FIDUCIARY TRUST CO INTERNATIONAL
13F-HR, 1999-05-03
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   03/31/1999

Check here if Amendment  [     ] ;  Amendment Number:
This Amendment  (Check only one):   [    ]  is a restatement.
                                    [    ]  adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:        FIDUCIARY TRUST COMPANY INTERNATIONAL
Address:           Two World Trade Center
                   New York, New York 10048-0772

Form 13F File Number:     28-2157

The institutional investment manager filing this report and the persons by
whom it is signed hereby represent that  the person signing the report is,
authorized to submit it, that all information contained is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral  parts of this form.

Person Signing this Report on Behalf of Reporting Manager

Name:        F. Kevin Granville
Title:       Senior Vice President
Phone:       212 466 4100

Signature, Place and Date of Signing

F. Kevin Granville New York, New York      04/29/1999

Report Type (Check Only One):

         X 13F HOLDING REPORT

           13F NOTICE

           13F COMBINATION REPORT

I AM SIGNING THIS REPORT AS REQUIRED BY THE
SECURITIES EXCHANGE ACT OF 1934
<PAGE>
<PAGE>

FORM 13F SUMMARY PAGE


REPORT SUMMARY

Number of Other Included Managers: 0

Form 13F Information Table Entry Total:    916

Form 13F Information Table Value Total:  $ 17,771,201
                                         (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s)
of all institutional investment managers with respect to which this
report is filed, other than the manager filing this report.
NONE
<PAGE>
<PAGE>
<TABLE>
                                 <C>                                              <C>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 1
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S>                            <C>              <C>       <C>      <C>               <C>     <C>         <C>

AAR CORP                       COMMON           000361105     9385   526850 SH       SOLE                                     526850

                                                000361105     1530    85900 SH       DEFINED                                   85900

A C MOORE ARTS & CRAFTS INC    COMMON           00086T103     1134   216000 SH       SOLE                                     216000

                                                00086T103      656   125000 SH       DEFINED                                  125000

ADC TELECOMMUNICATIONS INC     COMMON           000886101    10581   221894 SH       SOLE                                     221894

                                                000886101     1197    25100 SH       DEFINED                                   25100

AFLAC INC                      COMMON           001055102      191     3500 SH       SOLE                                       3500

                                                001055102      469     8620 SH       DEFINED                                    8620

AHL SERVICES INC               COMMON           001296102     5851   285400 SH       SOLE                                     285400

AMB PPTY CORP                  COMMON           00163T109      830    40000 SH       SOLE                                      40000

AMR CORP DEL                   COMMON           001765106    10657   181968 SH       SOLE                                     181968

                                                001765106    47447   810200 SH       DEFINED                                  810200

ARM FINANCIAL GROUP INC CL A   COMMON           001944107     3586   240100 SH       SOLE                                     240100

                                                001944107     2241   150000 SH       DEFINED                                  150000

AT&T CORP                      COMMON           001957109    76795   962198 SH       SOLE                                     962198

                                                001957109   110304  1382037 SH       DEFINED                                 1382037

AT&T CORP COM LIBERTY MEDIA GR COMMON           001957208     3691    70187 SH       SOLE                                      70187

                                                001957208      627    11927 SH       DEFINED                                   11927

AAVID THERMAL TECHNOLOGIES INC COMMON           002539104      225    16386 SH       SOLE                                      16386

ABACUS DIRECT CORP             COMMON           002553105    20824   253950 SH       SOLE                                     253950

                                                002553105     3608    44000 SH       DEFINED                                   44000

ABBOTT LABORATORIES            COMMON           002824100    42762   913478 SH       SOLE                                     913478

                                                002824100    28097   600204 SH       DEFINED                                  600204

ABOVENET COMMUNICATIONS INC    COMMON           003743101    26810   204850 SH       SOLE                                     204850

                                                003743101     5235    40000 SH       DEFINED                                   40000
COLUMN TOTALS                                               414734
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 2
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

ACNIELSEN CORP                 COMMON           004833109       23      833 SH       SOLE                                        833

                                                004833109      217     8018 SH       DEFINED                                    8018

ADAPTEC INC SUB NT CONV CALL   CONVERTIBLE      00651FAC2     5075  6115000 SH       SOLE                                    6115000

ADECCO SA SPONSORED ADR        COMMON           006754105     1635    26160 SH       SOLE                                      26160

AEGON N V ORD AMER REG ADR     COMMON           007924103      509     5666 SH       SOLE                                       5666

                                                007924103      197     2187 SH       DEFINED                                    2187

AETNA INC                      COMMON           008117103       20      246 SH       SOLE                                        246

                                                008117103      609     7341 SH       DEFINED                                    7341

AFFYMETRIX INC                 COMMON           00826T108    16546   475300 SH       SOLE                                     475300

                                                00826T108     1741    50000 SH       DEFINED                                   50000

AIR PRODUCTS & CHEMICALS INC   COMMON           009158106     1314    38374 SH       SOLE                                      38374

                                                009158106    50382  1471014 SH       DEFINED                                 1471014

AIRBORNE FREIGHT CORP          COMMON           009266107     1194    38526 SH       SOLE                                      38526

                                                009266107       44     1408 SH       DEFINED                                    1408

AIRTOUCH COMMUNICATIONS        COMMON           00949T100    13707   141853 SH       SOLE                                     141853

                                                00949T100     2583    26737 SH       DEFINED                                   26737

AIRTOUCH COMMUNICATIONS INC PF CONVERTIBLE      00949T209      281     3568 SH       SOLE                                       3568

AIRTOUCH COMMNS INC PFD CV CAL CONVERTIBLE      00949T308      443     3291 SH       SOLE                                       3291

                                                00949T308      444     3300 SH       DEFINED                                    3300

ALBERTSONS INC                 COMMON           013104104     3301    60644 SH       SOLE                                      60644

                                                013104104      316     5800 SH       DEFINED                                    5800

ALCOA INC                      COMMON           013817101      231     5600 SH       SOLE                                       5600

                                                013817101      395     9596 SH       DEFINED                                    9596

ALEXANDER & BALDWIN INC        COMMON           014482103      509    25920 SH       SOLE                                      25920

                                                014482103       67     3400 SH       DEFINED                                    3400

ALEXANDRIA REAL ESTATE EQUITIE COMMON           015271109      264    10000 SH       SOLE                                      10000
COLUMN TOTALS                                               102047
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 3
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

ALIANT COMMUNICATIONS INC      COMMON           016090102      106     2600 SH       SOLE                                       2600

                                                016090102      164     4000 SH       DEFINED                                    4000

ALKERMES INC                   COMMON           01642T108    21404   785450 SH       SOLE                                     785450

                                                01642T108     3461   127000 SH       DEFINED                                  127000

ALLAIRE CORP                   COMMON           016714107    10989   161600 SH       SOLE                                     161600

                                                016714107     1632    24000 SH       DEFINED                                   24000

ALLEGHANY CORP DEL             COMMON           017175100       55      300 SH       SOLE                                        300

                                                017175100      390     2121 SH       DEFINED                                    2121

ALLEGHENY ENERGY INC           COMMON           017361106      206     6994 SH       SOLE                                       6994

                                                017361106      472    16000 SH       DEFINED                                   16000

ALLEGHENY TELEDYNE INC         COMMON           017415100     1364    72001 SH       SOLE                                      72001

                                                017415100      104     5499 SH       DEFINED                                    5499

ALLERGAN INC                   COMMON           018490102     2643    30072 SH       SOLE                                      30072

                                                018490102       44      500 SH       DEFINED                                     500

ALLIANCE CAP MGMT L P UNIT LTD COMMON           018548107      243     9610 SH       SOLE                                       9610

ALLIED IRISH BANKS PLC SPONSOR COMMON           019228402       25      240 SH       SOLE                                        240

                                                019228402      423     4086 SH       DEFINED                                    4086

ALLIED SIGNAL INC              COMMON           019512102    10428   212004 SH       SOLE                                     212004

                                                019512102    86034  1749100 SH       DEFINED                                 1749100

ALLSTATE CORP                  COMMON           020002101    11704   315788 SH       SOLE                                     315788

                                                020002101     4927   132940 SH       DEFINED                                  132940

ALLTEL CORP                    COMMON           020039103     7702   123480 SH       SOLE                                     123480

                                                020039103      140     2246 SH       DEFINED                                    2246

ALTERNATIVE LIVING SVCS INC SU CONVERTIBLE      02145KAB3      688   760000 SH       SOLE                                     760000

                                                02145KAB3       45    50000 SH       DEFINED                                   50000

AMAZON.COM INC                 COMMON           023135106     4029    23400 SH       SOLE                                      23400

                                                023135106       69      400 SH       DEFINED                                     400
COLUMN TOTALS                                               169490
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 4
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

AMERADA HESS CORP              COMMON           023551104      299     5876 SH       SOLE                                       5876

                                                023551104      506     9938 SH       DEFINED                                    9938

AMEREN CORP                    COMMON           023608102     2121    58625 SH       SOLE                                      58625

                                                023608102       51     1400 SH       DEFINED                                    1400

AMERICA ONLINE INC DEL         COMMON           02364J104    55977   380794 SH       SOLE                                     380794

                                                02364J104   102125   694730 SH       DEFINED                                  694730

AMERICAN DENTAL PARTNERS INC   COMMON           025353103     1836   233100 SH       SOLE                                     233100

AMERICAN ELECTRIC POWER INC    COMMON           025537101      427    10758 SH       SOLE                                      10758

                                                025537101      851    21449 SH       DEFINED                                   21449

AMERICAN EXPRESS CO            COMMON           025816109     8599    73031 SH       SOLE                                      73031

                                                025816109     3973    33737 SH       DEFINED                                   33737

AMERICAN GENERAL CORP          COMMON           026351106      261     3696 SH       SOLE                                       3696

                                                026351106      197     2800 SH       DEFINED                                    2800

AMERICAN HOME PRODUCTS CORP    COMMON           026609107    29395   450505 SH       SOLE                                     450505

                                                026609107    77935  1194400 SH       DEFINED                                 1194400

AMERICAN INTERNATIONAL GROUP I COMMON           026874107   337732  2799850 SH       SOLE                                    2799850

                                                026874107   195852  1623647 SH       DEFINED                                 1623647

AMERICAN INTL PETE CORP        COMMON           026909408       63    75000 SH       SOLE                                      75000

AMERICAN ONCOLOGY RES INC      COMMON           028910107     5394   599300 SH       SOLE                                     599300

                                                028910107     1575   175000 SH       DEFINED                                  175000

AMERICAN RETIREMENT CORP SUB D CONVERTIBLE      028913AA9      240   300000 SH       SOLE                                     300000

AMERICAN STANDARD COS INC      COMMON           029712106      309     9000 SH       SOLE                                       9000

AMERICAN STORES CO             COMMON           030096101       96     2900 SH       SOLE                                       2900

                                                030096101      373    11292 SH       DEFINED                                   11292

AMERICAN WATER WORKS INC       COMMON           030411102       55     1900 SH       SOLE                                       1900

                                                030411102      246     8452 SH       DEFINED                                    8452
COLUMN TOTALS                                               826488
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 5
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

AMERICAN XTAL TECHNOLOGY INC   COMMON           030514103     2720   120900 SH       SOLE                                     120900

                                                030514103      135     6000 SH       DEFINED                                    6000

AMERICREDIT CORP               COMMON           03060R101      137    10400 SH       SOLE                                      10400

AMERISOURCE HEALTH CORP CL A   COMMON           03071P102      250     7300 SH       SOLE                                       7300

AMERITRADE HOLDING CORP CL A   COMMON           03072H109     5070    82100 SH       SOLE                                      82100

                                                03072H109     2729    44200 SH       DEFINED                                   44200

AMERITECH CORP NEW             COMMON           030954101     2572    44638 SH       SOLE                                      44638

                                                030954101     3050    52928 SH       DEFINED                                   52928

AMGEN INC                      COMMON           031162100     1414    18882 SH       SOLE                                      18882

                                                031162100      401     5352 SH       DEFINED                                    5352

AMP INC                        COMMON           031897101     1039    19422 SH       SOLE                                      19422

                                                031897101     1838    34356 SH       DEFINED                                   34356

AMVESCAP PLC SPONSORED ADR     COMMON           03235E100     3832    74854 SH       SOLE                                      74854

                                                03235E100      914    17850 SH       DEFINED                                   17850

ANADARKO PETROLEUM CORP        COMMON           032511107      327     8656 SH       SOLE                                       8656

                                                032511107      895    23700 SH       DEFINED                                   23700

ANGLO AMERN CORP SOUTH AFRICA  COMMON           034861302      348    10000 SH       SOLE                                      10000

ANHEUSER BUSCH COS INC         COMMON           035229103    26567   348987 SH       SOLE                                     348987

                                                035229103   126831  1666084 SH       DEFINED                                 1666084

AON CORP                       COMMON           037389103     1032    16313 SH       SOLE                                      16313

APACHE CORP                    COMMON           037411105      135     5169 SH       SOLE                                       5169

                                                037411105      157     6024 SH       DEFINED                                    6024

APARTMENT INVT AND MGMT CO CL  COMMON           03748R101     3205    88400 SH       SOLE                                      88400

APHTON CORP                    COMMON           03759P101      406    25000 SH       SOLE                                      25000

APPLIED MATERIALS INC          COMMON           038222105     6718   108900 SH       SOLE                                     108900

APTARGROUP INC                 COMMON           038336103    17098   657600 SH       SOLE                                     657600

                                                038336103     1981    76200 SH       DEFINED                                   76200
COLUMN TOTALS                                               211797
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 6
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

AQUARION CO                    COMMON           03838W101      242     8805 SH       SOLE                                       8805

                                                03838W101      169     6150 SH       DEFINED                                    6150

ARCHER DANIELS MIDLAND CO      COMMON           039483102      789    53732 SH       SOLE                                      53732

                                                039483102      788    53634 SH       DEFINED                                   53634

ARDEN RLTY GROUP INC $1.6800   COMMON           039793104     1531    68800 SH       SOLE                                      68800

                                                039793104       85     3800 SH       DEFINED                                    3800

ARMOR HOLDINGS INC             COMMON           042260109      479    35000 SH       SOLE                                      35000

ASCEND COMMUNICATIONS INC      COMMON           043491109     1548    18500 SH       SOLE                                      18500

                                                043491109      285     3400 SH       DEFINED                                    3400

ASPEN TECHNOLOGY INC           COMMON           045327103      785    55300 SH       SOLE                                      55300

                                                045327103        3      200 SH       DEFINED                                     200

AT HOME CORP SER A             COMMON           045919107     1907    12106 SH       SOLE                                      12106

                                                045919107      189     1200 SH       DEFINED                                    1200

ASSOCIATES FIRST CAPITAL CORP  COMMON           046008108    56336  1251901 SH       SOLE                                    1251901

                                                046008108     3622    80490 SH       DEFINED                                   80490

ASTORIA FINANCIAL CORP         COMMON           046265104     7372   147440 SH       SOLE                                     147440

ASTRA AB SPONSORED ADR REPSTG  COMMON           046298105      361    15731 SH       SOLE                                      15731

                                                046298105      979    42664 SH       DEFINED                                   42664

ATLANTIC RICHFIELD CO          COMMON           048825103     3936    53832 SH       SOLE                                      53832

                                                048825103     5586    76387 SH       DEFINED                                   76387

AURORA FOODS INC               COMMON           05164B106      830    50700 SH       SOLE                                      50700

AUTODESK INC                   COMMON           052769106     5277   130500 SH       SOLE                                     130500

AUTOLIV INC                    COMMON           052800109      447    11893 SH       SOLE                                      11893

                                                052800109       52     1397 SH       DEFINED                                    1397

AUTOMATIC DATA PROCESSING INC  COMMON           053015103    11382   275089 SH       SOLE                                     275089

                                                053015103   138025  3335942 SH       DEFINED                                 3335942
COLUMN TOTALS                                               243003
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 7
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

AUTOZONE INC                   COMMON           053332102     7562   248970 SH       SOLE                                     248970

AVALONBAY COMMUNITIES INC $2.0 COMMON           053484101     1218    38200 SH       SOLE                                      38200

                                                053484101       77     2400 SH       DEFINED                                    2400

AVERY DENNISON CORP            COMMON           053611109      265     4600 SH       DEFINED                                    4600

AVON PRODUCTS INC              COMMON           054303102    25884   549988 SH       SOLE                                     549988

                                                054303102     8545   181566 SH       DEFINED                                  181566

AXA-UAP SPONS ADR              COMMON           054536107     6611    99794 SH       SOLE                                      99794

                                                054536107     1285    19391 SH       DEFINED                                   19391

BCE INC (CAD)                  COMMON           05534B109     3988    90000 SH       SOLE                                      90000

                                                05534B109     1440    35300 SH       DEFINED                                   35300

BISYS GROUP INC                COMMON           055472104    30557   543237 SH       SOLE                                     543237

                                                055472104     4247    75500 SH       DEFINED                                   75500

B J SERVICES CO                COMMON           055482103    21440   922150 SH       SOLE                                     922150

                                                055482103     2681   115332 SH       DEFINED                                  115332

BP AMOCO PLC SPONSORED ADR     COMMON           055622104    72379   716623 SH       SOLE                                     716623

                                                055622104   139693  1383103 SH       DEFINED                                 1383103

BMC SOFTWARE INC               COMMON           055921100     1212    32700 SH       SOLE                                      32700

                                                055921100      978    26400 SH       DEFINED                                   26400

BAKER HUGHES INC               COMMON           057224107     5986   246226 SH       SOLE                                     246226

                                                057224107       44     1800 SH       DEFINED                                    1800

BALLARD MEDICAL PRODUCTS       COMMON           058566100     5465   224200 SH       SOLE                                     224200

BANCO DE SANTANDER ADR         COMMON           059574202      104     5202 SH       SOLE                                       5202

                                                059574202      147     7344 SH       DEFINED                                    7344

BANK OF MONTREAL QUE (CAD)     COMMON           063671101      403    10000 SH       SOLE                                      10000

BANK NEW YORK INC              COMMON           064057102    86902  2418145 SH       SOLE                                    2418145

                                                064057102    12955   360500 SH       DEFINED                                  360500
COLUMN TOTALS                                               442069
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 8
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

BANK ONE CORP                  COMMON           06423A103     5868   106569 SH       SOLE                                     106569

                                                06423A103    54066   981908 SH       DEFINED                                  981908

BANK TOKYO-MITSUBISHI LTD SPON COMMON           065379109      564    40300 SH       SOLE                                      40300

                                                065379109      420    30000 SH       DEFINED                                   30000

BANKAMERICA CORP NEW           COMMON           06605F102    35592   503964 SH       SOLE                                     503964

                                                06605F102   180320  2553209 SH       DEFINED                                 2553209

BANKBOSTON CORP                COMMON           06605R106     2801    64660 SH       SOLE                                      64660

                                                06605R106     1315    30368 SH       DEFINED                                   30368

BANKERS TRUST CORP             COMMON           066365107      344     3895 SH       SOLE                                       3895

                                                066365107      232     2634 SH       DEFINED                                    2634

BARNES & NOBLE INC             COMMON           067774109     4512   140450 SH       SOLE                                     140450

                                                067774109      708    22050 SH       DEFINED                                   22050

BAXTER INTERNATIONAL INC       COMMON           071813109     1285    19467 SH       SOLE                                      19467

                                                071813109      512     7763 SH       DEFINED                                    7763

BECKMAN COULTER INC            COMMON           075811109      511    11552 SH       SOLE                                      11552

                                                075811109        8      183 SH       DEFINED                                     183

BECTON DICKINSON & CO          COMMON           075887109      336     8762 SH       SOLE                                       8762

                                                075887109      192     5000 SH       DEFINED                                    5000

BEDFORD PPTY INVS INC $1.3200  COMMON           076446301     1360    93000 SH       SOLE                                      93000

BELL ATLANTIC CORP             COMMON           077853109    43026   832428 SH       SOLE                                     832428

                                                077853109    16693   322958 SH       DEFINED                                  322958

BELLSOUTH CORP                 COMMON           079860102     6481   161782 SH       SOLE                                     161782

                                                079860102     8522   212730 SH       DEFINED                                  212730

BELO A H CORP CL A             COMMON           080555105    21677  1187804 SH       SOLE                                    1187804

                                                080555105       73     4000 SH       DEFINED                                    4000

BEMIS INC                      COMMON           081437105      326    10500 SH       SOLE                                      10500

                                                081437105     6854   220664 SH       DEFINED                                  220664
COLUMN TOTALS                                               394601
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                              PAGE 9
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

BERGEN BRUNSWIG CORP CL A      COMMON           083739102      229    11444 SH       SOLE                                      11444

BERKLEY W R CORP               COMMON           084423102      257    10500 SH       SOLE                                      10500

                                                084423102       37     1500 SH       DEFINED                                    1500

BERKSHIRE HATHAWAY INC DEL CL  COMMON           084670108     3070       43 SH       SOLE                                         43

                                                084670108   193780     2714 SH       DEFINED                                    2714

                                                084670207    17214     7322 SH       SOLE                                       7322

                                                084670207    14898     6337 SH       DEFINED                                    6337

BESTFOODS                      COMMON           08658U101    19782   420902 SH       SOLE                                     420902

                                                08658U101    63980  1361268 SH       DEFINED                                 1361268

BINDLEY WESTERN INDUSTRIES INC COMMON           090324104     8363   292800 SH       SOLE                                     292800

BIOGEN INC                     COMMON           090597105     4596    40206 SH       SOLE                                      40206

                                                090597105      217     1900 SH       DEFINED                                    1900

BLACK & DECKER CORP            COMMON           091797100      525     9475 SH       SOLE                                       9475

                                                091797100      593    10700 SH       DEFINED                                   10700

BLOCK H & R INC                COMMON           093671105      879    18550 SH       SOLE                                      18550

                                                093671105      469     9909 SH       DEFINED                                    9909

BLYTH INDUSTRIES INC           COMMON           09643P108     4276   181000 SH       SOLE                                     181000

                                                09643P108     1654    70000 SH       DEFINED                                   70000

BOEING CO                      COMMON           097023105     2676    78699 SH       SOLE                                      78699

                                                097023105    44041  1295338 SH       DEFINED                                 1295338

BORG WARNER AUTOMOTIVE INC     COMMON           099724106     5172   108175 SH       SOLE                                     108175

                                                099724106       57     1200 SH       DEFINED                                    1200

BOSTON PPTYS INC $1.7000       COMMON           101121101      791    25000 SH       SOLE                                      25000

BOSTON SCIENTIFIC CORP         COMMON           101137107     3884    95600 SH       SOLE                                      95600

BRISTOL MYERS SQUIBB CO        COMMON           110122108    48060   749474 SH       SOLE                                     749474

                                                110122108    75698  1180468 SH       DEFINED                                 1180468
COLUMN TOTALS                                               515199
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 10
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

BROADVISION INC                COMMON           111412102    16473   275700 SH       SOLE                                     275700

                                                111412102     1846    30900 SH       DEFINED                                   30900

BROWNING FERRIS INDUSTRIES INC COMMON           115885105       23      600 SH       SOLE                                        600

                                                115885105      463    12000 SH       DEFINED                                   12000

BUCKEYE PARTNERS L P UNIT LTD  COMMON           118230101      191     7000 SH       SOLE                                       7000

                                                118230101      114     4200 SH       DEFINED                                    4200

BURLINGTON NORTHN SANTA FE COR COMMON           12189T104    36121  1098727 SH       SOLE                                    1098727

                                                12189T104   121321  3690387 SH       DEFINED                                 3690387

BURLINGTON RESOURCES INC       COMMON           122014103     2917    73050 SH       SOLE                                      73050

                                                122014103      830    20787 SH       DEFINED                                   20787

CBS CORP                       COMMON           12490K107    57730  1414521 SH       SOLE                                    1414521

                                                12490K107    63795  1563119 SH       DEFINED                                 1563119

C-CUBE MICROSYSTEMS INC CV SUB CONVERTIBLE      125015AA5      290   300000 SH       SOLE                                     300000

CIGNA CORP                     COMMON           125509109     7284    86913 SH       SOLE                                      86913

                                                125509109      419     4998 SH       DEFINED                                    4998

CMAC INVESTMENT CORP           COMMON           125662106     9649   247400 SH       SOLE                                     247400

                                                125662106     2925    75000 SH       DEFINED                                   75000

CNET INC                       COMMON           125945105    14519   157600 SH       SOLE                                     157600

                                                125945105     1843    20000 SH       DEFINED                                   20000

CNA FINANCIAL CORP             COMMON           126117100      796    20520 SH       SOLE                                      20520

CNF TRUST I PFD CONV SER A 5%  CONVERTIBLE      12612V205      860    15500 SH       SOLE                                      15500

                                                12612V205       62     1125 SH       DEFINED                                    1125

CNF TRANSPORTATION INC         COMMON           12612W104    11077   292935 SH       SOLE                                     292935

                                                12612W104     3462    91550 SH       DEFINED                                   91550

CSX CORP                       COMMON           126408103      654    16800 SH       SOLE                                      16800

                                                126408103      631    16218 SH       DEFINED                                   16218
COLUMN TOTALS                                               356297
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 11
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

CVS CORP                       COMMON           126650100     2743    57750 SH       SOLE                                      57750

                                                126650100     2166    45600 SH       DEFINED                                   45600

CABLE & WIRELESS PUB LTD CO SP COMMON           126830207      180     4875 SH       SOLE                                       4875

                                                126830207      126     3400 SH       DEFINED                                    3400

CABLEVISION SYSTEMS CORP       COMMON           12686C109    11163   150600 SH       SOLE                                     150600

                                                12686C109      297     4000 SH       DEFINED                                    4000

CABLE DESIGN TECHNOLOGIES CORP COMMON           126924109     8790   799050 SH       SOLE                                     799050

                                                126924109     1418   128900 SH       DEFINED                                  128900

CABOT CORP                     COMMON           127055101      269    12670 SH       SOLE                                      12670

CAMPBELL SOUP CO               COMMON           134429109     1272    31273 SH       SOLE                                      31273

                                                134429109     1479    36350 SH       DEFINED                                   36350

CANADIAN PACIFIC LTD NEW       COMMON           135923100      328    16750 SH       SOLE                                      16750

                                                135923100      137     7000 SH       DEFINED                                    7000

CANADIAN IMPERIAL BK COMM TORO COMMON           136069101        0    15000 SH       SOLE                                      15000

                                                136069101        0     4026 SH       DEFINED                                    4026

CANADIAN NATIONAL RAILWAY CO   COMMON           136375102     3082    55402 SH       SOLE                                      55402

                                                136375102     2104    37833 SH       DEFINED                                   37833

CANADIAN OCCIDENTAL PETE LTD ( COMMON           136420106      181    15000 SH       SOLE                                      15000

CANON INC ADR REPSTG 5 SH      COMMON           138006309     1977    82825 SH       SOLE                                      82825

                                                138006309       72     3000 SH       DEFINED                                    3000

CANWEST GLOBAL COMMUNICATIONS  COMMON           138906300     1123    86000 SH       SOLE                                      86000

CAPITAL ONE FINANCIAL CORP     COMMON           14040H105     1027     6800 SH       SOLE                                       6800

CAPSTAR BROADCASTING CORP CL A COMMON           14067G105    20653   900400 SH       SOLE                                     900400

                                                14067G105     3060   133400 SH       DEFINED                                  133400

CARDINAL HEALTH INC            COMMON           14149Y108    85628  1297393 SH       SOLE                                    1297393

                                                14149Y108    71561  1084254 SH       DEFINED                                 1084254
COLUMN TOTALS                                               220835
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 12
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

CAREY INTL INC                 COMMON           141750109     2584   159000 SH       SOLE                                     159000

CARLTON COMMUNICATIONS PLC SPO COMMON           142872209     2058    42100 SH       SOLE                                      42100

                                                142872209      665    13600 SH       DEFINED                                   13600

CARNIVAL CORP                  COMMON           143658102    29170   600668 SH       SOLE                                     600668

                                                143658102    30788   633994 SH       DEFINED                                  633994

CAROLINA POWER & LIGHT CO      COMMON           144141108      574    15192 SH       SOLE                                      15192

                                                144141108     1021    26995 SH       DEFINED                                   26995

CATELLUS DEV CORP              COMMON           149111106     1222    91330 SH       SOLE                                      91330

                                                149111106       14     1020 SH       DEFINED                                    1020

CATERPILLAR INC                COMMON           149123101     1578    34356 SH       SOLE                                      34356

                                                149123101     2002    43572 SH       DEFINED                                   43572

CENTERPOINT PPTYS TR $1.7500   COMMON           151895109     3123    99941 SH       SOLE                                      99941

                                                151895109     1463    46800 SH       DEFINED                                   46800

CENTERPOINT PPTYS TR SUB DEB C CONVERTIBLE      151895AA7      233   137000 SH       SOLE                                     137000

CENTOCOR INC                   COMMON           152342101      423    11440 SH       SOLE                                      11440

CENTRAL & SOUTH WEST CORP      COMMON           152357109      877    37437 SH       SOLE                                      37437

                                                152357109      748    31894 SH       DEFINED                                   31894

CENTRAL PARKING CORP           COMMON           154785109    15604   452300 SH       SOLE                                     452300

                                                154785109     2070    60000 SH       DEFINED                                   60000

CENTRAL VERMONT PUBLIC SERVICE COMMON           155771108       81     8000 SH       SOLE                                       8000

                                                155771108      191    19000 SH       DEFINED                                   19000

CENTURY TEL ENTERPRISES INC    COMMON           156686107     2211    31477 SH       SOLE                                      31477

                                                156686107      293     4167 SH       DEFINED                                    4167

CHANCELLOR MEDIA CORP          COMMON           158915108    53781  1141233 SH       SOLE                                    1141233

                                                158915108     2836    60187 SH       DEFINED                                   60187

CHARLES RIV ASSOCS INC         COMMON           159852102     8169   338600 SH       SOLE                                     338600

                                                159852102     2413   100000 SH       DEFINED                                  100000
COLUMN TOTALS                                               166189
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 13
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

CHARTER ONE FINANCIAL INC      COMMON           160903100     6210   215167 SH       SOLE                                     215167

                                                160903100      163     5655 SH       DEFINED                                    5655

CHASE MANHATTAN CORP NEW       COMMON           16161A108     8443   103756 SH       SOLE                                     103756

                                                16161A108     2553    31378 SH       DEFINED                                   31378

CHECKFREE HOLDINGS CORP        COMMON           162816102    11083   260400 SH       SOLE                                     260400

                                                162816102     3448    81000 SH       DEFINED                                   81000

CHECKPOINT SYS INC SUB DEB CON CONVERTIBLE      162825AB9      532   725000 SH       SOLE                                     725000

CHELSEA GCA REALTY INC $2.7600 COMMON           163262108      882    31641 SH       SOLE                                      31641

                                                163262108      348    12500 SH       DEFINED                                   12500

CHESAPEAKE CORP                COMMON           165159104      416    15333 SH       SOLE                                      15333

                                                165159104       57     2100 SH       DEFINED                                    2100

CHEVRON CORP                   COMMON           166751107     8138    91698 SH       SOLE                                      91698

                                                166751107     9081   102323 SH       DEFINED                                  102323

CHICAGO TITLE CORP             COMMON           168228104       33      900 SH       SOLE                                        900

                                                168228104      231     6363 SH       DEFINED                                    6363

CHIRON CORP                    COMMON           170040109      981    44700 SH       SOLE                                      44700

                                                170040109       88     4000 SH       DEFINED                                    4000

CHOICEPOINT INC                COMMON           170388102    11473   230040 SH       SOLE                                     230040

                                                170388102     2971    59578 SH       DEFINED                                   59578

CHUBB CORP                     COMMON           171232101     8364   142816 SH       SOLE                                     142816

                                                171232101    50258   858188 SH       DEFINED                                  858188

CIENA CORP                     COMMON           171779101      246    10950 SH       SOLE                                      10950

                                                171779101       27     1200 SH       DEFINED                                    1200

CINCINNATI BELL INC NEW        COMMON           171870108      184     8200 SH       SOLE                                       8200

                                                171870108       18      800 SH       DEFINED                                     800

CINCINNATI FINANCIAL CORP      COMMON           172062101      335     9189 SH       SOLE                                       9189
COLUMN TOTALS                                               126563
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 14
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

CISCO SYSTEMS INC              COMMON           17275R102   237544  2168123 SH       SOLE                                    2168123

                                                17275R102   210000  1916723 SH       DEFINED                                 1916723

CITADEL COMMUNICATIONS CORP    COMMON           172853202     5150   154900 SH       SOLE                                     154900

CINTAS CORP                    COMMON           172908105     3697    56550 SH       SOLE                                      56550

                                                172908105      928    14200 SH       DEFINED                                   14200

CITIGROUP INC                  COMMON           172967101    45970   719684 SH       SOLE                                     719684

                                                172967101   101365  1586933 SH       DEFINED                                 1586933

CITIZENS UTILITIES CO DEL CL B COMMON           177342201       96    12412 SH       SOLE                                      12412

CITRIX SYSTEMS INC             COMMON           177376100     9355   245386 SH       SOLE                                     245386

                                                177376100     1563    41000 SH       DEFINED                                   41000

CITY NATIONAL CORP             COMMON           178566105     8355   270600 SH       SOLE                                     270600

CLARIFY INC                    COMMON           180492100    17677   662400 SH       SOLE                                     662400

                                                180492100     3202   120000 SH       DEFINED                                  120000

CLEAR CHANNEL COMMUNICATIONS I COMMON           184502102       67     1000 SH       SOLE                                       1000

                                                184502102      376     5600 SH       DEFINED                                    5600

CLOROX CO                      COMMON           189054109      481     4107 SH       SOLE                                       4107

                                                189054109      141     1200 SH       DEFINED                                    1200

COACH USA INC                  COMMON           18975L106    12416   451500 SH       SOLE                                     451500

                                                18975L106     3163   115000 SH       DEFINED                                  115000

COASTAL CORP                   COMMON           190441105     4132   125200 SH       SOLE                                     125200

                                                190441105      848    25684 SH       DEFINED                                   25684

COCA COLA CO                   COMMON           191216100    25201   410599 SH       SOLE                                     410599

                                                191216100    96267  1568509 SH       DEFINED                                 1568509

COCA-COLA FEMSA S A DE C V SPO COMMON           191241108      238    14600 SH       SOLE                                      14600

COLGATE PALMOLIVE CO           COMMON           194162103     2196    23866 SH       SOLE                                      23866

                                                194162103     1678    18242 SH       DEFINED                                   18242
COLUMN TOTALS                                               792106
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 15
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

COLONIAL BANCGROUP INC         COMMON           195493309     1188    99000 SH       SOLE                                      99000

COMAIR HOLDINGS INC            COMMON           199789108      361    15300 SH       SOLE                                      15300

                                                199789108      117     4950 SH       DEFINED                                    4950

COMCAST CORP CL A              COMMON           200300101     1261    20500 SH       SOLE                                      20500

COMCAST CORP CL A SPL          COMMON           200300200      843    13400 SH       SOLE                                      13400

                                                200300200      283     4500 SH       DEFINED                                    4500

COMERICA INC                   COMMON           200340107      388     6221 SH       SOLE                                       6221

COMMUNITY FIRST BANKSHARES INC COMMON           203902101     6110   305500 SH       SOLE                                     305500

COMPANIA DE TELECOMUNICACIONES COMMON           204449300      300    12750 SH       SOLE                                      12750

COMPAQ COMPUTER CORP           COMMON           204493100    62629  1976464 SH       SOLE                                    1976464

                                                204493100     6581   207677 SH       DEFINED                                  207677

COMPLETE MGMT INC CONV SUB DEB CONVERTIBLE      20452CAB0        4    25000 SH       SOLE                                      25000

COMPUTER ASSOCIATES INTERNATIO COMMON           204912109     8745   245910 SH       SOLE                                     245910

                                                204912109      655    18412 SH       DEFINED                                   18412

COMPUTER SCIENCES CORP         COMMON           205363104    13275   240548 SH       SOLE                                     240548

                                                205363104     5421    98225 SH       DEFINED                                   98225

COMPX INTERNATIONAL INC CL A   COMMON           20563P101     2792   219000 SH       SOLE                                     219000

COMVERSE TECHNOLOGY INC        COMMON           205862402    35029   412100 SH       SOLE                                     412100

                                                205862402     4148    48800 SH       DEFINED                                   48800

CONAGRA INC                    COMMON           205887102      711    27750 SH       SOLE                                      27750

                                                205887102       33     1300 SH       DEFINED                                    1300

CONSOLIDATED EDISON INC        COMMON           209115104      164     3622 SH       SOLE                                       3622

                                                209115104      525    11596 SH       DEFINED                                   11596

CONSOLIDATED FREIGHTWAYS CORP  COMMON           209232107      986    83950 SH       SOLE                                      83950

                                                209232107      288    24525 SH       DEFINED                                   24525

CONSOLIDATED NATURAL GAS CO    COMMON           209615103     1333    27381 SH       SOLE                                      27381

                                                209615103      232     4772 SH       DEFINED                                    4772
COLUMN TOTALS                                               154405
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 16
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

COOPER CAMERON CORP            COMMON           216640102     6335   187000 SH       SOLE                                     187000

                                                216640102       44     1300 SH       DEFINED                                    1300

COOPER INDUSTRIES INC          COMMON           216669101      246     5763 SH       SOLE                                       5763

                                                216669101      145     3405 SH       DEFINED                                    3405

CORINTHIAN COLLEGES INC        COMMON           218868107     1718    78100 SH       SOLE                                      78100

CORN PRODUCTS INTERNATIONAL IN COMMON           219023108      272    11355 SH       SOLE                                      11355

                                                219023108      625    26104 SH       DEFINED                                   26104

CORNERSTONE PPTYS INC CDT-COM  COMMON           21922H103     1302    89000 SH       SOLE                                      89000

                                                21922H103      176    12000 SH       DEFINED                                   12000

CORNING INC                    COMMON           219350105     5764    96068 SH       SOLE                                      96068

                                                219350105     4040    67326 SH       DEFINED                                   67326

CORPORATE EXECUTIVE BRD CO     COMMON           21988R102      224     8500 SH       SOLE                                       8500

CORT BUSINESS SERVICES CORP    COMMON           220493100     1795    77600 SH       SOLE                                      77600

                                                220493100      497    21500 SH       DEFINED                                   21500

COSTCO COS INC                 COMMON           22160Q102     7672    83791 SH       SOLE                                      83791

                                                22160Q102    46415   506922 SH       DEFINED                                  506922

COVAD COMMUNICATIONS GROUP INC COMMON           222814204     5924    90100 SH       SOLE                                      90100

COVANCE INC                    COMMON           222816100     1673    66739 SH       SOLE                                      66739

                                                222816100      218     8700 SH       DEFINED                                    8700

COX COMMUNICATIONS INC NEW CL  COMMON           224044107      398     5263 SH       SOLE                                       5263

CRESCENT REAL ESTATE EQUITIES  COMMON           225756105     1451    67500 SH       SOLE                                      67500

                                                225756105       65     3000 SH       DEFINED                                    3000

CROMPTON & KNOWLES CORP        COMMON           227111101      236    15000 SH       SOLE                                      15000

CROWN CASTLE INTL CORP         COMMON           228227104      540    30000 SH       SOLE                                      30000

CROWN CORK & SEAL INC          COMMON           228255105     2677    93716 SH       SOLE                                      93716

                                                228255105      278     9740 SH       DEFINED                                    9740
COLUMN TOTALS                                                90728
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 17
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

CYMER INC                      COMMON           232572107      205    10300 SH       SOLE                                      10300

D R HORTON INC                 COMMON           23331A109     3907   233234 SH       SOLE                                     233234

DST SYSTEMS INC DEL NEW        COMMON           233326107    19604   326400 SH       SOLE                                     326400

DAILY JOURNAL CORP             COMMON           233912104      670    17297 SH       DEFINED                                   17297

DANA CORP                      COMMON           235811106      606    15955 SH       SOLE                                      15955

                                                235811106      158     4158 SH       DEFINED                                    4158

DASSAULT SYS S A SPONSORED ADR COMMON           237545108      427    11500 SH       SOLE                                      11500

                                                237545108      111     3000 SH       DEFINED                                    3000

DATA TRANSMISSION NETWORK CORP COMMON           238017107     4899   205200 SH       SOLE                                     205200

DAYTON HUDSON CORP             COMMON           239753106    63214   948807 SH       SOLE                                     948807

                                                239753106     1093    16400 SH       DEFINED                                   16400

DEAN FOODS CO                  COMMON           242361103      445    12500 SH       SOLE                                      12500

DEERE & CO                     COMMON           244199105     8099   209680 SH       SOLE                                     209680

                                                244199105    44323  1147525 SH       DEFINED                                 1147525

DELL COMPUTER CORP             COMMON           247025109     2843    69550 SH       SOLE                                      69550

                                                247025109    73718  1803500 SH       DEFINED                                 1803500

DELTA AIR LINES INC DEL        COMMON           247361108     1703    24508 SH       SOLE                                      24508

                                                247361108      538     7738 SH       DEFINED                                    7738

DEVON ENERGY CORP              COMMON           251799102      794    28800 SH       SOLE                                      28800

                                                251799102       41     1500 SH       DEFINED                                    1500

DEVRY INC                      COMMON           251893103    29219  1007550 SH       SOLE                                    1007550

                                                251893103     4048   139600 SH       DEFINED                                  139600

DEXTER CORP                    COMMON           252165105      472    14998 SH       SOLE                                      14998

                                                252165105      984    31244 SH       DEFINED                                   31244

DIALOGIC CORP                  COMMON           252499108      604    19800 SH       SOLE                                      19800

                                                252499108      512    16800 SH       DEFINED                                   16800
COLUMN TOTALS                                               263240
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 18
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

DIAMOND OFFSHORE DRILLING INC  COMMON           25271C102     1867    59050 SH       SOLE                                      59050

                                                25271C102      348    11000 SH       DEFINED                                   11000

DIAMOND OFFSHORE DRILLING INC  CONVERTIBLE      25271CAA0      203   195000 SH       SOLE                                     195000

                                                25271CAA0       62    60000 SH       DEFINED                                   60000

DIAMOND TECH PARTNERS INC CL A COMMON           252762109    10009   434000 SH       SOLE                                     434000

                                                252762109     1384    60000 SH       DEFINED                                   60000

DIONEX CORP                    COMMON           254546104      634    16800 SH       SOLE                                      16800

                                                254546104      302     8000 SH       DEFINED                                    8000

DISNEY WALT CO                 COMMON           254687106    54472  1750112 SH       SOLE                                    1750112

                                                254687106    66318  2130704 SH       DEFINED                                 2130704

DOLLAR GENERAL CORP            COMMON           256669102      850    25000 SH       SOLE                                      25000

DOMINION RESOURCES INC VA      COMMON           257470104      357     9660 SH       SOLE                                       9660

                                                257470104      427    11568 SH       DEFINED                                   11568

DONALDSON LUFKIN & JENRETTE IN COMMON           257661108     1486    21300 SH       SOLE                                      21300

                                                257661108      523     7500 SH       DEFINED                                    7500

DONNELLEY R R & SONS CO        COMMON           257867101      200     6200 SH       SOLE                                       6200

                                                257867101      464    14400 SH       DEFINED                                   14400

DOUBLECLICK INC                COMMON           258609304    16622    91300 SH       SOLE                                      91300

                                                258609304     2003    11000 SH       DEFINED                                   11000

DOVER CORP                     COMMON           260003108      395    12000 SH       SOLE                                      12000

                                                260003108     1624    49400 SH       DEFINED                                   49400

DOW CHEMICAL CO                COMMON           260543103     8791    94339 SH       SOLE                                      94339

                                                260543103     8686    93209 SH       DEFINED                                   93209

DOW JONES & CO INC             COMMON           260561105      293     6200 SH       SOLE                                       6200

                                                260561105     2454    52000 SH       DEFINED                                   52000

DU PONT E I DE NEMOURS & CO    COMMON           263534109    43771   753855 SH       SOLE                                     753855

                                                263534109    87526  1507449 SH       DEFINED                                 1507449
COLUMN TOTALS                                               312070
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 19
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

DUKE ENERGY CORP               COMMON           264399106      914    16672 SH       SOLE                                      16672

                                                264399106     1584    28895 SH       DEFINED                                   28895

DUN & BRADSTREET CORP          COMMON           26483B106      723    20295 SH       SOLE                                      20295

                                                26483B106     2396    67252 SH       DEFINED                                   67252

DURA PHARMACEUTICALS INC CV SU CONVERTIBLE      26632SAA7     2341  3100000 SH       SOLE                                    3100000

E M C CORP MASS                COMMON           268648102    95719   749271 SH       SOLE                                     749271

                                                268648102    22548   176500 SH       DEFINED                                  176500

ENI S P A SPONSORED ADR        COMMON           26874R108      275     4350 SH       SOLE                                       4350

                                                26874R108      316     5000 SH       DEFINED                                    5000

E TOWN CORP                    COMMON           269242103      947    23493 SH       SOLE                                      23493

                                                269242103    12961   321516 SH       DEFINED                                  321516

E TRADE GROUP INC              COMMON           269246104      525     9000 SH       SOLE                                       9000

EARTHGRAINS CO                 COMMON           270319106      758    34160 SH       SOLE                                      34160

                                                270319106      416    18728 SH       DEFINED                                   18728

EASTERN ENTERPRISES            COMMON           27637F100      775    21300 SH       SOLE                                      21300

EASTGROUP PPTYS INC $1.4400    COMMON           277276101      661    41000 SH       SOLE                                      41000

EASTMAN CHEMICAL CO            COMMON           277432100      266     6326 SH       SOLE                                       6326

                                                277432100      172     4089 SH       DEFINED                                    4089

EASTMAN KODAK CO               COMMON           277461109     3948    61810 SH       SOLE                                      61810

                                                277461109     2140    33506 SH       DEFINED                                   33506

EATON CORP                     COMMON           278058102     3632    50800 SH       SOLE                                      50800

                                                278058102     1752    24500 SH       DEFINED                                   24500

EBAY INC                       COMMON           278642103      330     2400 SH       SOLE                                       2400

EDWARDS J D & CO               COMMON           281667105      119    10000 SH       SOLE                                      10000

EL PASO ENERGY CAP TRUST I PFD CONVERTIBLE      283678209      289     6000 SH       SOLE                                       6000

EL PASO ENERGY CORP DEL        COMMON           283905107     1388    42454 SH       SOLE                                      42454

                                                283905107      449    13738 SH       DEFINED                                   13738
COLUMN TOTALS                                               158342
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 20
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

ELAN CORP PLC SPON ADR (1 ADR  COMMON           284131208    27176   389619 SH       SOLE                                     389619

                                                284131208       83     1185 SH       DEFINED                                    1185

ELCOR CORP                     COMMON           284443108     1935    55000 SH       SOLE                                      55000

ELECTRONIC DATA SYSTEMS CORP N COMMON           285661104     7135   146554 SH       SOLE                                     146554

                                                285661104     5242   107666 SH       DEFINED                                  107666

ELECTRONICS FOR IMAGING INC    COMMON           286082102      663    17000 SH       SOLE                                      17000

ELF AQUITAINE SPONSORED ADR    COMMON           286269105      819    12167 SH       SOLE                                      12167

                                                286269105      158     2350 SH       DEFINED                                    2350

ELSEVIER N V SPONSORED ADR NEW COMMON           290259100      207     6900 SH       SOLE                                       6900

                                                290259100       63     2100 SH       DEFINED                                    2100

EMERSON ELECTRIC CO            COMMON           291011104    15604   294766 SH       SOLE                                     294766

                                                291011104    89125  1683595 SH       DEFINED                                 1683595

EMMIS COMMUNICATIONS CORP CL A COMMON           291525103    17518   350350 SH       SOLE                                     350350

ENDESA S A SPONSORED ADR       COMMON           29258N107      418    16800 SH       SOLE                                      16800

                                                29258N107       70     2800 SH       DEFINED                                    2800

ENGELHARD CORP                 COMMON           292845104     2257   133226 SH       SOLE                                     133226

                                                292845104     1468    86701 SH       DEFINED                                   86701

ENRON CORP                     COMMON           293561106     6413    99816 SH       SOLE                                      99816

                                                293561106    31264   486602 SH       DEFINED                                  486602

ENTERCOM COMMUNICATIONS CORP   COMMON           293639100     9877   279200 SH       SOLE                                     279200

                                                293639100     1266    35800 SH       DEFINED                                   35800

EQUIFAX INC                    COMMON           294429105      186     5400 SH       SOLE                                       5400

                                                294429105      426    12404 SH       DEFINED                                   12404

EQUITABLE COS INC              COMMON           29444G107     8044   114921 SH       SOLE                                     114921

                                                29444G107     2687    38383 SH       DEFINED                                   38383

EQUITY OFFICE PROPERTIES TRUST COMMON           294741103      825    32500 SH       SOLE                                      32500
COLUMN TOTALS                                               230929
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 21
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

EQUITY RESIDENTIAL PROPERTIES  COMMON           29476L107     3086    74800 SH       SOLE                                      74800

                                                29476L107      722    17500 SH       DEFINED                                   17500

ERICSSON L M TELEPHONE CO ADR  COMMON           294821400     7349   308619 SH       SOLE                                     308619

                                                294821400    13823   580521 SH       DEFINED                                  580521

EVEREST REINSURANCE HOLDINGS I COMMON           299808105      250     8000 SH       SOLE                                       8000

                                                299808105       31     1000 SH       DEFINED                                    1000

EXCITE INC                     COMMON           300904109      294     2100 SH       SOLE                                       2100

EXECUTIVE RISK INC             COMMON           301586103      533     7500 SH       SOLE                                       7500

EXODUS COMMUNICATIONS INC      COMMON           302088109     9610    71450 SH       SOLE                                      71450

                                                302088109     1681    12500 SH       DEFINED                                   12500

EXXON CORP                     COMMON           302290101    98493  1395823 SH       SOLE                                    1395823

                                                302290101   175744  2490613 SH       DEFINED                                 2490613

FPIC INS GROUP INC             COMMON           302563101    15816   381100 SH       SOLE                                     381100

FPL GROUP INC                  COMMON           302571104      581    10920 SH       SOLE                                      10920

                                                302571104     1004    18850 SH       DEFINED                                   18850

FDX CORP                       COMMON           31304N107     1379    14830 SH       SOLE                                      14830

                                                31304N107      154     1660 SH       DEFINED                                    1660

FEDERAL HOME LOAN MORTGAGE COR COMMON           313400301    17166   299517 SH       SOLE                                     299517

                                                313400301     3078    53700 SH       DEFINED                                   53700

FANNIE MAE                     COMMON           313586109   126338  1824379 SH       SOLE                                    1824379

                                                313586109    67641   976771 SH       DEFINED                                  976771

FEDERATED DEPARTMENT STORES IN COMMON           31410H101    18277   455508 SH       SOLE                                     455508

                                                31410H101     1658    41324 SH       DEFINED                                   41324

FEDERATED INVESTORS INC        COMMON           314211103     2019   111000 SH       SOLE                                     111000

FERRO CORP                     COMMON           315405100      276    11137 SH       DEFINED                                   11137

FIFTH THIRD BANCORP            COMMON           316773100     2697    40907 SH       SOLE                                      40907

                                                316773100     3070    46558 SH       DEFINED                                   46558
COLUMN TOTALS                                               572770
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 22
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

FINOVA FIN TR TR ORIG PFD CONV CONVERTIBLE      31808E207      446     6200 SH       SOLE                                       6200

FIRST AUSTRALIA PRIME INCOME F COMMON           318653102      244    39799 SH       SOLE                                      39799

                                                318653102       18     3000 SH       DEFINED                                    3000

FIRST CONSULTING GROUP INC     COMMON           31986R103      160    14400 SH       SOLE                                      14400

FIRST DATA CORP                COMMON           319963104     2692    62972 SH       SOLE                                      62972

                                                319963104    54644  1278220 SH       DEFINED                                 1278220

FIRST NATIONAL CORP ORANGEBURG COMMON           320942105      309    11000 SH       SOLE                                      11000

FIRST HEALTH GROUP CORP        COMMON           320960107     7379   459400 SH       SOLE                                     459400

                                                320960107     1221    76000 SH       DEFINED                                   76000

FIRST UNION CORP               COMMON           337358105    24272   454209 SH       SOLE                                     454209

                                                337358105    14591   273043 SH       DEFINED                                  273043

FIRST VIRGINIA BANKS INC       COMMON           337477103      275     6015 SH       SOLE                                       6015

                                                337477103       39      850 SH       DEFINED                                     850

FIRST WESTN BANCORP Inc.       COMMON           337505101     3182   101000 SH       SOLE                                     101000

FIRSTAR CORP NEW WISC          COMMON           33763V109     1584    17698 SH       SOLE                                      17698

                                                33763V109      619     6920 SH       DEFINED                                    6920

FISERV INC                     COMMON           337738108      818    15250 SH       SOLE                                      15250

                                                337738108      121     2250 SH       DEFINED                                    2250

FLEET FINANCIAL GROUP INC      COMMON           338915101     2879    76506 SH       SOLE                                      76506

                                                338915101      701    18620 SH       DEFINED                                   18620

FLEXIINTERNATIONAL SOFTWARE IN COMMON           338923105      149   140000 SH       DEFINED                                  140000

FLORIDA PROGRESS CORP          COMMON           341109106      574    15199 SH       SOLE                                      15199

                                                341109106      828    21935 SH       DEFINED                                   21935

FLUOR CORP                     COMMON           343861100       27     1000 SH       SOLE                                       1000

                                                343861100      216     8000 SH       DEFINED                                    8000

FORD MOTOR CO DEL              COMMON           345370100    16269   286991 SH       SOLE                                     286991

                                                345370100     6265   110513 SH       DEFINED                                  110513
COLUMN TOTALS                                               140519
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 23
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

FORT JAMES CORP                COMMON           347471104     2847    89835 SH       SOLE                                      89835

                                                347471104      387    12210 SH       DEFINED                                   12210

FORTUNE BRANDS INC             COMMON           349631101      289     7500 SH       SOLE                                       7500

                                                349631101      924    24000 SH       DEFINED                                   24000

FOX ENTERTAINMENT GROUP INC CL COMMON           35138T107    49939  1841085 SH       SOLE                                    1841085

                                                35138T107     2650    97700 SH       DEFINED                                   97700

FRANCHISE MORTGAGE ACCEPTANCE  COMMON           35181D108     3831   528400 SH       SOLE                                     528400

                                                35181D108      757   104400 SH       DEFINED                                  104400

FRANKLIN RESOURCES INC         COMMON           354613101     4388   156000 SH       SOLE                                     156000

FRONTIER CORP                  COMMON           35906P105      617    11900 SH       SOLE                                      11900

                                                35906P105      370     7132 SH       DEFINED                                    7132

FURNITURE BRANDS INTERNATIONAL COMMON           360921100     8162   368900 SH       SOLE                                     368900

                                                360921100     2876   130000 SH       DEFINED                                  130000

G & K SERVICES INC CL A        COMMON           361268105    16637   360200 SH       SOLE                                     360200

                                                361268105     3002    65000 SH       DEFINED                                   65000

GATX CORP                      COMMON           361448103      266     8080 SH       SOLE                                       8080

GTE CORP                       COMMON           362320103    46880   774872 SH       SOLE                                     774872

                                                362320103    87774  1450811 SH       DEFINED                                 1450811

GALLAHER GROUP PLC SPONSORED A COMMON           363595109      129     5500 SH       SOLE                                       5500

                                                363595109      576    24500 SH       DEFINED                                   24500

GANNETT CO INC                 COMMON           364730101     4066    64539 SH       SOLE                                      64539

                                                364730101     3291    52239 SH       DEFINED                                   52239

GAP INC                        COMMON           364760108     6204    92162 SH       SOLE                                      92162

                                                364760108     7796   115825 SH       DEFINED                                  115825

GARTNER GROUP INC NEW CL A     COMMON           366651107     1640    72700 SH       SOLE                                      72700

                                                366651107      144     6400 SH       DEFINED                                    6400
COLUMN TOTALS                                               256442
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 24
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

GAYLORD ENTMT CO NEW CL A      COMMON           367905106      241     9922 SH       DEFINED                                    9922

GENENTECH INC SPL COM          COMMON           368710307     6139    69265 SH       SOLE                                      69265

                                                368710307       33      374 SH       DEFINED                                     374

GENERAL ELECTRIC CO            COMMON           369604103   348772  3152739 SH       SOLE                                    3152739

                                                369604103   387662  3504291 SH       DEFINED                                 3504291

GENERAL GROWTH PPTYS INC $1.88 COMMON           370021107     1054    32500 SH       SOLE                                      32500

GENERAL INSTRUMENT CORP DEL    COMMON           370120107      713    23509 SH       SOLE                                      23509

                                                370120107       30     1000 SH       DEFINED                                    1000

GENERAL MILLS INC              COMMON           370334104     1195    15816 SH       SOLE                                      15816

                                                370334104      703     9304 SH       DEFINED                                    9304

GENERAL MOTORS CORP            COMMON           370442105     3371    38742 SH       SOLE                                      38742

                                                370442105     3318    38136 SH       DEFINED                                   38136

GENERAL MOTORS CORP CL H NEW   COMMON           370442832     1646    32635 SH       SOLE                                      32635

                                                370442832      902    17876 SH       DEFINED                                   17876

GENSET SA SPONSORED ADR        COMMON           37244T104     1665   108300 SH       SOLE                                     108300

                                                37244T104      796    51800 SH       DEFINED                                   51800

GENUINE PARTS CO               COMMON           372460105      491    17043 SH       SOLE                                      17043

                                                372460105      216     7500 SH       DEFINED                                    7500

GENZYME CORP                   COMMON           372917104      202     4000 SH       SOLE                                       4000

GEORGIA PACIFIC CORP           COMMON           373298108      514     6927 SH       SOLE                                       6927

                                                373298108      388     5220 SH       DEFINED                                    5220

GETTY IMAGES INC               COMMON           374276103      315    15000 SH       SOLE                                      15000

GETTY IMAGES INC SUB NTS CONV  CONVERTIBLE      374276AA1      659   700000 SH       SOLE                                     700000

GILLETTE CO                    COMMON           375766102    38734   651673 SH       SOLE                                     651673

                                                375766102   153057  2575087 SH       DEFINED                                 2575087

GLAXO WELLCOME PLC SPONSORED A COMMON           37733W105     1169    17461 SH       SOLE                                      17461

                                                37733W105      502     7500 SH       DEFINED                                    7500
COLUMN TOTALS                                               954485
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 25
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

GLENBOROUGH REALTY TRUST INC 7 CONVERTIBLE      37803P204     1285    76700 SH       SOLE                                      76700

GLOBAL INCOME FUND INC         COMMON           37934Y108      152    30000 SH       DEFINED                                   30000

GLOBAL TELESYSTEMS GROUP INC   COMMON           37936U104     7949   142100 SH       SOLE                                     142100

GLOBIX CORP                    COMMON           37957F101     2362    63300 SH       SOLE                                      63300

                                                37957F101      821    22000 SH       DEFINED                                   22000

GOLDEN ST VINTNERS INC CL B    COMMON           38121K208     1820   152500 SH       SOLE                                     152500

                                                38121K208      979    82000 SH       DEFINED                                   82000

GOODYEAR TIRE & RUBBER CO      COMMON           382550101      237     4750 SH       SOLE                                       4750

                                                382550101      156     3138 SH       DEFINED                                    3138

GRAINGER W W INC               COMMON           384802104      207     4806 SH       SOLE                                       4806

                                                384802104      448    10400 SH       DEFINED                                   10400

GREENPOINT FINANCIAL CORP      COMMON           395384100      487    14000 SH       SOLE                                      14000

                                                395384100      348    10000 SH       DEFINED                                   10000

GUCCI GROUP NV SHS N Y REGISTR COMMON           401566104     1151    14300 SH       SOLE                                      14300

                                                401566104      860    10685 SH       DEFINED                                   10685

GUIDANT CORP                   COMMON           401698105      255     4208 SH       SOLE                                       4208

HNC SOFTWARE INC               COMMON           40425P107      332    10150 SH       SOLE                                      10150

HRPT PPTYS TR COM SH BEN INT $ COMMON           40426W101      200    14850 SH       SOLE                                      14850

                                                40426W101      198    14700 SH       DEFINED                                   14700

HSB GROUP INC                  COMMON           40428N109     2954    79560 SH       SOLE                                      79560

                                                40428N109     1203    32400 SH       DEFINED                                   32400

HUBCO INC                      COMMON           404382103       23      695 SH       SOLE                                        695

                                                404382103      285     8477 SH       DEFINED                                    8477

HAGLER BAILLY INC              COMMON           405183104     2209   276100 SH       SOLE                                     276100

HAIN FOOD GROUP INC            COMMON           405219106      965    58500 SH       SOLE                                      58500

HALLIBURTON CO                 COMMON           406216101     8190   212730 SH       SOLE                                     212730

                                                406216101    71940  1868576 SH       DEFINED                                 1868576
COLUMN TOTALS                                               108015
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 26
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

HANGER ORTHOPEDIC GROUP INC    COMMON           41043F208     2228   165000 SH       SOLE                                     165000

HANOVER COMPRESSOR CO          COMMON           410768105     8051   303800 SH       SOLE                                     303800

                                                410768105     1598    60300 SH       DEFINED                                   60300

HANSON PLC SPONSORED ADR NEW   COMMON           411352404      299     6799 SH       SOLE                                       6799

                                                411352404       32      725 SH       DEFINED                                     725

HARTE-HANKS INC                COMMON           416196103      905    33000 SH       SOLE                                      33000

                                                416196103      203     7400 SH       DEFINED                                    7400

HARTFORD FINANCIAL SERVICES GR COMMON           416515104     2400    42250 SH       SOLE                                      42250

                                                416515104     1224    21544 SH       DEFINED                                   21544

HARTFORD LIFE INC CL A         COMMON           416592103      380     6900 SH       SOLE                                       6900

HASBRO INC                     COMMON           418056107      235     8106 SH       SOLE                                       8106

HEALTH MGMT ASSOC INC NEW CL A COMMON           421933102    10434   856157 SH       SOLE                                     856157

                                                421933102     2192   179851 SH       DEFINED                                  179851

HEALTHCARE REALTY TRUST $2.100 COMMON           421946104     1346    70868 SH       SOLE                                      70868

HEALTHCARE REALTY TR SUB DEB C CONVERTIBLE      421946AA2     2291  2545000 SH       SOLE                                    2545000

HEALTH CARE REIT INC $2.2400   COMMON           42217K106      469    21800 SH       SOLE                                      21800

                                                42217K106       32     1500 SH       DEFINED                                    1500

HEALTHCARE FINANCIAL PARTNERS  COMMON           42219W108    15150   579900 SH       SOLE                                     579900

                                                42219W108     2090    80000 SH       DEFINED                                   80000

HEALTHCARE RECOVERIES INC      COMMON           42220K101      746   153100 SH       SOLE                                     153100

HEINZ H J CO                   COMMON           423074103    12916   272641 SH       SOLE                                     272641

                                                423074103    11417   240991 SH       DEFINED                                  240991

HENRY JACK & ASSOC INC         COMMON           426281101     7987   217325 SH       SOLE                                     217325

HERSHEY FOODS CORP             COMMON           427866108      488     8700 SH       SOLE                                       8700

                                                427866108      160     2850 SH       DEFINED                                    2850

HEWLETT PACKARD CO             COMMON           428236103    37093   546991 SH       SOLE                                     546991

                                                428236103   141933  2093025 SH       DEFINED                                 2093025
COLUMN TOTALS                                               264298
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 27
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

HI/FN INC                      COMMON           428358105      784    20900 SH       SOLE                                      20900

HILLENBRAND INDUSTRIES INC     COMMON           431573104      813    17600 SH       DEFINED                                   17600

HINES HORTICULTURE INC         COMMON           433245107     1153   139800 SH       SOLE                                     139800

                                                433245107     1153   139700 SH       DEFINED                                  139700

HITACHI LTD ADR                COMMON           433578507      717     9855 SH       SOLE                                       9855

                                                433578507      146     2000 SH       DEFINED                                    2000

HOECHST AG SPONS ADR           COMMON           434390308      356     8200 SH       SOLE                                       8200

HOME DEPOT INC                 COMMON           437076102   100982  1622193 SH       SOLE                                    1622193

                                                437076102   220974  3549784 SH       DEFINED                                 3549784

HOME DEPOT INC CONV SUB NT CAL CONVERTIBLE      437076AE2     3757  1385000 SH       SOLE                                    1385000

HONEYWELL INC                  COMMON           438506107     1622    21390 SH       SOLE                                      21390

                                                438506107     1322    17443 SH       DEFINED                                   17443

HONG KONG TELECOMM LTD SPON AD COMMON           438579203      137     7018 SH       SOLE                                       7018

                                                438579203      387    19800 SH       DEFINED                                   19800

HOOPER HOLMES INC              COMMON           439104100     9689   620100 SH       SOLE                                     620100

                                                439104100     2131   136400 SH       DEFINED                                  136400

HORACE MANN EDUCATORS CORP NEW COMMON           440327104     5971   257500 SH       SOLE                                     257500

                                                440327104      696    30000 SH       DEFINED                                   30000

HORMEL FOODS CORP              COMMON           440452100      990    27800 SH       SOLE                                      27800

HOSPITALITY PPTYS TR SH BEN IN COMMON           44106M102      203     7500 SH       SOLE                                       7500

                                                44106M102       27     1000 SH       DEFINED                                    1000

HOUSEHOLD INTERNATIONAL INC    COMMON           441815107     3411    74755 SH       SOLE                                      74755

                                                441815107    78156  1713000 SH       DEFINED                                 1713000

HUBBELL INC CL B               COMMON           443510201      463    11582 SH       SOLE                                      11582

                                                443510201      183     4574 SH       DEFINED                                    4574

HUMAN GENOME SCIENCES INC      COMMON           444903108     4312   124300 SH       SOLE                                     124300

                                                444903108      416    12000 SH       DEFINED                                   12000
COLUMN TOTALS                                               440949
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 28
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

HUNTWAY REFINING CO            COMMON           447309105       30    20000 SH       SOLE                                      20000

IDEC PHARMACEUTICALS CORP      COMMON           449370105     8497   165400 SH       SOLE                                     165400

                                                449370105     2826    55000 SH       DEFINED                                   55000

IDG BOOKS WORLDWIDE INC CL A   COMMON           449384106     7858   315100 SH       SOLE                                     315100

                                                449384106     2494   100000 SH       DEFINED                                  100000

IMS HEALTH INC                 COMMON           449934108     3087    93196 SH       SOLE                                      93196

                                                449934108     4617   139372 SH       DEFINED                                  139372

ISS GROUP INC                  COMMON           450306105     6058    76200 SH       SOLE                                      76200

                                                450306105     2385    30000 SH       DEFINED                                   30000

ITT EDUCATIONAL SERVICES INC   COMMON           45068B109    22722   604900 SH       SOLE                                     604900

                                                45068B109     3388    90200 SH       DEFINED                                   90200

IXC COMMUNICATIONS INC         COMMON           450713102    20346   443500 SH       SOLE                                     443500

                                                450713102     3184    69400 SH       DEFINED                                   69400

ITT INDUSTRIES INC             COMMON           450911102       60     1704 SH       SOLE                                       1704

                                                450911102      335     9472 SH       DEFINED                                    9472

IDACORP INC                    COMMON           451107106     2125    72200 SH       SOLE                                      72200

                                                451107106       17      592 SH       DEFINED                                     592

ILLINOIS TOOL WORKS INC        COMMON           452308109      963    15571 SH       SOLE                                      15571

                                                452308109     2475    40000 SH       DEFINED                                   40000

IMATION CORP                   COMMON           45245A107      756    45804 SH       SOLE                                      45804

                                                45245A107       30     1800 SH       DEFINED                                    1800

IMMUNEX CORP                   COMMON           452528102      555     6666 SH       SOLE                                       6666

IMMUNE RESPONSE CORP DEL       COMMON           45252T106      211    24000 SH       SOLE                                      24000

                                                45252T106       26     3000 SH       DEFINED                                    3000

IMPERIAL CREDIT INDUSTRIES INC COMMON           452729106     2979   407400 SH       SOLE                                     407400

                                                452729106     1828   250000 SH       DEFINED                                  250000
COLUMN TOTALS                                                99852
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 29
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

INCO LTD DEB CONV              CONVERTIBLE      453258AH8       26    30000 SH       SOLE                                      30000

INFINITY BROADCASTING CORP CL  COMMON           45662S102    22139   859750 SH       SOLE                                     859750

                                                45662S102     1085    42150 SH       DEFINED                                   42150

INFORMATION RESOURCE ENGR INC  COMMON           45675F303      203    13000 SH       SOLE                                      13000

INFORMIX CORP                  COMMON           456779107       96    13000 SH       SOLE                                      13000

                                                456779107       44     6000 SH       DEFINED                                    6000

INFOSEEK CORP                  COMMON           45678M107    24390   329600 SH       SOLE                                     329600

                                                45678M107     3670    49600 SH       DEFINED                                   49600

INFOSPACE COM INC              COMMON           45678T102    10755   121350 SH       SOLE                                     121350

                                                45678T102     4263    48100 SH       DEFINED                                   48100

ING GROEP N V SPONSORED ADR    COMMON           456837103      268     4883 SH       DEFINED                                    4883

INGERSOLL RAND CO              COMMON           456866102      151     3049 SH       SOLE                                       3049

                                                456866102       94     1890 SH       DEFINED                                    1890

INNKEEPERS USA TR $1.1200      COMMON           4576J0104       89     9600 SH       SOLE                                       9600

                                                4576J0104       19     2000 SH       DEFINED                                    2000

INTEL CORP                     COMMON           458140100   189435  1593566 SH       SOLE                                    1593566

                                                458140100   262005  2204037 SH       DEFINED                                 2204037

INTERDENT INC                  COMMON           45865R109      631   114700 SH       SOLE                                     114700

INTERIM SERVICES INC           COMMON           45868P100     2496   166400 SH       SOLE                                     166400

                                                45868P100      902    60100 SH       DEFINED                                   60100

INTERNATIONAL BUSINESS MACHINE COMMON           459200101   142133   801879 SH       SOLE                                     801879

                                                459200101   212733  1200187 SH       DEFINED                                 1200187

INTERNATIONAL FLAVORS & FRAGRA COMMON           459506101      627    16680 SH       SOLE                                      16680

                                                459506101      334     8900 SH       DEFINED                                    8900

INTERNATIONAL ISOTOPES INC     COMMON           45972C102     1272   137500 SH       SOLE                                     137500

INTERNATIONAL PAPER CO         COMMON           460146103     1467    34774 SH       SOLE                                      34774

                                                460146103      906    21468 SH       DEFINED                                   21468
COLUMN TOTALS                                               882233
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 30
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

INTERPUBLIC GROUP COS INC      COMMON           460690100     8877   113991 SH       SOLE                                     113991

                                                460690100     7009    90000 SH       DEFINED                                   90000

INTERSTATE ENERGY CORP WISC    COMMON           460845100     1496    56206 SH       SOLE                                      56206

INTERWEST BANCORP INC          COMMON           460931108     5979   251100 SH       SOLE                                     251100

INTUIT INC                     COMMON           461202103     6690    65750 SH       SOLE                                      65750

                                                461202103      148     1450 SH       DEFINED                                    1450

INVESTORS FINL SERVICES CORP   COMMON           461915100    14398   500800 SH       SOLE                                     500800

                                                461915100     3163   110000 SH       DEFINED                                  110000

IONICS INC                     COMMON           462218108      349    11600 SH       SOLE                                      11600

                                                462218108      217     7200 SH       DEFINED                                    7200

IRELAND BK SPONSORED ADR       COMMON           46267Q103      901    10680 SH       SOLE                                      10680

                                                46267Q103      357     4230 SH       DEFINED                                    4230

JACOR COMMUNICATIONS INC       COMMON           469858401    11423   150300 SH       SOLE                                     150300

                                                469858401      228     3000 SH       DEFINED                                    3000

JEFFERSON PILOT CORP           COMMON           475070108      528     7789 SH       SOLE                                       7789

                                                475070108     1080    15942 SH       DEFINED                                   15942

JOHNSON & JOHNSON CO           COMMON           478160104    98588  1054416 SH       SOLE                                    1054416

                                                478160104   213306  2281350 SH       DEFINED                                 2281350

JONES PHARMA INC               COMMON           480236108    18181   523200 SH       SOLE                                     523200

                                                480236108     2596    74700 SH       DEFINED                                   74700

KCS ENERGY INC                 COMMON           482434206        6     3272 SH       SOLE                                       3272

                                                482434206     4301  2293942 SH       DEFINED                                 2293942

K MART CORP                    COMMON           482584109      258    15364 SH       SOLE                                      15364

KN ENERGY INC                  COMMON           482620101       99     4950 SH       SOLE                                       4950

                                                482620101      202    10125 SH       DEFINED                                   10125

KANSAS CITY SOUTHERN INDUSTRIE COMMON           485170104      405     7100 SH       SOLE                                       7100

                                                485170104       41      720 SH       DEFINED                                     720
COLUMN TOTALS                                               400826
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 31
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

KAUFMAN & BROAD HOME CORP      COMMON           486168107      566    25100 SH       SOLE                                      25100

                                                486168107       79     3500 SH       DEFINED                                    3500

KAYDON CORP                    COMMON           486587108     8852   305900 SH       SOLE                                     305900

                                                486587108     2026    70000 SH       DEFINED                                   70000

KELLOGG CO                     COMMON           487836108      449    13288 SH       SOLE                                      13288

KEYCORP                        COMMON           493267108      304    10020 SH       SOLE                                      10020

                                                493267108       31     1012 SH       DEFINED                                    1012

KEYSPAN ENERGY CORP            COMMON           49337K106       69     2740 SH       SOLE                                       2740

                                                49337K106      142     5650 SH       DEFINED                                    5650

KEYSTONE AUTOMOTIVE INDS INC   COMMON           49338N109     4469   275000 SH       SOLE                                     275000

                                                49338N109     1950   120000 SH       DEFINED                                  120000

KIMBERLY CLARK CORP            COMMON           494368103     2966    61880 SH       SOLE                                      61880

                                                494368103     2907    60636 SH       DEFINED                                   60636

KIMCO REALTY CORP              COMMON           49446R109     1882    51033 SH       SOLE                                      51033

KING WORLD PRODUCTIONS INC     COMMON           495667107      306    10000 SH       DEFINED                                   10000

KNIGHT RIDDER INC              COMMON           499040103      622    12432 SH       SOLE                                      12432

                                                499040103      130     2600 SH       DEFINED                                    2600

KOHLS CORP                     COMMON           500255104      284     4000 SH       SOLE                                       4000

KONINKLIJKE AHOLD NV SPON ADR  COMMON           500467303       88     2308 SH       SOLE                                       2308

                                                500467303      112     2926 SH       DEFINED                                    2926

KONINKLIJKE PHILIPS ELECTRS SP COMMON           500472105      621     7537 SH       SOLE                                       7537

                                                500472105      476     5772 SH       DEFINED                                    5772

KOPIN CORP                     COMMON           500600101      296    21400 SH       SOLE                                      21400

                                                500600101      104     7500 SH       DEFINED                                    7500

KOREA ELEC PWR CO SPON ADR     COMMON           500631106     4227   333200 SH       SOLE                                     333200

KROGER CO                      COMMON           501044101       89     1492 SH       SOLE                                       1492

                                                501044101    41314   690000 SH       DEFINED                                  690000
COLUMN TOTALS                                                75359
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 32
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

KROLL O GARA CO                COMMON           501050108     7063   260400 SH       SOLE                                     260400

                                                501050108     1899    70000 SH       DEFINED                                   70000

LAMAR ADVERTISING CO           COMMON           512815101    16079   473800 SH       SOLE                                     473800

                                                512815101     2107    62100 SH       DEFINED                                   62100

LANCE INC                      COMMON           514606102      731    45000 SH       SOLE                                      45000

LAUDER ESTEE COS INC CL A      COMMON           518439104     5542    58650 SH       SOLE                                      58650

                                                518439104     1299    13750 SH       DEFINED                                   13750

LEAR CORP                      COMMON           521865105     3227    75600 SH       SOLE                                      75600

LEE ENTERPRISES INC            COMMON           523768109      463    15955 SH       SOLE                                      15955

                                                523768109      232     8000 SH       DEFINED                                    8000

LEGATO SYSTEMS INC             COMMON           524651106      808    15650 SH       SOLE                                      15650

LEGGETT & PLATT INC            COMMON           524660107      600    30000 SH       SOLE                                      30000

LEGG MASON INC                 COMMON           524901105    13582   403164 SH       SOLE                                     403164

LEHMAN BROTHERS HOLDINGS INC   COMMON           524908100      115     1920 SH       SOLE                                       1920

                                                524908100      255     4274 SH       DEFINED                                    4274

LEUCADIA NATIONAL CORP         COMMON           527288104     1134    37500 SH       SOLE                                      37500

LIBERTY PROPERTY TRUST SBI $1. COMMON           531172104     5521   266090 SH       SOLE                                     266090

                                                531172104     1741    83900 SH       DEFINED                                   83900

LILLY ELI & CO                 COMMON           532457108   103212  1216045 SH       SOLE                                    1216045

                                                532457108   227894  2685050 SH       DEFINED                                 2685050

LINCARE HOLDINGS INC           COMMON           532791100    19578   696100 SH       SOLE                                     696100

                                                532791100     2874   102200 SH       DEFINED                                  102200

LINCOLN NATIONAL CORP IND      COMMON           534187109    10507   106262 SH       SOLE                                     106262

                                                534187109    10623   107438 SH       DEFINED                                  107438

LINEAR TECHNOLOGY CORP         COMMON           535678106      537    10472 SH       SOLE                                      10472

LIZ CLAIBORNE INC              COMMON           539320101      194     5932 SH       SOLE                                       5932

                                                539320101       42     1300 SH       DEFINED                                    1300
COLUMN TOTALS                                               437860
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 33
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

LOCKHEED MARTIN CORP           COMMON           539830109      558    14790 SH       SOLE                                      14790

                                                539830109       90     2388 SH       DEFINED                                    2388

LOEWS CORP                     COMMON           540424108      157     2109 SH       SOLE                                       2109

                                                540424108      134     1800 SH       DEFINED                                    1800

LOWES COS INC                  COMMON           548661107     6150   101650 SH       SOLE                                     101650

                                                548661107       30      500 SH       DEFINED                                     500

LUCENT TECHNOLOGIES INC        COMMON           549463107   109029  1009528 SH       SOLE                                    1009528

                                                549463107   139995  1296253 SH       DEFINED                                 1296253

MBIA INC                       COMMON           55262C100      603    10400 SH       SOLE                                      10400

                                                55262C100      244     4200 SH       DEFINED                                    4200

MBNA CORP                      COMMON           55262L100     2879   120588 SH       SOLE                                     120588

MCN ENERGY GROUP INC           COMMON           55267J100      129     8052 SH       SOLE                                       8052

                                                55267J100      166    10364 SH       DEFINED                                   10364

MCI WORLDCOM INC               COMMON           55268B106   129753  1465112 SH       SOLE                                    1465112

                                                55268B106   152914  1726627 SH       DEFINED                                 1726627

MGIC INVESTMENT CORP WISC      COMMON           552848103      645    18400 SH       SOLE                                      18400

MACDERMID INC                  COMMON           554273102     6706   197600 SH       SOLE                                     197600

                                                554273102     3394   100000 SH       DEFINED                                  100000

MACERICH CO $1.9400            COMMON           554382101      794    35000 SH       SOLE                                      35000

MADISON GAS & ELECTRIC CO      COMMON           557497104     1796    92100 SH       SOLE                                      92100

MAGNA INTL INC CONV DEB CALLAB CONVERTIBLE      559222AE4      252   230000 SH       SOLE                                     230000

MAGNA INTL INC CONV SUB 144A R CONVERTIBLE      559222AF1      400   400000 SH       SOLE                                     400000

MANHATTAN ASSOCIATES INC       COMMON           562750109     5102   480200 SH       SOLE                                     480200

                                                562750109     1302   122500 SH       DEFINED                                  122500

MANPOWER INC                   COMMON           56418H100     2583   110500 SH       SOLE                                     110500

                                                56418H100      306    13100 SH       DEFINED                                   13100
COLUMN TOTALS                                               566112
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 34
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

MARKEL CORP                    COMMON           570535104    17719    98300 SH       SOLE                                      98300

                                                570535104     4596    25500 SH       DEFINED                                   25500

MARSH & MCLENNAN COS INC       COMMON           571748102     3856    51939 SH       SOLE                                      51939

                                                571748102      679     9150 SH       DEFINED                                    9150

MARRIOTT INTERNATIONAL INC CL  COMMON           571903202      859    25560 SH       SOLE                                      25560

                                                571903202        7      200 SH       DEFINED                                     200

MASCO CORP                     COMMON           574599106    56647  2005202 SH       SOLE                                    2005202

                                                574599106    41578  1471776 SH       DEFINED                                 1471776

MASCOTECH INC                  COMMON           574670105      608    39227 SH       SOLE                                      39227

MASCOTECH INC CONV SUB DEB     CONVERTIBLE      574670AB1       57    75000 SH       SOLE                                      75000

                                                574670AB1      161   210000 SH       DEFINED                                  210000

MATTEL INC                     COMMON           577081102    14207   569691 SH       SOLE                                     569691

                                                577081102    31340  1256760 SH       DEFINED                                 1256760

MAY DEPARTMENT STORES CO       COMMON           577778103     3637    92958 SH       SOLE                                      92958

                                                577778103     3931   100479 SH       DEFINED                                  100479

MAXIMUS INC                    COMMON           577933104    19368   665000 SH       SOLE                                     665000

                                                577933104     2805    96300 SH       DEFINED                                   96300

MAYTAG CORP                    COMMON           578592107      536     8875 SH       SOLE                                       8875

                                                578592107      122     2028 SH       DEFINED                                    2028

MCDONALDS CORP                 COMMON           580135101    26315   580740 SH       SOLE                                     580740

                                                580135101   136217  3006170 SH       DEFINED                                 3006170

MCGRAW HILL CO INC             COMMON           580645109      545    10000 SH       SOLE                                      10000

                                                580645109    12894   236580 SH       DEFINED                                  236580

MCKESSON HBOC INC              COMMON           58155Q103    30066   455546 SH       SOLE                                     455546

                                                58155Q103      930    14084 SH       DEFINED                                   14084

MEDIAONE GROUP INC             COMMON           58440J104    51307   808774 SH       SOLE                                     808774

                                                58440J104    24002   378351 SH       DEFINED                                  378351
COLUMN TOTALS                                               484988
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 35
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

MEDIAONE GROUP INC 4.5% CONV P CONVERTIBLE      58440J203    24367   189536 SH       SOLE                                     189536

                                                58440J203     3357    26115 SH       DEFINED                                   26115

MEDIALINK WORLDWIDE INC        COMMON           58445P105     1173    92900 SH       SOLE                                      92900

MEDICIS PHARMACEUTICAL CORP CL COMMON           584690309     2525    84150 SH       SOLE                                      84150

MEDIMMUNE INC                  COMMON           584699102    18679   315600 SH       SOLE                                     315600

                                                584699102     4368    73800 SH       DEFINED                                   73800

MEDITRUST PAIRED CTF NEW $2.48 COMMON           58501T306      149    12016 SH       SOLE                                      12016

                                                58501T306       15     1201 SH       DEFINED                                    1201

MEDTRONIC INC                  COMMON           585055106    15926   221582 SH       SOLE                                     221582

                                                585055106      647     9000 SH       DEFINED                                    9000

MERCANTILE BANCORPORATION INC  COMMON           587342106      435     9150 SH       SOLE                                       9150

MERCANTILE BANKSHARES CORP     COMMON           587405101      254     6855 SH       SOLE                                       6855

                                                587405101      666    18000 SH       DEFINED                                   18000

MERCK & CO INC                 COMMON           589331107   288525  3600938 SH       SOLE                                    3600938

                                                589331107   343347  4285142 SH       DEFINED                                 4285142

MERCURY INTERACTIVE CORP       COMMON           589405109    24528   688500 SH       SOLE                                     688500

                                                589405109     3876   108800 SH       DEFINED                                  108800

MERITOR AUTOMOTIVE INC         COMMON           59000G100      269    17333 SH       DEFINED                                   17333

MERRILL LYNCH & CO INC         COMMON           590188108     3091    34932 SH       SOLE                                      34932

                                                590188108    63667   719400 SH       DEFINED                                  719400

MESA AIR GROUP INC             COMMON           590479101      313    50000 SH       SOLE                                      50000

METHANEX CORP (CAD)            COMMON           59151K108       49    15000 SH       SOLE                                      15000

METRO ONE TELECOMMUNICATIONS I COMMON           59163F105     1558   109300 SH       SOLE                                     109300

METZLER GROUP INC              COMMON           592903108     5497   175200 SH       SOLE                                     175200

                                                592903108     1108    35299 SH       DEFINED                                   35299

MIAMI COMPUTER SUPPLY CORP     COMMON           593261100     1180    59200 SH       SOLE                                      59200
COLUMN TOTALS                                               809568
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 36
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

MICROSOFT CORP                 COMMON           594918104   193494  2158926 SH       SOLE                                    2158926

                                                594918104   412574  4603338 SH       DEFINED                                 4603338

MICROSOFT CORP PFD SER A CONV  CONVERTIBLE      594918203     2034    20650 SH       SOLE                                      20650

                                                594918203      128     1300 SH       DEFINED                                    1300

MICROMUSE INC                  COMMON           595094103     5909   128450 SH       SOLE                                     128450

MILLER HERMAN INC              COMMON           600544100      248    13600 SH       SOLE                                      13600

MILLIPORE CORP                 COMMON           601073109      499    20700 SH       SOLE                                      20700

                                                601073109       79     3264 SH       DEFINED                                    3264

MINE SAFETY APPLIANCES CO      COMMON           602720104      278     4800 SH       DEFINED                                    4800

MINERALS TECHNOLOGIES INC      COMMON           603158106    18768   391000 SH       SOLE                                     391000

                                                603158106     2923    60900 SH       DEFINED                                   60900

MINNESOTA MINING & MANUFACTURI COMMON           604059105    44129   623733 SH       SOLE                                     623733

                                                604059105     9168   129578 SH       DEFINED                                  129578

MIPS TECHNOLOGIES INC          COMMON           604567107      275     4500 SH       SOLE                                       4500

MOBIL CORP                     COMMON           607059102    35347   401665 SH       SOLE                                     401665

                                                607059102    98767  1122357 SH       DEFINED                                 1122357

MOLEX INC                      COMMON           608554101      382    13004 SH       SOLE                                      13004

                                                608554101       57     1952 SH       DEFINED                                    1952

MOLEX INC CL A NON VTG         COMMON           608554200     3820   147614 SH       SOLE                                     147614

                                                608554200       39     1512 SH       DEFINED                                    1512

MONMOUTH REAL ESTATE INVT CORP COMMON           609720107      216    40020 SH       SOLE                                      40020

MONSANTO CO                    COMMON           611662107     4390    95574 SH       SOLE                                      95574

                                                611662107     4204    91505 SH       DEFINED                                   91505

MONTANA POWER CO               COMMON           612085100      265     3596 SH       SOLE                                       3596

MONY GROUP INC                 COMMON           615337102      241     9700 SH       SOLE                                       9700

MORGAN J P & CO INC            COMMON           616880100     9846    79806 SH       SOLE                                      79806

                                                616880100     6375    51671 SH       DEFINED                                   51671
COLUMN TOTALS                                               854455
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 37
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

MORGAN STANLEY DEAN WITTER & C COMMON           617446448     4706    47087 SH       SOLE                                      47087

                                                617446448     3583    35854 SH       DEFINED                                   35854

MORTON INTERNATIONAL INC NEW   COMMON           619335102      647    17600 SH       SOLE                                      17600

                                                619335102      187     5100 SH       DEFINED                                    5100

MOTIVEPOWER INDUSTRIES INC     COMMON           61980K101    11723   466600 SH       SOLE                                     466600

                                                61980K101     1935    77000 SH       DEFINED                                   77000

MOTOROLA INC                   COMMON           620076109    12780   174477 SH       SOLE                                     174477

                                                620076109    97433  1330142 SH       DEFINED                                 1330142

NF0 WORLDWIDE INC              COMMON           62910N108       68     6750 SH       SOLE                                       6750

                                                62910N108       37     3710 SH       DEFINED                                    3710

NTL INC                        COMMON           629407107      814    10000 SH       SOLE                                      10000

NUI CORP                       COMMON           629430109      765    35477 SH       SOLE                                      35477

                                                629430109    13911   645139 SH       DEFINED                                  645139

NASH FINCH CO                  COMMON           631158102      153    18229 SH       SOLE                                      18229

NATIONAL AUSTRALIA BK LTD CV P CONVERTIBLE      632525309      737    23550 SH       SOLE                                      23550

                                                632525309      326    10400 SH       DEFINED                                   10400

NATIONAL AUSTRALIA BK LTD SPON COMMON           632525408      203     2250 SH       SOLE                                       2250

NATIONAL CITY BANCORPORATION   COMMON           635312101      301    14321 SH       SOLE                                      14321

                                                635312101      427    20330 SH       DEFINED                                   20330

NATIONAL CITY CORP             COMMON           635405103     4576    68945 SH       SOLE                                      68945

                                                635405103      596     8975 SH       DEFINED                                    8975

NATIONAL DATA CORP             COMMON           635621105     5790   137848 SH       SOLE                                     137848

NATIONAL DATA CORP SUB NT CONV CONVERTIBLE      635621AA3      300   285000 SH       SOLE                                     285000

NATIONWIDE FINANCIAL SERVICES  COMMON           638612101    10214   243200 SH       SOLE                                     243200

NETWORKS ASSOCIATES INC        COMMON           640938106     2352    76634 SH       SOLE                                      76634

                                                640938106      288     9375 SH       DEFINED                                    9375
COLUMN TOTALS                                               174850
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 38
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

NETWORK APPLIANCE INC          COMMON           64120L104    17258   340900 SH       SOLE                                     340900

                                                64120L104     2379    47000 SH       DEFINED                                   47000

NEVADA POWER CO                COMMON           641423108     1725    69700 SH       SOLE                                      69700

                                                641423108       25     1000 SH       DEFINED                                    1000

NEW ERA OF NETWORKS INC        COMMON           644312100      339     5000 SH       SOLE                                       5000

NEW PLAN EXCEL REALTY TRUST $1 COMMON           648053106      203    10600 SH       SOLE                                      10600

NEW YORK TIMES CO CL A         COMMON           650111107    15651   549160 SH       SOLE                                     549160

                                                650111107     2125    74564 SH       DEFINED                                   74564

NEWHALL LD & FARMING CO CALIF  COMMON           651426108      227     9500 SH       DEFINED                                    9500

NEWMONT MINING CORP            COMMON           651639106      310    17694 SH       SOLE                                      17694

                                                651639106       64     3677 SH       DEFINED                                    3677

NEWS CORP LTD ADR NEW          COMMON           652487703     7117   241250 SH       SOLE                                     241250

                                                652487703     1717    58200 SH       DEFINED                                   58200

NEWS CORP LTD SPONS ADR REP PF COMMON           652487802    25098   912658 SH       SOLE                                     912658

                                                652487802     1911    69475 SH       DEFINED                                   69475

NIAGARA BANCORP INC            COMMON           652914102     2550   255000 SH       SOLE                                     255000

NEXTEL COMMUNICATIONS INC CL A COMMON           65332V103      771    21040 SH       SOLE                                      21040

NIELSEN MEDIA RESEARCH INC     COMMON           653929307    12768   517204 SH       SOLE                                     517204

                                                653929307     3419   138487 SH       DEFINED                                  138487

NIKE INC CL B                  COMMON           654106103     9094   157650 SH       SOLE                                     157650

                                                654106103      418     7250 SH       DEFINED                                    7250

NOKIA CORP ADR 1 ADR REPS 1 A  COMMON           654902204    48261   309860 SH       SOLE                                     309860

                                                654902204     9580    61510 SH       DEFINED                                   61510

NORAM ENERGY CORP SUB DEB CONV CONVERTIBLE      655419AC3       76    80000 SH       DEFINED                                   80000

NORDSTROM INC                  COMMON           655664100      797    19498 SH       SOLE                                      19498

                                                655664100      654    16000 SH       DEFINED                                   16000
COLUMN TOTALS                                               164538
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 39
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

NORFOLK SOUTHERN CORP          COMMON           655844108     3382   128214 SH       SOLE                                     128214

                                                655844108     2378    90157 SH       DEFINED                                   90157

NORTHERN TELECOM LTD (CAD)     COMMON           665815106     3058    49230 SH       SOLE                                      49230

                                                665815106      304     4900 SH       DEFINED                                    4900

NOVACARE INC                   COMMON           669930109      194   110967 SH       SOLE                                     110967

NUCOR CORP                     COMMON           670346105     2080    47200 SH       DEFINED                                   47200

NUVEEN New York INVT QUALITY M COMMON           67062X101     1625    94900 SH       SOLE                                      94900

OEA INC                        COMMON           670826106       46     5600 SH       SOLE                                       5600

                                                670826106       45     5400 SH       DEFINED                                    5400

OGE ENERGY CORP                COMMON           670837103      298    13202 SH       SOLE                                      13202

                                                670837103       97     4284 SH       DEFINED                                    4284

OM GROUP INC                   COMMON           670872100      238     7200 SH       SOLE                                       7200

OAK INDUSTRIES INC NEW         COMMON           671400505      397    12500 SH       SOLE                                      12500

OCWEN ASSET INVESTMENT CORP $1 COMMON           67574M106       74    20000 SH       SOLE                                      20000

OFFICE DEPOT INC               COMMON           676220106     4945   132100 SH       SOLE                                     132100

                                                676220106    40751  1088500 SH       DEFINED                                 1088500

OMNICARE INC                   COMMON           681904108     2981   156366 SH       SOLE                                     156366

                                                681904108       19     1000 SH       DEFINED                                    1000

OMNICARE INC SUB NT CONV 144A  CONVERTIBLE      681904AB4      466   575000 SH       SOLE                                     575000

OMNICARE INC SUB DEB CONV CALL CONVERTIBLE      681904AD0      433   535000 SH       SOLE                                     535000

                                                681904AD0       16    20000 SH       DEFINED                                   20000

OMNICOM GROUP INC              COMMON           681919106     2038    25500 SH       SOLE                                      25500

                                                681919106      232     2900 SH       DEFINED                                    2900

OMEGA HEALTHCARE INVS INC $2.6 COMMON           681936100      835    36400 SH       SOLE                                      36400

                                                681936100       17      750 SH       DEFINED                                     750

OMEGA WORLDWIDE INC            COMMON           68210B108       40    10674 SH       SOLE                                      10674

                                                68210B108        1      247 SH       DEFINED                                     247
COLUMN TOTALS                                                66990
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 40
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

ON ASSIGNMENT INC              COMMON           682159108    20777   810800 SH       SOLE                                     810800

                                                682159108     2114    82500 SH       DEFINED                                   82500

ORACLE SYSTEMS CORP            COMMON           68389X105    15962   605176 SH       SOLE                                     605176

                                                68389X105     1794    68031 SH       DEFINED                                   68031

OSHKOSH B GOSH INC CL A        COMMON           688222207     3771   213200 SH       SOLE                                     213200

OUTDOOR SYSTEMS INC            COMMON           690057104     1080    36000 SH       SOLE                                      36000

PG&E CORP                      COMMON           69331C108      215     6911 SH       SOLE                                       6911

                                                69331C108      162     5200 SH       DEFINED                                    5200

PMC-SIERRA INC                 COMMON           69344F106    10842   152300 SH       SOLE                                     152300

PMI GROUP INC                  COMMON           69344M101     1034    22300 SH       SOLE                                      22300

PNC BANK CORP                  COMMON           693475105     1629    29310 SH       SOLE                                      29310

                                                693475105    87400  1572997 SH       DEFINED                                 1572997

PPG INDUSTRIES INC             COMMON           693506107      198     3862 SH       SOLE                                       3862

                                                693506107      756    14750 SH       DEFINED                                   14750

PACIFIC SUNWEAR CALIF INC      COMMON           694873100      753    21674 SH       SOLE                                      21674

PAINE WEBBER GROUP INC         COMMON           695629105      598    15000 SH       SOLE                                      15000

PAIRGAIN TECHNOLOGIES INC      COMMON           695934109      122    12500 SH       SOLE                                      12500

PALL CORP                      COMMON           696429307       73     4400 SH       SOLE                                       4400

                                                696429307      365    22008 SH       DEFINED                                   22008

PARAMETRIC TECHNOLOGY CORP     COMMON           699173100      241    12200 SH       SOLE                                      12200

                                                699173100      492    24900 SH       DEFINED                                   24900

PARKER HANNIFIN CORP           COMMON           701094104      103     3000 SH       SOLE                                       3000

                                                701094104      231     6750 SH       DEFINED                                    6750

PARKWAY PPTYS INC $1.8000      COMMON           70159Q104      705    25000 SH       SOLE                                      25000

PAYCHEX INC                    COMMON           704326107    26879   566619 SH       SOLE                                     566619

                                                704326107     1695    35737 SH       DEFINED                                   35737
COLUMN TOTALS                                               179988
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 41
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

PAYLESS SHOESOURCE INC         COMMON           704379106      134     2880 SH       SOLE                                       2880

                                                704379106      421     9045 SH       DEFINED                                    9045

PENNEY J C INC                 COMMON           708160106     2357    58200 SH       SOLE                                      58200

                                                708160106     1122    27698 SH       DEFINED                                   27698

PEOPLES BK BRIDGEPORT CONN     COMMON           710198102      506    17000 SH       SOLE                                      17000

PEOPLES HERITAGE FINL GROUP IN COMMON           711147108      523    29074 SH       SOLE                                      29074

PEOPLESOFT INC                 COMMON           712713106      124     8500 SH       SOLE                                       8500

                                                712713106       29     2000 SH       DEFINED                                    2000

PEP BOYS MANNY MOE & JACK CNV  CONVERTIBLE      713278AJ8     1654  3211000 SH       SOLE                                    3211000

PEPSICO INC                    COMMON           713448108    25050   639239 SH       SOLE                                     639239

                                                713448108    72807  1857904 SH       DEFINED                                 1857904

PERKIN ELMER CORP              COMMON           714041100      214     2200 SH       SOLE                                       2200

                                                714041100     1378    14200 SH       DEFINED                                   14200

PERRIGO CO                     COMMON           714290103     1441   198700 SH       SOLE                                     198700

TELEKOMUNIKASI INDO (EA ADR RE COMMON           715684106       80    12500 SH       SOLE                                      12500

PETROLEUM GEO-SVCS A/S SPONSOR COMMON           716597109      183    12000 SH       SOLE                                      12000

                                                716597109      247    16200 SH       DEFINED                                   16200

PETSMART INC SUB NT 144A RESTD CONVERTIBLE      716768AA4      586   545000 SH       SOLE                                     545000

PHARMACIA & UPJOHN INC         COMMON           716941109     5750    92192 SH       SOLE                                      92192

                                                716941109      181     2900 SH       DEFINED                                    2900

PFIZER INC                     COMMON           717081103   166127  1197311 SH       SOLE                                    1197311

                                                717081103   212974  1534945 SH       DEFINED                                 1534945

PHARMACEUTICAL PRODUCT DEVELOP COMMON           717124101     6706   199800 SH       SOLE                                     199800

                                                717124101     1342    40000 SH       DEFINED                                   40000

PHELPS DODGE CORP              COMMON           717265102      739    15000 SH       SOLE                                      15000

                                                717265102       10      200 SH       DEFINED                                     200
COLUMN TOTALS                                               502683
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 42
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

PHILIP MORRIS COS INC          COMMON           718154107     8996   255667 SH       SOLE                                     255667

                                                718154107     2391    67940 SH       DEFINED                                   67940

PHILLIPS PETROLEUM CO          COMMON           718507106       84     1776 SH       SOLE                                       1776

                                                718507106      301     6368 SH       DEFINED                                    6368

PIONEER HI BRED INTERNATIONAL  COMMON           723686101      113     3000 SH       SOLE                                       3000

                                                723686101      267     7098 SH       DEFINED                                    7098

PITNEY BOWES INC               COMMON           724479100     9393   147334 SH       SOLE                                     147334

                                                724479100     1923    30170 SH       DEFINED                                   30170

PLAYTEX PRODUCTS INC           COMMON           72813P100    14818   979700 SH       SOLE                                     979700

PLUM CREEK TIMBER CO L P DEPOS COMMON           729237107      388    13600 SH       SOLE                                      13600

                                                729237107       68     2400 SH       DEFINED                                    2400

POHANG IRON & STL LTD SPONSORE COMMON           730450103      531    29700 SH       SOLE                                      29700

POLYVISION CORP                COMMON           731805107       28    10000 SH       SOLE                                      10000

POPE & TALBOT INC              COMMON           732827100      103    16200 SH       SOLE                                      16200

POPE RES DEL LTD PARTNERSHIP D COMMON           732857107     2123    70750 SH       SOLE                                      70750

PORTUGAL TELECOM S A SPONSORED COMMON           737273102      473    10800 SH       SOLE                                      10800

POTOMAC ELEC PWR CO DEB CONV   CONVERTIBLE      737679BL3       35    35000 SH       SOLE                                      35000

PRE PAID LEGAL SERVICES INC    COMMON           740065107     1152    47000 SH       SOLE                                      47000

PREMIER NATL BANCORP INC       COMMON           74053F107      735    49015 SH       SOLE                                      49015

PREMIER PARKS INC NEW          COMMON           740540208     1069    28700 SH       SOLE                                      28700

                                                740540208     3539    95000 SH       DEFINED                                   95000

PRICE T ROWE ASSOCIATES INC    COMMON           741477103     8233   239500 SH       SOLE                                     239500

                                                741477103        7      200 SH       DEFINED                                     200

PRIMUS TELECOMMUNICATIONS GROU COMMON           741929103     8489   838400 SH       SOLE                                     838400

                                                741929103     2025   200000 SH       DEFINED                                  200000

PRISON REALTY CORP $1.9200     COMMON           74264N105      840    48200 SH       SOLE                                      48200
COLUMN TOTALS                                                68123
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 43
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

PROCTER & GAMBLE CO            COMMON           742718109    86787   886149 SH       SOLE                                     886149

                                                742718109   163507  1669504 SH       DEFINED                                 1669504

PROFIT RECOVERY GROUP INTL INC COMMON           743168106    17234   436300 SH       SOLE                                     436300

                                                743168106     3358    85000 SH       DEFINED                                   85000

PROGRESSIVE CORP OHIO          COMMON           743315103      416     2900 SH       SOLE                                       2900

                                                743315103       86      600 SH       DEFINED                                     600

PROLOGIS TR PFD CONV SH BEN IN CONVERTIBLE      743410300      165     6500 SH       SOLE                                       6500

                                                743410300       61     2400 SH       DEFINED                                    2400

PROVIDENT BANKSHARES CORP      COMMON           743859100     2978   113972 SH       SOLE                                     113972

PROVIDENT COS INC              COMMON           743862104     4154   120200 SH       SOLE                                     120200

                                                743862104       86     2500 SH       DEFINED                                    2500

PROVIDIAN FINANCIAL CORP       COMMON           74406A102      447     4066 SH       SOLE                                       4066

                                                74406A102      330     3000 SH       DEFINED                                    3000

PSINET INC                     COMMON           74437C101    30560   718000 SH       SOLE                                     718000

                                                74437C101     4584   107700 SH       DEFINED                                  107700

PUBLIC SERVICE ENTERPRISE GROU COMMON           744573106      364     9541 SH       SOLE                                       9541

                                                744573106      376     9852 SH       DEFINED                                    9852

PUERTO RICAN CEMENT INC        COMMON           745075101      369    11500 SH       SOLE                                      11500

QUAKER OATS CO                 COMMON           747402105      719    11550 SH       SOLE                                      11550

                                                747402105       62     1000 SH       DEFINED                                    1000

QUALCOMM INC                   COMMON           747525103      870     6994 SH       SOLE                                       6994

                                                747525103      970     7800 SH       DEFINED                                    7800

QUANTA SERVICES INC            COMMON           74762E102     3828   150500 SH       SOLE                                     150500

                                                74762E102      204     8000 SH       DEFINED                                    8000

QUEENS COUNTY BANCORP INC      COMMON           748242104      658    24375 SH       SOLE                                      24375

QUEST DIAGNOSTICS INC          COMMON           74834L100      612    27496 SH       SOLE                                      27496

                                                74834L100       97     4350 SH       DEFINED                                    4350
COLUMN TOTALS                                               323882
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 44
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

QUESTAR CORP                   COMMON           748356102      105     6200 SH       SOLE                                       6200

                                                748356102      136     8000 SH       DEFINED                                    8000

QUIKSILVER INC                 COMMON           74838C106      482    11400 SH       SOLE                                      11400

QUINTILES TRANSNATIONAL CORP   COMMON           748767100      608    16100 SH       SOLE                                      16100

QWEST COMMUNICATIONS INTERNATI COMMON           749121109     3783    52467 SH       SOLE                                      52467

                                                749121109      310     4298 SH       DEFINED                                    4298

R & B FALCON CORP              COMMON           74912E101       22     2596 SH       SOLE                                       2596

                                                74912E101      107    12390 SH       DEFINED                                   12390

RCN CORP                       COMMON           749361101     1282    38200 SH       SOLE                                      38200

RLI CORP                       COMMON           749607107      731    25000 SH       SOLE                                      25000

RPM INC OHIO                   COMMON           749685103      169    12700 SH       SOLE                                      12700

RAILWORKS CORP                 COMMON           750789109      215    20000 SH       SOLE                                      20000

RALSTON RALSTON PURINA GROUP   COMMON           751277302     7125   266988 SH       SOLE                                     266988

                                                751277302      265     9936 SH       DEFINED                                    9936

RAYOVAC CORP                   COMMON           755081106     4989   181000 SH       SOLE                                     181000

                                                755081106     3170   115000 SH       DEFINED                                  115000

RAYTHEON CO CL A               COMMON           755111309      639    11065 SH       SOLE                                      11065

                                                755111309      380     6584 SH       DEFINED                                    6584

RAYTHEON CO CL B               COMMON           755111408     1312    22374 SH       SOLE                                      22374

                                                755111408     1017    17352 SH       DEFINED                                   17352

REALNETWORKS INC               COMMON           75605L104     2077    17000 SH       SOLE                                      17000

                                                75605L104     1784    14600 SH       DEFINED                                   14600

RECKSON ASSOCS RLTY CORP $1.35 COMMON           75621K106     1244    60500 SH       SOLE                                      60500

REGIS CORP MINN                COMMON           758932107    19130   718500 SH       SOLE                                     718500

                                                758932107     3634   136500 SH       DEFINED                                  136500

REGIONS FINANCIAL CORP         COMMON           758940100      461    13300 SH       SOLE                                      13300

                                                758940100      409    11800 SH       DEFINED                                   11800
COLUMN TOTALS                                                55585
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 45
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

REHABCARE GROUP INC            COMMON           759148109     1591   105600 SH       SOLE                                     105600

RELIANCE STEEL & ALUMINUM CO   COMMON           759509102      558    19350 SH       SOLE                                      19350

RELIANT ENERGY INC             COMMON           75952J108      184     7066 SH       SOLE                                       7066

                                                75952J108       47     1800 SH       DEFINED                                    1800

RELIASTAR FINANCIAL CORP       COMMON           75952U103      256     6000 SH       SOLE                                       6000

RENT A CTR INC NEW             COMMON           76009N100    11650   405200 SH       SOLE                                     405200

                                                76009N100     2588    90000 SH       DEFINED                                   90000

REPUBLIC NEW YORK CORP         COMMON           760719104     1401    30366 SH       SOLE                                      30366

                                                760719104      166     3592 SH       DEFINED                                    3592

REUTERS GROUP PLC SPONS ADR    COMMON           76132M102     3881    44677 SH       SOLE                                      44677

                                                76132M102     2490    28661 SH       DEFINED                                   28661

REYNOLDS & REYNOLDS CO CL A    COMMON           761695105      434    22825 SH       SOLE                                      22825

                                                761695105      399    20975 SH       DEFINED                                   20975

RIGHT MGMT CONSULTANTS INC     COMMON           766573109      566    35775 SH       SOLE                                      35775

RITCHIE BROS AUCTIONEERS INC   COMMON           767744105      253     7500 SH       SOLE                                       7500

RITE AID CORP                  COMMON           767754104      363    14500 SH       SOLE                                      14500

                                                767754104      313    12500 SH       DEFINED                                   12500

RIVIANA FOODS INC DEL          COMMON           769536103      248    10600 SH       SOLE                                      10600

                                                769536103      150     6400 SH       DEFINED                                    6400

ROBERT HALF INTERNATIONAL INC  COMMON           770323103     8539   260236 SH       SOLE                                     260236

                                                770323103      210     6389 SH       DEFINED                                    6389

ROCKWELL INTERNATIONAL CORP NE COMMON           773903109       25      600 SH       SOLE                                        600

                                                773903109     2207    52000 SH       DEFINED                                   52000

ROHM & HAAS CO                 COMMON           775371107      837    24924 SH       SOLE                                      24924

                                                775371107      889    26478 SH       DEFINED                                   26478

ROMAC INTERNATIONAL INC        COMMON           775835101      893   105100 SH       SOLE                                     105100
COLUMN TOTALS                                                41132
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 46
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

ROSLYN BANCORP INC             COMMON           778162107     4679   277275 SH       SOLE                                     277275

                                                778162107     1688   100000 SH       DEFINED                                  100000

ROUSE CO PFD CONV SER B $3     CONVERTIBLE      779273309      713    19150 SH       SOLE                                      19150

                                                779273309       26      700 SH       DEFINED                                     700

ROYAL DUTCH PETROLEUM CO NY RE COMMON           780257804    61111  1175203 SH       SOLE                                    1175203

                                                780257804    16467   316668 SH       DEFINED                                  316668

RYANAIR HLDGS PLC SPONSORED AD COMMON           783513104      228     5600 SH       SOLE                                       5600

RYDER SYSTEMS INC              COMMON           783549108      293    10600 SH       SOLE                                      10600

                                                783549108     1677    60700 SH       DEFINED                                   60700

SBC COMMUNICATIONS INC         COMMON           78387G103    23463   497234 SH       SOLE                                     497234

                                                78387G103   129738  2749404 SH       DEFINED                                 2749404

SCP POOL CORP                  COMMON           784028102     2415   172500 SH       SOLE                                     172500

SK TELECOM LTD SPONSORED ADR   COMMON           78440P108      224    18393 SH       SOLE                                      18393

SL GREEN RLTY CORP $1.4000     COMMON           78440X101      442    23500 SH       SOLE                                      23500

SLM HOLDING CORP               COMMON           78442A109     1162    27825 SH       SOLE                                      27825

                                                78442A109      183     4375 SH       DEFINED                                    4375

SABRE GROUP HOLDINGS INC CL A  COMMON           785905100      449     9900 SH       SOLE                                       9900

SAFECO CORP                    COMMON           786429100      259     6400 SH       SOLE                                       6400

                                                786429100       81     2000 SH       DEFINED                                    2000

SAFEWAY INC NEW                COMMON           786514208      513    10000 SH       SOLE                                      10000

                                                786514208      108     2100 SH       DEFINED                                    2100

SAGA PETROLEUM ASA ADR         COMMON           786609206      100    10000 SH       DEFINED                                   10000

ST PAUL COS INC                COMMON           792860108      186     6000 SH       SOLE                                       6000

                                                792860108      453    14596 SH       DEFINED                                   14596

SAKS INC                       COMMON           79377W108      338    13000 SH       SOLE                                      13000

SALISBURY BANCORP INC          COMMON           795226109       42     2010 SH       SOLE                                       2010

                                                795226109      374    18000 SH       DEFINED                                   18000
COLUMN TOTALS                                               247410
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 47
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

SANDISK CORP                   COMMON           80004C101     2226    84000 SH       SOLE                                      84000

SANTA CRUZ OPERATION INC       COMMON           801833104      761   140000 SH       SOLE                                     140000

SAP AG (AKTIENGESELLSCHAFT) SP COMMON           803054204      521    19800 SH       SOLE                                      19800

                                                803054204       58     2200 SH       DEFINED                                    2200

SAPIENT CORP                   COMMON           803062108     1806    25300 SH       SOLE                                      25300

                                                803062108      143     2000 SH       DEFINED                                    2000

SARA LEE CORP                  COMMON           803111103     4388   177276 SH       SOLE                                     177276

                                                803111103     3225   130292 SH       DEFINED                                  130292

SCANA CORP                     COMMON           805898103      311    14342 SH       SOLE                                      14342

                                                805898103      165     7600 SH       DEFINED                                    7600

SCANDINAVIAN BROADCASTING CNV  CONVERTIBLE      805906AA2      206   185000 SH       SOLE                                     185000

                                                805906AA2       39    35000 SH       DEFINED                                   35000

SCHERING PLOUGH CORP           COMMON           806605101    10248   185489 SH       SOLE                                     185489

                                                806605101     6307   114160 SH       DEFINED                                  114160

SCHLUMBERGER LTD               COMMON           806857108    59485   988322 SH       SOLE                                     988322

                                                806857108   119010  1977322 SH       DEFINED                                 1977322

SCHNITZER STEEL INDUSTRIES INC COMMON           806882106      993    83600 SH       SOLE                                      83600

                                                806882106      748    63000 SH       DEFINED                                   63000

SCHOLASTIC CORP                COMMON           807066105     3211    65700 SH       SOLE                                      65700

                                                807066105       73     1500 SH       DEFINED                                    1500

SCHOOL SPECIALTY INC           COMMON           807863105     7469   381800 SH       SOLE                                     381800

                                                807863105     1956   100000 SH       DEFINED                                  100000

SCHWAB CHARLES CORP NEW        COMMON           808513105     8978    93400 SH       SOLE                                      93400

                                                808513105      336     3500 SH       DEFINED                                    3500

SCOTTS CO CL A                 COMMON           810186106     3833   102550 SH       SOLE                                     102550

SEAGRAM CO LTD                 COMMON           811850106      159     3182 SH       SOLE                                       3182

                                                811850106      130     2600 SH       DEFINED                                    2600
COLUMN TOTALS                                               236785
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 48
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

SEALED AIR CORP NEW PFD CONV S CONVERTIBLE      81211K209       85     1717 SH       SOLE                                       1717

                                                81211K209      116     2349 SH       DEFINED                                    2349

SEARS ROEBUCK & CO             COMMON           812387108     1847    40885 SH       SOLE                                      40885

                                                812387108     2798    61920 SH       DEFINED                                   61920

SELECT APPOINTMENTS HLDGS PLC  COMMON           81617E203     7665   287225 SH       SOLE                                     287225

SEPRACOR INC                   COMMON           817315104    13779   122750 SH       SOLE                                     122750

                                                817315104       22      200 SH       DEFINED                                     200

SEQUENT COMPUTER SYSTEMS INC   COMMON           817338106      255    28100 SH       SOLE                                      28100

                                                817338106      101    11100 SH       DEFINED                                   11100

SERVICE CORP INTERNATIONAL     COMMON           817565104      628    44100 SH       SOLE                                      44100

                                                817565104      140     9850 SH       DEFINED                                    9850

SHELL TRANS & TRADING CO NEW Y COMMON           822703609     1560    38400 SH       SOLE                                      38400

                                                822703609      317     7800 SH       DEFINED                                    7800

SHIRE PHARMACEUTICALS GROUP PL COMMON           82481R106      798    35000 SH       SOLE                                      35000

SIGMA ALDRICH CORP             COMMON           826552101     2027    69315 SH       SOLE                                      69315

                                                826552101     1281    43800 SH       DEFINED                                   43800

SILICON GRAPHICS INC SR NTS CO CONVERTIBLE      827056AC6     3577  3985000 SH       SOLE                                    3985000

SIMON PPTY GROUP INC NEW $2.02 COMMON           828806109     2439    88897 SH       SOLE                                      88897

                                                828806109       25      900 SH       DEFINED                                     900

SINCLAIR BROADCAST GR PFD CONV CONVERTIBLE      829226505      922    22600 SH       SOLE                                      22600

                                                829226505      110     2700 SH       DEFINED                                    2700

SIZELER PPTY INVS INC SUB DEB  CONVERTIBLE      830137AA3      695   745000 SH       SOLE                                     745000

SMITH INTERNATIONAL INC        COMMON           832110100    10778   269450 SH       SOLE                                     269450

SMITHKLINE BEECHAM PLC SPONSOR COMMON           832378301    23894   334184 SH       SOLE                                     334184

                                                832378301     2488    34800 SH       DEFINED                                   34800

SNYDER COMMUNICATIONS INC      COMMON           832914105      262     9405 SH       DEFINED                                    9405
COLUMN TOTALS                                                78611
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 49
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

SOLA INTERNATIONAL INC         COMMON           834092108     2720   225515 SH       SOLE                                     225515

                                                834092108      286    23685 SH       DEFINED                                   23685

SOLECTRON CORP                 COMMON           834182107    23069   475029 SH       SOLE                                     475029

                                                834182107      665    13700 SH       DEFINED                                   13700

SOLUTIA INC                    COMMON           834376105      314    18088 SH       SOLE                                      18088

                                                834376105      277    15919 SH       DEFINED                                   15919

SONAT INC                      COMMON           835415100       16      533 SH       SOLE                                        533

                                                835415100      930    31000 SH       DEFINED                                   31000

SONY CORP AMER SH NEW ADR      COMMON           835699307     4357    47720 SH       SOLE                                      47720

                                                835699307     1699    18604 SH       DEFINED                                   18604

SOUTHERN CO                    COMMON           842587107       74     3168 SH       SOLE                                       3168

                                                842587107      196     8400 SH       DEFINED                                    8400

SOUTHWEST AIRLINES CO          COMMON           844741108     8641   285652 SH       SOLE                                     285652

                                                844741108      987    32625 SH       DEFINED                                   32625

SOUTHWEST BANCORPORATION TEX I COMMON           84476R109     1257   102100 SH       SOLE                                     102100

SOVEREIGN BANCORP INC          COMMON           845905108       44     3592 SH       SOLE                                       3592

                                                845905108      468    38226 SH       DEFINED                                   38226

SPIEKER PROPERTIES INC $2.2800 COMMON           848497103      758    21500 SH       SOLE                                      21500

                                                848497103       14      400 SH       DEFINED                                     400

SPIROS DEV CORP II INC/DURA PH COMMON           848935201      191    22500 SH       SOLE                                      22500

SPRINT CORP                    COMMON           852061100     5458    55621 SH       SOLE                                      55621

                                                852061100     1569    15985 SH       DEFINED                                   15985

SPRINT CORP DECS X SO NEW ENG  CONVERTIBLE      852061407      584     8000 SH       SOLE                                       8000

SPRINT CORP PCS COM SER 1      COMMON           852061506     2010    45360 SH       SOLE                                      45360

                                                852061506      330     7441 SH       DEFINED                                    7441

STAPLES INC                    COMMON           855030102    95704  2911160 SH       SOLE                                    2911160

                                                855030102     5030   153000 SH       DEFINED                                  153000
COLUMN TOTALS                                               157647
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 50
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

STATE AUTO FINANCIAL CORP      COMMON           855707105      136    12600 SH       SOLE                                      12600

STARWOOD HTL & RES WW PAIRED C COMMON           85590A203      992    34716 SH       SOLE                                      34716

STATE STREET CORP              COMMON           857477103    22245   270460 SH       SOLE                                     270460

                                                857477103   140183  1704350 SH       DEFINED                                 1704350

STERLING BANCSHARES INC        COMMON           858907108     3939   379625 SH       SOLE                                     379625

                                                858907108     2075   200000 SH       DEFINED                                  200000

STERIS CORP                    COMMON           859152100    15395   578200 SH       SOLE                                     578200

STERLING COMMERCE INC          COMMON           859205106      188     6100 SH       SOLE                                       6100

                                                859205106       37     1200 SH       DEFINED                                    1200

STET HELLAS TELECOMM SA ADR    COMMON           859823106     3764   127050 SH       SOLE                                     127050

STMICROELECTRONICS NV NY REGIS COMMON           861012102      630     6485 SH       SOLE                                       6485

                                                861012102      229     2355 SH       DEFINED                                    2355

STRYKER CORP                   COMMON           863667101     6192   122759 SH       SOLE                                     122759

                                                863667101     1997    39600 SH       DEFINED                                   39600

STURM RUGER & CO INC           COMMON           864159108      110    11000 SH       SOLE                                      11000

                                                864159108       64     6400 SH       DEFINED                                    6400

SUIZA FOODS CORP               COMMON           865077101      202     6000 SH       SOLE                                       6000

SUMMIT BANCORP                 COMMON           866005101      991    25413 SH       SOLE                                      25413

                                                866005101      275     7050 SH       DEFINED                                    7050

SUN MICROSYSTEMS INC           COMMON           866810104     4688    37483 SH       SOLE                                      37483

                                                866810104    44997   359800 SH       DEFINED                                  359800

SUNGARD DATA SYSTEMS INC       COMMON           867363103     8814   220340 SH       SOLE                                     220340

                                                867363103       80     2000 SH       DEFINED                                    2000

SUNOCO INC                     COMMON           86764P109      173     4807 SH       SOLE                                       4807

                                                86764P109       72     2009 SH       DEFINED                                    2009

SUNRISE ASSISTED LIVING INC    COMMON           86768K106     4123    90500 SH       SOLE                                      90500

                                                86768K106     1686    37000 SH       DEFINED                                   37000
COLUMN TOTALS                                               264276
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 51
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

SUNTRUST BANKS INC             COMMON           867914103     4834    77651 SH       SOLE                                      77651

                                                867914103      579     9304 SH       DEFINED                                    9304

SWISSCOM AG SPONSORED ADR      COMMON           871013108       53     1350 SH       SOLE                                       1350

                                                871013108      195     5000 SH       DEFINED                                    5000

SYSCO CORP                     COMMON           871829107     5736   218000 SH       SOLE                                     218000

                                                871829107    94602  3595326 SH       DEFINED                                 3595326

SYSCOMM INTL CORP              COMMON           871942108       22    11000 SH       SOLE                                      11000

TCA CABLE TV INC               COMMON           872241104     4289    98600 SH       SOLE                                      98600

TCF FINANCIAL CORP             COMMON           872275102     3427   131500 SH       SOLE                                     131500

TDK CORP ADR                   COMMON           872351408      832    10300 SH       SOLE                                      10300

TECO ENERGY INC                COMMON           872375100      707    35591 SH       SOLE                                      35591

                                                872375100      248    12500 SH       DEFINED                                   12500

TEPPCO PARTNERS L P UNIT LTD P COMMON           872384102      203     8023 SH       SOLE                                       8023

TRW INC                        COMMON           872649108     7397   162575 SH       SOLE                                     162575

                                                872649108     3405    74829 SH       DEFINED                                   74829

TSI INTERNATIONAL SOFTWARE LTD COMMON           872879101    24792   507900 SH       SOLE                                     507900

TAIWAN SEMICONDUCTOR MFG CO SP COMMON           874039100     4738   200560 SH       SOLE                                     200560

                                                874039100       47     2000 SH       DEFINED                                    2000

TECHNE CORP                    COMMON           878377100      372    12900 SH       SOLE                                      12900

TEKELEC                        COMMON           879101103     5687   777800 SH       SOLE                                     777800

                                                879101103     1462   200000 SH       DEFINED                                  200000

TELE DANMARK A/S SPONS ADR REP COMMON           879242105      206     4200 SH       SOLE                                       4200

TELECOM ITALIA SPA SPONS ADR   COMMON           87927W106     9806    93950 SH       SOLE                                      93950

                                                87927W106      177     1700 SH       DEFINED                                    1700

TELEFONICA S A SPONSORED ADR   COMMON           879382208      554     4335 SH       SOLE                                       4335

                                                879382208      130     1020 SH       DEFINED                                    1020
COLUMN TOTALS                                               174501
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 52
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

TELEPHONE & DATA SYS INC       COMMON           879433100     1325    23500 SH       SOLE                                      23500

TELLABS INC                    COMMON           879664100     8231    84200 SH       SOLE                                      84200

                                                879664100      166     1700 SH       DEFINED                                    1700

TEMPLE INLAND INC              COMMON           879868107      376     5995 SH       SOLE                                       5995

                                                879868107      204     3250 SH       DEFINED                                    3250

TELETECH HOLDINGS INC          COMMON           879939106       72    11000 SH       SOLE                                      11000

TENNECO INC NEW                COMMON           88037E101       63     2251 SH       SOLE                                       2251

                                                88037E101      197     7059 SH       DEFINED                                    7059

TETRA TECH INC NEW             COMMON           88162G103    10880   516571 SH       SOLE                                     516571

TEXACO INC                     COMMON           881694103     4637    81714 SH       SOLE                                      81714

                                                881694103     2441    43017 SH       DEFINED                                   43017

TEXAS INSTRUMENTS INC          COMMON           882508104    13367   134678 SH       SOLE                                     134678

                                                882508104     5313    53532 SH       DEFINED                                   53532

TEXAS REGIONAL BANCSHARES INC  COMMON           882673106     1022    37850 SH       SOLE                                      37850

TEXAS UTILITIES CO (HLDG CO)   COMMON           882848104     7559   179988 SH       SOLE                                     179988

                                                882848104     4919   117130 SH       DEFINED                                  117130

TEXTRON INC                    COMMON           883203101       46      600 SH       SOLE                                        600

                                                883203101      340     4388 SH       DEFINED                                    4388

3COM CORP                      COMMON           885535104      349    14984 SH       SOLE                                      14984

                                                885535104       23     1000 SH       DEFINED                                    1000

TIFFANY & CO NEW               COMMON           886547108    18433   246600 SH       SOLE                                     246600

                                                886547108      202     2700 SH       DEFINED                                    2700

TIME WARNER INC                COMMON           887315109     9229   130328 SH       SOLE                                     130328

                                                887315109     1512    21350 SH       DEFINED                                   21350

TIMES MIRROR CO NEW CL A       COMMON           887364107      255     4710 SH       SOLE                                       4710

                                                887364107      195     3600 SH       DEFINED                                    3600
COLUMN TOTALS                                                91357
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 53
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

TIMKEN CO                      COMMON           887389104       65     4000 SH       SOLE                                       4000

                                                887389104      130     8000 SH       DEFINED                                    8000

TITAN INTERNATIONAL INC ILL    COMMON           88830M102       77    10000 SH       SOLE                                      10000

TOOTSIE ROLL INDUSTRIES INC    COMMON           890516107    21176   460358 SH       SOLE                                     460358

                                                890516107     1380    30000 SH       DEFINED                                   30000

TORCHMARK CORP                 COMMON           891027104      391    12360 SH       SOLE                                      12360

TOSCO CORP NEW                 COMMON           891490302      928    37417 SH       SOLE                                      37417

                                                891490302       48     1920 SH       DEFINED                                    1920

TOTAL S A SPONSORED ADR        COMMON           89151E109     7237   118635 SH       SOLE                                     118635

                                                89151E109      769    12600 SH       DEFINED                                   12600

TOYS R US INC                  COMMON           892335100      126     6721 SH       SOLE                                       6721

                                                892335100      255    13562 SH       DEFINED                                   13562

TRANSACTION SYS ARCHITECTS INC COMMON           893416107    17572   488100 SH       SOLE                                     488100

                                                893416107     1044    29000 SH       DEFINED                                   29000

TRANSAMERICA CORP              COMMON           893485102      343     4830 SH       SOLE                                       4830

                                                893485102      245     3454 SH       DEFINED                                    3454

TRANSATLANTIC HOLDINGS INC     COMMON           893521104     8268   110237 SH       SOLE                                     110237

                                                893521104     1007    13425 SH       DEFINED                                   13425

TRANSGENE S A SPONSORED ADR    COMMON           89365U105      404    33000 SH       SOLE                                      33000

                                                89365U105      149    12200 SH       DEFINED                                   12200

TRANSOCEAN OFFSHORE INC        COMMON           893817106    15716   545450 SH       SOLE                                     545450

                                                893817106      328    11400 SH       DEFINED                                   11400

TRANSMONTAIGNE INC             COMMON           893934109     5027   414600 SH       SOLE                                     414600

                                                893934109     2425   200000 SH       DEFINED                                  200000

TRAVELERS PPTY CAS CORP CL A   COMMON           893939108      161     4500 SH       SOLE                                       4500

                                                893939108      161     4500 SH       DEFINED                                    4500
COLUMN TOTALS                                                85432
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 54
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

TRICON GLOBAL RESTAURANTS INC  COMMON           895953107      729    10376 SH       SOLE                                      10376

                                                895953107      604     8599 SH       DEFINED                                    8599

TRIBUNE CO NEW                 COMMON           896047107     5245    80150 SH       SOLE                                      80150

                                                896047107    78348  1197300 SH       DEFINED                                 1197300

TRINET CORPORATE RLTY TR INC $ COMMON           896287109      571    22500 SH       SOLE                                      22500

TRISTAR AEROSPACE CO           COMMON           89674L101     1480   162200 SH       SOLE                                     162200

TRIZEC HAHN CORP SUB VTG       COMMON           896938107      184    10000 SH       SOLE                                      10000

                                                896938107       60     3250 SH       DEFINED                                    3250

TRUSTCO BANK CORP NEW YORK     COMMON           898349105      826    33054 SH       SOLE                                      33054

                                                898349105       60     2408 SH       DEFINED                                    2408

TYCO INTERNATIONAL LTD NEW     COMMON           902124106    73255  1020972 SH       SOLE                                    1020972

                                                902124106      932    12990 SH       DEFINED                                   12990

UAL CORP NEW                   COMMON           902549500      693     8900 SH       SOLE                                       8900

USX-MARATHON GROUP             COMMON           902905827      840    30555 SH       SOLE                                      30555

                                                902905827      138     5000 SH       DEFINED                                    5000

US BANCORP DEL                 COMMON           902973106     2472    72572 SH       SOLE                                      72572

                                                902973106     2383    69951 SH       DEFINED                                   69951

UNUM CORP                      COMMON           903192102      274     5770 SH       SOLE                                       5770

ULTRAMAR DIAMOND SHAMROCK CORP COMMON           904000106      223    10291 SH       SOLE                                      10291

                                                904000106      176     8147 SH       DEFINED                                    8147

UMPQUA HLDGS CORP              COMMON           904214103      888   100000 SH       DEFINED                                  100000

UNILEVER LTD ADR 1 AMERN SH RE COMMON           904767605      944    25500 SH       SOLE                                      25500

UNILEVER NV NEW YORK REG SH    COMMON           904784501     1063    16000 SH       SOLE                                      16000

UNION CAMP CORP                COMMON           905530101     2105    31357 SH       SOLE                                      31357

                                                905530101     1402    20887 SH       DEFINED                                   20887

UNION CARBIDE CORP             COMMON           905581104      393     8699 SH       SOLE                                       8699

                                                905581104       18      393 SH       DEFINED                                     393
COLUMN TOTALS                                               176305
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 55
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

UNION PACIFIC CORP             COMMON           907818108     8155   152611 SH       SOLE                                     152611

                                                907818108     5137    96128 SH       DEFINED                                   96128

UNION PACIFIC RESOURCES GROUP  COMMON           907834105      214    18057 SH       SOLE                                      18057

                                                907834105      266    22428 SH       DEFINED                                   22428

UNIPHASE CORP                  COMMON           909149106    29898   259700 SH       SOLE                                     259700

                                                909149106     4340    37700 SH       DEFINED                                   37700

UNISYS CORP PFD SER A CONV     CONVERTIBLE      909214207      259     4984 SH       DEFINED                                    4984

UNITED ASSET MANAGEMENT CORP   COMMON           909420101      566    25000 SH       SOLE                                      25000

UNITED HEALTHCARE CORP         COMMON           910581107     1176    22350 SH       SOLE                                      22350

                                                910581107      211     4000 SH       DEFINED                                    4000

UNITED MOBILE HOMES INC $0.750 COMMON           911024107      307    33400 SH       SOLE                                      33400

UNITED NAT FOODS INC           COMMON           911163103     1335    57100 SH       SOLE                                      57100

UNITED STATES FILTER CORP NEW  COMMON           911843209      221     7215 SH       SOLE                                       7215

U S OFFICE PRODS CO SUB NT CON CONVERTIBLE      912325AD9       86   100000 SH       SOLE                                     100000

U S WEST INC NEW               COMMON           91273H101     3296    59852 SH       SOLE                                      59852

                                                91273H101     1713    31104 SH       DEFINED                                   31104

U S TRUST CORP NEW             COMMON           91288L105      349     4700 SH       SOLE                                       4700

                                                91288L105      434     5850 SH       DEFINED                                    5850

UNITED TECHNOLOGIES CORP       COMMON           913017109     9739    71909 SH       SOLE                                      71909

                                                913017109     3732    27553 SH       DEFINED                                   27553

UNITED WATER RESOURCES INC     COMMON           913190104      224    10806 SH       DEFINED                                   10806

UNITRIN INC                    COMMON           913275103      376    12030 SH       SOLE                                      12030

                                                913275103      901    28820 SH       DEFINED                                   28820

UNIVERSAL FOREST PRODUCTS INC  COMMON           913543104     3465   169000 SH       SOLE                                     169000

                                                913543104     2050   100000 SH       DEFINED                                  100000

UNOCAL CORP                    COMMON           915289102      549    14896 SH       SOLE                                      14896

                                                915289102      488    13228 SH       DEFINED                                   13228
COLUMN TOTALS                                                79484
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 56
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

VRB BANCORP                    COMMON           918281106     1141   156000 SH       DEFINED                                  156000

VALASSIS COMMUNICATIONS INC    COMMON           918866104      300     5800 SH       SOLE                                       5800

VALUEVISION INTL INC CL A      COMMON           92047K107     2659   216000 SH       SOLE                                     216000

VERIO INC                      COMMON           923433106     9054   196300 SH       SOLE                                     196300

                                                923433106     1245    27000 SH       DEFINED                                   27000

VERITAS SOFTWARE CORP          COMMON           923436109    24968   309200 SH       SOLE                                     309200

                                                923436109     4942    61200 SH       DEFINED                                   61200

VERSIGN INC                    COMMON           92343E102    19666   127700 SH       SOLE                                     127700

VLASIC FOODS INTERNATIONAL INC COMMON           928559103      570    44061 SH       SOLE                                      44061

                                                928559103       10      800 SH       DEFINED                                     800

VODAFONE GROUP PLC SPONSORED A COMMON           92857T107    18888   100603 SH       SOLE                                     100603

                                                92857T107     2031    10820 SH       DEFINED                                   10820

VORNADO RLTY TR $1.7600        COMMON           929042109     1366    39600 SH       SOLE                                      39600

VORNADO RLTY TR CONV PFD SER A CONVERTIBLE      929042208      598    12200 SH       SOLE                                      12200

                                                929042208       25      500 SH       DEFINED                                     500

WACHOVIA CORP NEW              COMMON           929771103     9644   118785 SH       SOLE                                     118785

                                                929771103    65895   811641 SH       DEFINED                                  811641

WACKENHUT CORRECTIONS CORP     COMMON           929798106     3718   192500 SH       SOLE                                     192500

                                                929798106      912    47200 SH       DEFINED                                   47200

WAL MART STORES INC            COMMON           931142103    44682   484689 SH       SOLE                                     484689

                                                931142103   182958  1984634 SH       DEFINED                                 1984634

WALGREEN CO                    COMMON           931422109    19016   673139 SH       SOLE                                     673139

                                                931422109   206790  7320000 SH       DEFINED                                 7320000

WALLACE COMPUTER SERVICES INC  COMMON           932270101     4947   249684 SH       SOLE                                     249684

WARNER LAMBERT CO              COMMON           934488107    39992   603649 SH       SOLE                                     603649

                                                934488107    77209  1165422 SH       DEFINED                                 1165422
COLUMN TOTALS                                               743227
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 57
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

WASHINGTON MUTUAL INC          COMMON           939322103    33607   822192 SH       SOLE                                     822192

                                                939322103     4231   103503 SH       DEFINED                                  103503

WASHINGTON POST CO CL B        COMMON           939640108     1125     2157 SH       SOLE                                       2157

                                                939640108      663     1272 SH       DEFINED                                    1272

WASTE MANAGEMENT INC DEL       COMMON           94106L109     1284    28924 SH       SOLE                                      28924

                                                94106L109      623    14030 SH       DEFINED                                   14030

WASTE MGMT INC DEL SUB NT CONV CONVERTIBLE      94106LAA7      271   235000 SH       SOLE                                     235000

WELLS FARGO & CO NEW           COMMON           949746101    21776   621062 SH       SOLE                                     621062

                                                949746101     6715   191502 SH       DEFINED                                  191502

WESTAMERICA BANCORPORATION     COMMON           957090103     5661   179000 SH       SOLE                                     179000

WESTERN INVT REAL ESTATE TR SH COMMON           958468100     2252   217058 SH       SOLE                                     217058

WESTERN WIRELESS CORP CL A     COMMON           95988E204      567    15648 SH       SOLE                                      15648

WESTFIELD AMER INC $1.4200     COMMON           959910100      349    20000 SH       SOLE                                      20000

WEYERHAEUSER CO                COMMON           962166104      606    10911 SH       SOLE                                      10911

                                                962166104      391     7050 SH       DEFINED                                    7050

WHITMAN CORP                   COMMON           96647K102      205    11900 SH       SOLE                                      11900

                                                96647K102       56     3240 SH       DEFINED                                    3240

WILEY JOHN & SONS INC CL A     COMMON           968223206    11193   266500 SH       SOLE                                     266500

WILLIAMS COS INC               COMMON           969457100     1328    33631 SH       SOLE                                      33631

                                                969457100     2231    56490 SH       DEFINED                                   56490

WILMINGTON TRUST CORP          COMMON           971807102      772    13507 SH       SOLE                                      13507

WINSTON HOTELS INC $1.0800     COMMON           97563A102      774    95200 SH       SOLE                                      95200

WINTRUST FINL CORP             COMMON           97650W108      525    30000 SH       SOLE                                      30000

WISCONSIN ENERGY CORP          COMMON           976657106      259     9943 SH       SOLE                                       9943

                                                976657106      328    12600 SH       DEFINED                                   12600

XEROX CORP                     COMMON           984121103    34581   663422 SH       SOLE                                     663422

                                                984121103     6021   115520 SH       DEFINED                                  115520
COLUMN TOTALS                                               138393
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 58
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

XOMED SURGICAL PRODS INC       COMMON           98412V107     2488    63400 SH       SOLE                                      63400

YAHOO INC                      COMMON           984332106     2214    13150 SH       SOLE                                      13150

                                                984332106      283     1680 SH       DEFINED                                    1680

ZONAGEN INC                    COMMON           98975L108     2903   135000 SH       SOLE                                     135000

                                                98975L108     1505    70000 SH       DEFINED                                   70000

LERNOUT & HAUSPIE SPEECH PRODU COMMON           B5628B104      651    21700 SH       SOLE                                      21700

                                                B5628B104       48     1600 SH       DEFINED                                    1600

DAIMLER CHRYSLER AG            COMMON           D1668R123     1826    21280 SH       SOLE                                      21280

                                                D1668R123    71758   836214 SH       DEFINED                                  836214

GLOBALSTAR TELECOMMUNICATIONS  COMMON           G3930H104      305    22016 SH       SOLE                                      22016

HELEN OF TROY LTD              COMMON           G4388N106     1572   121500 SH       SOLE                                     121500

KNIGHTSBRIDGE TANKERS LTD      COMMON           G5299G106     2879   166900 SH       SOLE                                     166900

                                                G5299G106     1318    76400 SH       DEFINED                                   76400

LORAL SPACE & COMMUNICATIONS   COMMON           G56462107      910    63000 SH       SOLE                                      63000

                                                G56462107       92     6400 SH       DEFINED                                    6400

RSL COMMUNICATIONS LTD CL A    COMMON           G7702U102    14134   393300 SH       SOLE                                     393300

                                                G7702U102     2875    80000 SH       DEFINED                                   80000

XL CAPITAL LTD CL A            COMMON           G98255105     4876    80268 SH       SOLE                                      80268

                                                G98255105      623    10250 SH       DEFINED                                   10250

ASM LITHOGRAPHY HOLDING NV NLG COMMON           N07059111       72     1600 SH       SOLE                                       1600

                                                N07059111      611    13580 SH       DEFINED                                   13580

BAAN CO N V (USD)              COMMON           N08044104       48     5600 SH       SOLE                                       5600

                                                N08044104      113    13200 SH       DEFINED                                   13200

CORE LABORATORIES N V          COMMON           N22717107      864    49000 SH       SOLE                                      49000

PANAMERICAN BEVERAGES INC      COMMON           P74823108       93     5300 SH       SOLE                                       5300

                                                P74823108      490    27891 SH       DEFINED                                   27891
COLUMN TOTALS                                               115551
<PAGE>
<PAGE>
RUN 04/29/1999                                     FIDUCIARY TRUST INTERNATIONAL                                             PAGE 59
 AT  4:13 PM                                         FORM 13F INFORMATION TABLE                                     AS OF 03/31/1999
                                                         VALUE     SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- -----------------------------  ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------

STEINER LEISURE LTD            COMMON           P8744Y102     3334   108425 SH       SOLE                                     108425

ROYAL CARIBBEAN CRUISES LTD    COMMON           V7780T103    57802  1482110 SH       SOLE                                    1482110

                                                V7780T103     1129    28950 SH       DEFINED                                   28950

ROYAL CARIBBEAN CRUISES LTD CV CONVERTIBLE      V7780T111     1738    14200 SH       SOLE                                      14200

                                                V7780T111      306     2500 SH       DEFINED                                    2500

TEEKAY SHIPPING CORP           COMMON           V89564104      132     8000 SH       SOLE                                       8000

                                                V89564104      149     9000 SH       DEFINED                                    9000
COLUMN TOTALS                                                64590
AGGREGATE TOTAL                                           17771201
</TABLE>
<PAGE>



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