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
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- - --------- ----
- ---- ---- ---------- ---------- ----------
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
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- - --------- ----
- ---- ---- ---------- ---------- ----------
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
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- ---- ---- ---------- ---------- ----------
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
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- ---- ---- ---------- ---------- ----------
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 *
******************************