0          0
 CAPITAL  ONE  FINANCIAL  CORPORATION      14040H105
1289540       8540
X                  5490          0       3050
 CARNIVAL  CORPORATION                   143658102
13598        280
X                   280          0          0
 CBS  CORPORATION                        12490K107
8163        200
X                   200          0          0
 CENDANT  CORPORATION                    151313103
4781        300
X                   300          0          0
 CENTER  BANCORP  INC                     151408101
1638        100
X                   100          0          0
 CENTURY  TELEPHONE  ENTERPRISES  INC      156686107
8430        120
X                   120          0          0
 CERES  GROUP  INCORPORATED               156772105
1750        200
X                   200          0          0
 CHASE  MANHATTAN  CORPORATION  NEW        16161A108
1533349      18843
X                 13493          0       5350
 CHELSEA  GCA  REALTY  INCORPORATED        163262108
13938        500
X                   500          0          0
 CHEVRON  CORPORATION                    166751107
266250       3000
X                  3000          0          0
 CILCORP  INCORPORATED                   171794100
18019        300
X                   300          0          0
 CINERGY  CORPORATION                    172474108
4125        150
X                   150          0          0
 CIRCUS  CIRCUS  ENTERPRISES  INC          172909103
223044      12700
X                 12700          0          0
 CIRRUS  LOGIC  INCORPORATED              172755100
1275        200
X                   200          0          0
 CISCO  SYSTEMS  INCORPORATED             17275R102
3387125      30915
X                 22165          0       8750
 CITIGROUP  INCORPORATED                 172967101
1939309      30361
X                 21636          0       8725
 CITIZENS  UTILITIES  CO  DELAWARE-SER  B   177342201
287         37
X                    37          0          0
 COASTAL  CORPORATION                    190441105
906345      27465
X                 18965          0       8500
 COCA  COLA  COMPANY                      191216100
1400025      22811
X                 18011          0       4800
 COGNICASE  INC                          192423101
1725        100
X                   100          0          0
 COLGATE  PALMOLIVE  COMPANY              194162103
218720800    2377400
X               2377400          0          0
 COLONIAL  BANCGROUP  INCORPORATED        195493309
120000      10000
X                 10000          0          0
 COMMSCOPE  INCORPORATED                 203372107
10469        500
X                   500          0          0
 COMPAQ  COMPUTER  CORPORATION            204493100
1669931      52700
X                 43200          0       9500
 COMPUSA  INCORPORATED                   204932107
700        100
X                   100          0          0
 CONSOLIDATED  EDISON  INCORPORATED       209115104
27188        600
X                   600          0          0
 CROSS  TIMBERS  OIL  COMPANY              227573102
7063       1000
X                  1000          0          0
 CVS  CORPORATION                        126650100
10450        220
X                   220          0          0
 DAIMLERCHRYSLER  AG                     D1668R123
579149       6749
X                  4204          0       2545
 DALLAS  SEMICONDUCTOR  CORPORATION       235204104
3863        100
X                   100          0          0
 DAYTON  HUDSON  CORPORATION              239753106
756527      11355
X                  7305          0       4050
 DELL  COMPUTER  CORPORATION              247025109
1138655      27857
X                 20157          0       7700
 DISNEY  WALT  COMPANY                    254687106
769566      24725
X                 19850          0       4875
 DOLE  FOOD  COMPANY                      256605106
171000       5700
X                  5700          0          0
 DOLLAR  TREE  STORES  INCORPORATED        256747106
570178      18430
X                 12880          0       5550
 DOMINION  RESOURCES  INC  VIRGINIA        257470104
7351        199
X                   199          0          0
 DU  PONT  E  I  DE  NEMOURS  &  COMPANY       263534109
1043673      17975
X                 12825          0       5150
 DUKE  ENERGY  CORPORATION                264399106
342030       6240
X                  6240          0          0
 EASTMAN  KODAK  COMPANY                  277461109
12775        200
X                   200          0          0
 EDISON  INTERNATIONAL                   281020107
8900        400
X                   400          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
237003085    2719923
2641378          0      78545
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  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
             ------------------------------

 ELECTRONIC  DATA  SYSTEMS  CORPORATION    285661104
7303        150
X                   150          0          0
 EMERSON  ELECTRIC  COMPANY               291011104
240866       4550
X                  4550          0          0
 EXXON  CORPORATION                      302290101
1001282      14190
X                  9490          0       4700
 FANNIE  MAE                             313586109
1541159      22255
X                 18655          0       3600
 FIRST  DATA  CORPORATION                 319963104
6242        146
X                   146          0          0
 FIRST  SECURITY  CORPORATION  DEL         336294103
4838940     250560
X                250560          0          0
 FIRST  SOUTHN  BANCSHARES  INC            33645B107
1350        100
X                   100          0          0
 FLORIDA  PROGRESS  CORPORATION           341109106
5663        150
X                   150          0          0
 FORD  MOTOR  COMPANY  DELAWARE            345370100
759329      13395
X                  8595          0       4800
 FORTUNE  BRANDS  INCORPORATED            349631101
19250        500
X                   500          0          0
 FRANKLIN  RESOURCES  INCORPORATED        354613101
295313      10500
X                 10500          0          0
 GAP  INCORPORATED                       364760108
46109        685
X                   685          0          0
 GENERAL  ELECTRIC  COMPANY               369604103
291856406    2638250
X               2631150          0       7100
 GENUINE  PARTS  COMPANY                  372460105
129656       4500
X                  4500          0          0
 GEORGIA  PACIFIC  CORP  TIMBER  GROUP      373298702
2244        100
X                   100          0          0
 GEORGIA  PACIFIC  GROUP                  373298108
7425        100
X                   100          0          0
 GILLETTE  COMPANY                       375766102
896318      15080
X                 10080          0       5000
 GLOBAL  PAYMENT  TECHNOLOGIES  INC        37936S109
1088        100
X                   100          0          0
 GLOBALSTAR  TELECOMMUNICATIONS          G3930H104
3968        286
X                   286          0          0
 GOODRICH  B  F  COMPANY                   382388106
685564      19980
X                 15730          0       4250
 GPU  INCORPORATED                       36225X100
7463        200
X                   200          0          0
 GTE  CORPORATION                        362320103
214775       3550
X                  3550          0          0
 GTS  DURATEK  INCORPORATED               36237J107
1025        200
X                   200          0          0
 GUIDANT  CORPORATION                    401698105
653400      10800
X                 10800          0          0
 HARRAHS  ENTERTAINMENT  INCORPORATED     413619107
140109       7350
X                  7350          0          0
 HEALTH  MANAGEMENT  SYSTEMS  INC          42219M100
1425        300
X                   300          0          0
 HECLA  MINING  COMPANY                   422704106
134         50
X                    50          0          0
 HEINZ  H  J  COMPANY                      423074103
416426       8790
X                  8790          0          0
 HERTZ  TECHNOLOGY  GROUP  INC             42804Y303
39375       3000
X                  3000          0          0
 HEWLETT  PACKARD  COMPANY                428236103
1584439      23365
X                 15415          0       7950
 HILTON  HOTELS  CORPORATION              432848109
7031        500
X                   500          0          0
 HOME  DEPOT  INCORPORATED                437076102
2062031      33125
X                 26475          0       6650
 HOMESTAKE  MINING  COMPANY               437614100
1725        200
X                     0          0        200
 HOUSEHOLD  INTERNATIONAL  INCORPORATED   441815107
6159        135
X                   135          0          0
 HUMANA  INCORPORATED                    444859102
863         50
X                    50          0          0
 I-LINK  CORPORATION                     449927102
69867      28300
X                 28300          0          0
 IMPERIAL  CREDIT  INDUSTRIES  INC         452729106
73491      10050
X                  5650          0       4400
 INDYMAC  MORTGAGE  HOLDINGS  INC          456607100
6634        610
X                   610          0          0
 INTEL  CORPORATION                      458140100
3380805      28440
X                 22540          0       5900
 INTERNATIONAL  BUSINESS  MACHINES  CORP   459200101
1564231       8825
X                  5925          0       2900
 INTERNATIONAL  REMOTE  IMAGING  SYS  INC   460259500
163        200
X                   200          0          0
 INTERPUBLIC  GROUP  COMPANIES  INC        460690100
11681        150
X                   150          0          0
 INVIVO  CORPORPORATION                  461858102
1350        100
X                   100          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
312590077    3163867
3106417          0      57450
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  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
             ------------------------------

 IVAX  CORPORATION                       465823102
2953        250
X                   250          0          0
 JCC  HOLDING  COMPANY-CLASS  A            46611Q205
0        487
X                   487          0          0
 JOHNSON  &  JOHNSON                      478160104
1054680      11280
X                  9130          0       2150
 K  MART  CORPORATION                     482584109
3363        200
X                   200          0          0
 KIMBERLY  CLARK  CORPORATION             494368103
1190048      24825
X                 18775          0       6050
 LCA  VISION  INCORPORATED-COMMON  NEW     501803209
84         21
X                    21          0          0
 LEAR  CORPORATION                       521865105
86229       2020
X                  2020          0          0
 LEXMARK  INTL  GROUP  INC-CL  A            529771107
10069         90
X                    90          0          0
 LILLY  ELI  &  COMPANY                    532457108
23341        275
X                   275          0          0
 LOCKHEED  MARTIN  CORPORATION            539830109
143450       3800
X                  3800          0          0
 LSI  LOGIC  CORPORATION                  502161102
9356        300
X                   300          0          0
 LUCENT  TECHNOLOGIES  INCORPORATED       549463107
2678832      24804
X                 20329          0       4475
 MCDONALDS  CORPORATION                  580135101
444969       9820
X                  9820          0          0
 MCGRAW  HILL  COMPANIES  INCORPORATED     580645109
666535      12230
X                  7630          0       4600
 MCI  WORLDCOM  INCORPORATED              55268B106
3992220      45078
X                 34364          0      10714
 MCKESSON  HBOC  INCORPORATED             58155Q103
1017852      15422
X                  9512          0       5910
 MEDTRONIC  INCORPORATED                 585055106
289081       4022
X                  4022          0          0
 MERCK  &  COMPANY  INCORPORATED           589331107
2713834      33870
X                 28120          0       5750
 MGC  COMMUNICATIONS  INC                 552763302
900000      90000
X                 90000          0          0
 MGM  GRAND  INCORPORATED                 552953101
45495       1353
X                  1188          0        165
 MICRON  TECHNOLOGY  INCORPORATED         595112103
28913        600
X                   600          0          0
 MICROSOFT  CORPORATION                  594918104
3778590      42160
X                 33960          0       8200
 MIKOHN  GAMING  CORPORATION              59862K108
300        100
X                   100          0          0
 MILLS  CORPORATION-REIT                 601148109
17938       1000
X                  1000          0          0
 MINNESOTA  MINING  &  MANUFACTURING  CO    604059105
14150        200
X                   200          0          0
 MIRAGE  RESORTS  INCORPORATED            60462E104
29750       1400
X                  1400          0          0
 MOBIL  CORPORATION                      607059102
1091200      12400
X                 10300          0       2100
 MOMENTUM  BUSINESS  APPLICATIONS  INC     60877P108
18          2
X                     2          0          0
 MONSANTO  COMPANY                       611662107
640828      13950
X                  9525          0       4425
 MOTOROLA  INCORPORATED                  620076109
366250       5000
X                  5000          0          0
 MYLAN  LABORATORIES  INCORPORATED        628530107
273415       9965
X                  9965          0          0
 NAPRO  BIOTHERAPEUTICS  INCORPORATED     630795102
722        300
X                   300          0          0
 NASDAQ  GOLD  TR                         631100104
20988        200
X                   200          0          0
 NCR  CORPORATION-NEW                    62886E108
14650        293
X                   293          0          0
 NEOTHERAPEUTICS  INCORPORATED           640656104
1825        200
X                   200          0          0
 NETMANAGE  INCORPORATED                 641144100
722        300
X                   300          0          0
 NETWORK  APPLIANCE  INCORPORATED         64120L104
20250        400
X                   400          0          0
 NEVADA  POWER  COMPANY                   641423108
24750       1000
X                  1000          0          0
 NEW  PLAN  EXCEL  REALTY  TRUST  INC        648053106
11513        600
X                   600          0          0
 NEWMONT  MINING  CORPORATION             651639106
753         43
X                    43          0          0
 NORDSTROM  INCORPORATED                 655664100
294300       7200
X                  7200          0          0
 NORTHERN  TRUST  CORPORATION             665859104
44406        500
X                   500          0          0
 NOVELL  INCORPORATED                    670006105
2519        100
X                   100          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
21951141     378060
323521          0      54539
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  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
                     COMMON  STOCK
             ------------------------------

 OCCIDENTAL  PETROLEUM  CORPORATION       674599105
5400        300
X                   300          0          0
 OMNICOM  GROUP                          681919106
14389        180
X                   180          0          0
 PAINE  WEBBER  GROUP  INCORPORATED        695629105
11963        300
X                   300          0          0
 PENNEY  J  C  INCORPORATED                708160106
101250       2500
X                  2500          0          0
 PEPSICO  INCORPORATED                   713448108
894494      22826
X                 17356          0       5470
 PFIZER  INCORPORATED                    717081103
1301475       9380
X                  6130          0       3250
 PHARMACIA  &  UPJOHN  INCORPORATED        716941109
246069       3945
X                  3945          0          0
 PHARMAPRINT  INCORPORATED               716950100
18000       2000
X                  2000          0          0
 PHELPS  DODGE  CORPORATION               717265102
4925        100
X                   100          0          0
 PHILIP  MORRIS  COS  INCORPORATED         718154107
895522      25450
X                 25450          0          0
 PHYCOR  INCORPORATED                    71940F100
475        100
X                   100          0          0
 PIER  1  IMPORTS  INCORPORATED            720279108
813        100
X                   100          0          0
 PPG  INDUSTRIES  INCORPORATED            693506107
205000       4000
X                  4000          0          0
 PREMIERE  TECHNOLOGIES  INCORPORATED     74058F102
11375       1000
X                  1000          0          0
 PROCTER  &  GAMBLE  COMPANY               742718109
1145869      11700
X                 11700          0          0
 PUBLIC  SERVICE  ENTERPRISE  GROUP        744573106
3819        100
X                   100          0          0
 PYRAMID  BREWERIES  INCORPORATED         747135101
88         50
X                    50          0          0
 QUESTAR  CORPORATION                    748356102
156672       9250
X                  8250          0       1000
 QUORUM  HEALTH  GROUP  INCORPORATED       749084109
22500       2250
X                     0          0       2250
 QWEST  COMMUNICATIONS  INTL  INC          749121109
1922742      26670
X                 19740          0       6930
 RALCORP  HOLDINGS  INCORPORATED  NEW      751028101
9500        500
X                   500          0          0
 RITE  AID  CORPORATION                   767754104
384375      15375
X                  9000          0       6375
 ROWAN  COMPANIES  INCORPORATED           779382100
190         15
X                    15          0          0
 SANTA  FE  GAMING  CORPORATION            801904103
4339       7713
X                  7713          0          0
 SARA  LEE  CORPORATION                   803111103
406519      16425
X                 11725          0       4700
 SBC  COMMUNICATIONS  INCORPORATED        78387G103
960926      20364
X                 13664          0       6700
 SCHERING  PLOUGH  CORPORATION            806605101
2349506      42525
X                 37825          0       4700
 SEMPRA  ENERGY                          816851109
11513        600
X                   600          0          0
 SERVICE  CORPORATION  INTERNATIONAL      817565104
227587      15971
X                 15971          0          0
 SERVICEMASTER  COMPANY                  81760N109
9141        450
X                   450          0          0
 SHERWIN  WILLIAMS  COMPANY               824348106
360000      12800
X                 12800          0          0
 SIMON  PROPERTY  GROUP                   828806109
16792        612
X                   612          0          0
 SOLUTIA  INCORPORATED                   834376105
17375       1000
X                  1000          0          0
 SOUTHERN  COMPANY                       842587107
13988        600
X                   600          0          0
 SOUTHWEST  GAS  CORPORATION              844895102
7095        258
X                   258          0          0
 SPRINT  CORPORATION                     852061100
49063        500
X                   500          0          0
 SPRINT  CORPORATION-PCS  GROUP           852061506
11078        250
X                   250          0          0
 ST  JUDE  MEDICAL  INCORPORATED           790849103
5777        237
X                   237          0          0
 STARWOOD  HOTELS  &  RESORTS  WORLDWIDE    85590A203
602640      21099
X                 12699          0       8400
 STATION  CASINOS  INCORPORATED           857689103
30281       2375
X                  1375          0       1000
 SUMMIT  TECHNOLOGY  INCORPORATED         86627E101
825         75
X                    75          0          0
 SUN  HEALTHCARE  GROUP  INCORPORATED      866933104
300        300
X                   300          0          0
 SUNTRUST  BANKS  INCORPORATED            867914103
12388        199
X                   199          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  THIS  PAGE
12454038     282444
231669          0      50775
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  PAGE     6


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
             ------------------------------

 SYMMETRICOM  INCORPORATED               871543104
8206       1300
X                  1300          0          0
 TEXACO  INCORPORATED                    881694103
1117975      19700
X                 13500          0       6200
 TEXAS  INSTRUMENTS  INCORPORATED         882508104
19850        200
X                   200          0          0
 TEXAS  UTILITIES  COMPANY                882848104
405300       9650
X                  5750          0       3900
 TOYS  R  US  INCORPORATED                 892335100
1881        100
X                   100          0          0
 TRICON  GLOBAL  RESTAURANTS  INC          895953107
43274        616
X                   616          0          0
 TYCO  INTERNATIONAL  LTD-NEW             902124106
1701193      23710
X                 15360          0       8350
 U  S  FOODSERVICE                        90331R101
764925      16450
X                 10850          0       5600
 UNION  PACIFIC  CORPORATION              907818108
267455       5005
X                  5005          0          0
 UNITED  RD  SVCS  INC                     911384105
77813      15000
X                 15000          0          0
 UNITED  STATES  FILTER  CORPORATION       911843209
1035462      33811
X                 21611          0      12200
 UNITED  TECHNOLOGIES  CORPORATION        913017109
43340        320
X                   320          0          0
 UNIVIEW  TECHNOLOGIES-COM  PAR  $0.10     915282206
656        500
X                   500          0          0
 US  BANCORP  DELAWARE                    902973106
390867      11475
X                  6675          0       4800
 UTILICORP  UNITED  INCORPORATED          918005109
13650        600
X                   600          0          0
 VIACOM  INCORPORATED-CLASS  B            925524308
7554         90
X                    90          0          0
 VLASIC  FOODS  INTERNATIONAL  INC         928559103
181         14
X                    14          0          0
 WACKENHUT  CORRECTIONS  CORPORATION      929798106
21920       1135
X                  1135          0          0
 WAL  MART  STORES  INCORPORATED           931142103
2011808      21823
X                 15973          0       5850
 WALGREEN  COMPANY                       931422109
19775        700
X                   700          0          0
 WARNER  LAMBERT  COMPANY                 934488107
2799063      42250
X                 37375          0       4875
 WD  40  COMPANY                          929236107
5800        200
X                   200          0          0
 WELLS  FARGO  &  COMPANY  NEW              949746101
623236      17775
X                  7925          0       9850
 WOLVERINE  TUBE  INCORPORATED            978093102
10563        500
X                   500          0          0
 WPS  RESOURCES  CORPORATION              92931B106
5900        200
X                   200          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  COMMON  STOCK
611138693    7049628
6694846          0     354782
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  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
 A.  COMMON  STOCK
INSTR  OTHER

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

 ANGLO  AMERICAN  GOLD  ADR                034870501
234         50
X                    50          0          0
 BARRICK  GOLD  CORPORATION               067901108
9401        551
X                   551          0          0
 BP  AMOCO  PLC-SPONSORED  ADR             055622104
267246       2646
X                  2646          0          0
 CABLE  &  WIRELESS  PLC-ADR               126830207
7388        200
X                   200          0          0
 CORE  LABORATORIES  N  V                  N22717107
5288        300
X                   300          0          0
 ERICSSON  L  M  TEL  CO-ADR  CL  B  SEK  10    294821400
4763        200
X                   200          0          0
 ESPIRITO  SANTO  FINL-SPRD  ADR           29665F200
3953        250
X                   250          0          0
 FIRST  AUSTRALIA  PRIME  INCOME  FD  INC    318653102
23526       3841
X                  3841          0          0
 GLAXO  PUBLIC  LTD  CO-SPONSORED  ADR      37733W105
3347         50
X                    50          0          0
 HONG  KONG  TELECOMNS  LTD-ADR            438579203
5869        300
X                   300          0          0
 POTASH  CORP  SASK  INCORPORATED          73755L107
53019        991
X                   991          0          0
 SCHLUMBERGER  LIMITED                   806857108
994899      16530
X                 12930          0       3600
 SMITHKLINE  BEECHAM-ADR  REPSTG  ORD  A    832378301
30388        425
X                   425          0          0
 SUPERMERCADOS  UNIMARC  SA-SO  ADR        868453101
613        200
X                   200          0          0
 TELEFONOS  DE  MEXICO  S  A-SPNSD  ADR      879403780
1650         25
X                    25          0          0
 ZI  CORPORATION                         988918108
300        200
X                   200          0          0
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  FOREIGN  COMMON  STOCK
1411884      26759
23159          0       3600
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  PAGE     8

 *SUMMARY  PAGE  FOR  A.  COMMON  STOCK  *


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

 39  COMMON  STOCK
611138693    7049628
6694846          0     354782
 40  FOREIGN  COMMON  STOCK
1411884      26759
23159          0       3600
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
612550577    7076387
6718005          0     358382
1
 INFORMATION  REQUIRED  OF  INSTITUTIONAL  INVESTMENT
MANAGERS
 PREPARED  FOR:  FIRST SECURITY BANK                   ON
4/3/99   AS OF 3/31/99
DEPT  ID#  896  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
 B.  PREFERRED  STOCK
INSTR  OTHER

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

 MICROSOFT  CORP  SERIES  A-PFD            594918203
9850        100
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  CONVERTIBLE  PREFERRED  STOCK
9850        100
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#  896  PAGE    10

 *SUMMARY  PAGE  FOR  B.  PREFERRED  STOCK  *


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

 37  CONVERTIBLE  PREFERRED  STOCK
9850        100
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
9850        100
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#  896  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-EQUITY
             ------------------------------

 AMERICAN  INDL  PPTYS  REIT             *  026791202
7905        680
X               N.A.       N.A.       N.A.
 DRESDNER  RCM  EUROPE  FUND             *  26156W106
1200        100
X               N.A.       N.A.       N.A.
 DUFF  &  PHELPS  SELECTED  UTILS  INCOME  *  264324104
35475       3300
X               N.A.       N.A.       N.A.
 GLOBAL  SMALL  CAP  FD  INC              *  37935V103
1288        100
X               N.A.       N.A.       N.A.
 MFS  CHARTER  INCOME  TRUST-SH  BEN  INT  *  552727109
37750       4000
X               N.A.       N.A.       N.A.
 PUTNAM  PREMIER  INCOME  TRUST-SBI      *  746853100
139644      18314
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-EQUITY
223262      26494
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#  896  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-BOND
             ------------------------------

 MFS  MULTIMARKET  INCOME  TRUST  -  SBI   *  552737108
25500       4000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-BOND
25500       4000
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#  896  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
               MUTUAL  FD/INV  TRUSTS-MUNI
             ------------------------------

 BLACKROCK  INSD  MUN  TERM  TR  INC       *  092474105
11563       1000
X               N.A.       N.A.       N.A.
 MORGAN  STANLEY  DEAN  WITTER           *  61745P437
10067       1081
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-MUNI
21630       2081
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#  896  PAGE    14


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
             ------------------------------

 MFS  GOVERNMENT  MKTS  INCOME  TR-S  B  I  *  552939100
6313       1000
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  MUTUAL  FD/INV  TRUSTS-GOVT
6313       1000
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#  896  PAGE    15


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
             ------------------------------

 CEDAR  FAIR  LTD  PARTN-DEPOSITORY  UNIT  *  150185106
10050        400
X               N.A.       N.A.       N.A.
 CROWN  PAC  PARTNERS  L  P               *  228439105
20938       1000
X               N.A.       N.A.       N.A.
 NORTHERN  BORDER  PARTNERS-LTD  PARTN   *  664785102
7641        250
X               N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 SUBTOTALS  FOR  LTD  PARTNERSHIPS  NON  REAL  EST
38629       1650
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#  896  PAGE    16

 *SUMMARY  PAGE  FOR  C.  OTHER  *


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

 51  MUTUAL  FD/INV  TRUSTS-EQUITY
223262      26494
N.A.       N.A.       N.A.
 54  MUTUAL  FD/INV  TRUSTS-GOVT
6313       1000
N.A.       N.A.       N.A.
 52  MUTUAL  FD/INV  TRUSTS-BOND
25500       4000
N.A.       N.A.       N.A.
 53  MUTUAL  FD/INV  TRUSTS-MUNI
21630       2081
N.A.       N.A.       N.A.
 88  LTD  PARTNERSHIPS  NON  REAL  EST
38629       1650
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 *SUBTOTALS*
315334      35225
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#  896  PAGE    17

 **SUMMARY  PAGE  FOR:  FIRST  SECURITY  BANK  **


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

 A.  COMMON  STOCK
612550577    7076387
6718005          0     358382
 B.  PREFERRED  STOCK
9850        100
N.A.       N.A.       N.A.
 C.  OTHER
315334      35225
N.A.       N.A.       N.A.
                                                    --------
- -  ---------  ----
- ----  ----          ----------  ----------  ----------
 **GRAND  TOTALS**
612875761    7111712
6718005          0     358382
1
1 JOB: JN896EQ0      DATE:  4/ 3/99      TIME: 14:53:46
BANK:  840  ID:  884

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






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