THORSON BROWN & PLUNKETT INC
13F-HR, 1999-05-19
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FORM 13F SUMMARY PAGE
                                                                               
         
                                                                               
         
                                       REPORT SUMMARY:                         
               
           
NUMBER OF OTHER INCLUDED MANAGERS:          0                                  
                   

FORM 13F INFORMATION TABLE ENTRY TOTAL:                         145            
                   
                  
FORM 13F INFORMATION TABLE VALUE TOTAL:  $347,667     
( x$1000 )                                                                     
               
                                     
LIST OF OTHER INCLUDED MANAGERS:                                               
              
                   NO:          13F FILE NO.        NAME                       
         























       


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION                    
WASHINGTON, DC  20549                                 
                                                                     FORM 13F  
         
                                                                               
         
FORM 13F COVER PAGE                                             
                                                                               
                                     
REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: MARCH 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:            THORSON, BROWN & PLUNKETT,INC.                                
                   
ADDRESS:         145 MASON STREET
                        GREENWICH, CT  06830                                   
           
                 
13F FILE NUMBER    : 28-952                                                    
                                  
TAX ID : 06-0909193                                                            
                   
                                          
THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT AND THE
PERSON BY WHOM IT IS SIGNED HEREBY REPRESENT THAT THE PERSON                   
         
SIGNING THE REPORT IS AUTHORIZED TO SUBMIT IT, THAT ALL INFORMATION            
  
CONTAINED HEREIN 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 THE REPORTING MANAGER:                 
                        
       
NAME:              JOHN H. PLUNKETT                                            
                            
TITLE:             VICE CHAIRMAN                                               
                           
PHONE:             203-863-5900                                                
                              
SIGNATURE, PLACE, AND DATE OF SIGNING:                                         
                   
                          
JOHN H. PLUNKETT     GREENWICH, CT     MAY 10, 1999                            
                        
                
REPORT TYPE     ( CHECK ONLY ONE )                                             
                   
[X]                          13F HOLDINGS REPORT                              
[ ]                          13F NOTICE                                        
       
                        
[ ]                          13F COMBINATION REPORT                            
           
              
LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:                             
                   
                                                                               
         
                                                                               
                                            
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT           
OF 1934.










FORM 13F























ITEM 1
ITEM 2
ITEM 3
ITEM 4
ITEM 5
ITEM 6


ITEM 7
ITEM 8


Name of Issuer
Title of 
CUSIP
Fair Mkt 
Shares of 
Investment Discretion


Mgrs
Voting Authority ( Shares )



Class
Number
Value 
Principal
Amt
a)Sole
b)Shared 
c)Shared 

a)Sole
b)Shared
c)None



( x $1000 )



Other




MALAN REALTY
Conv  Bonds
561063AA6
1,175
1,250,000.00
1050000
200000


1250000


PARKER DRILLING
Conv  Bonds
701081AD3
239
400,000.00
250000
150000


400000


ABBOTT LABS
Common 
2824100
1,245
26,600.00
26600



26600


AMER HOME PROD
Common 
26609107
4,524
69,328.00
69328



68528

800
APPLD MATERIAL
Common 
38222105
2,042
33,100.00
33100



33100


ANADARKO PETRO
Common 
32511107
5,131
135,922.00
123922
12000


132922
3000

ATMOS ENERGY CP
Common 
49560105
628
26,100.00
11100
15000


26100


ARTESYN TECHNOL
Common 
43127109
3,338
269,700.00
249700
20000


269700


AUTOMATIC DATA
Common 
53015103
2,314
55,938.00
55938



55938


AVIS RENT A CAR
Common 
53790101
872
31,500.00
13500
18000


31500


ALZA CORP
Common 
22615108
1,304
34,100.00
34100



33100

1000
AUTOZONE INC
Common 
53332102
1,333
43,900.00
43900



42900

1000
BANKAMERICA COR
Common 
06605F102
8,666
122,701.00
112701
10000


121701

1000
BAXTER INTL
Common 
71813109
1,478
22,392.00
22392



22392


BAKER HUGHES IN
Common 
57224107
559
23,000.00
14000
9000


23000


BK OF NEW YORK
Common 
64057102
467
13,000.00
13000



13000


BELLSOUTH CORP
Common 
79860102
517
12,916.00
12916



12916


BRSTL-MYR-SQUIB
Common 
110122108
18,791
293,032.00
293032



293032


ANHEUSER-BUSCH
Common  
35229103
776
10,200.00
10200



9000

1200
CENDANT CORP
Common 
151313103
1,034
64,850.00
51850
13000


64850


COASTAL CORP
Common 
190441105
650
19,700.00
19700



19700


CHASE MANHTN NE
Common 
16161A108
4,638
56,995.00
56995



54095
2900

COMCAST "A SPL"
Common 
200300200
2,126
33,787.00
22162
11625


33787


CONSECO INC
Common 
208464107
646
20,927.90
20927.9



20927.9


COMPASS TECH  PTNRS
Common 
COMPMAS
362
403,513.71
403513.71



403513.71


COMPAQ COMPUTER
Common 
204493100
5,991
189,070.00
177070
12000


185670
3400

CISCO SYS
Common 
17275R102
2,252
20,554.00
20554



20554


CENTURY TELEPHN
Common 
156686107
769
10,950.00
10950



10950


FORM 13F























ITEM 1
ITEM 2
ITEM 3
ITEM 4
ITEM 5
ITEM 6


ITEM 7
ITEM 8


Name of Issuer
Title of 
CUSIP
Fair Mkt 
Shares of 
Investment Discretion


Mgrs
Voting Authority ( Shares )



Class
Number
Value 
Principal
Amt
a)Sole
b)Shared 
c)Shared 

a)Sole
b)Shared
c)None



( x $1000 )



Other




WALT DISNEY CO
Common 
254687106
5,180
166,410.00
166410



159560
2950
3900
ECI TELECOM
Common 
268258100
10,981
313,740.00
290740
23000


307840
5900

ELECTR DATA SYS
Common 
285661104
852
17,500.00
17500



17500


EQUIFAX INC
Common 
294429105
6,174
179,599.00
179599



174599

5000
ERICSSON LM ADR
Common 
294821400
328
13,760.00
13760



13760


1ST AMERICAN CP
Common 
318900107
879
23,825.00
23825



23825


FANNIE MAE
Common 
313586109
8,967
129,490.00
119490
10000


128690

800
FOREST LABS "A"
Common 
345838106
2,557
45,350.00
45350



43450
1900

1ST TENN NATL
Common 
337162101
780
21,300.00
17300
4000


21300


1ST VA BANKS
Common 
337477103
861
18,850.00
18850



18850


GILLETTE CO
Common 
375766102
2,212
37,210.00
37210



37210


GENL ELECTRIC
Common  
369604103
12,037
108,811.00
102811
6000


102561
3450
2800
ASIA TIGER FUND
Common 
04516T105
972
138,800.00
138800



138800


GTE CORP
Common 
362320103
665
10,997.00
10997



10997


HEALTH CARE REI
Common 
42217K106
493
22,950.00
22950



22950


HOME DEPOT INC
Common 
437076102
21,178
340,202.00
325202
15000


332602
4000
3600
HIBERNIA CORP
Common 
428656102
1,951
147,950.00
141950
6000


144450

3500
HEWLETT-PACKARD
Common 
428236103
3,212
47,375.00
47375



46375

1000
INDIA FUND INC
Common 
454089103
347
37,000.00
37000



37000


INTEL CORP
Common 
458140100
7,237
60,875.00
54875
6000


59075

1800
INTL RECTIFIER
Common 
460254105
569
81,250.00
81250



81250


JOHNSON & JOHNS
Common 
478160104
5,911
63,220.00
63220



62220

1000
J RAY MCDERMOTT
Common 
P64658100
54,912
48,700.00
48700



48700


COCA-COLA CO
Common 
191216100
3,192
52,013.00
52013



50513

1500
LINEAR TECH
Common 
535678106
1,878
36,650.00
36650



36650


LILLY ELI
Common 
532457108
6,673
78,620.00
78620



71120
3100
4400
AT&T LIB MED A
Common 
1957208
738
14,037.00
14037



13475

562
LTC PROPERTIES
Common
502175102
2,701
222,800.00
209800
13000


215600
5200
2000


FORM 13F























ITEM 1
ITEM 2
ITEM 3
ITEM 4
ITEM 5
ITEM 6


ITEM 7
ITEM 8


Name of Issuer
Title of 
CUSIP
Fair Mkt 
Shares of 
Investment Discretion


Mgrs
Voting Authority ( Shares )



Class
Number
Value
Principal
Amt
a)Sole
b)Shared 
c)Shared 

a)Sole
b)Shared
c)None



( x $1000 )



Other




LUCENT TECHNOL
Common 
549463107
3,073
28,456.00
25896
2560


28056

400
MALAN RLTY INVS
Common 
561063108
375
26,600.00
26600



26600


MCDONALDS CORP
Common 
580135101
1,155
25,500.00
25500



25500


METRONET COMM
Common 
59169Y108
715
13,000.00
13000



13000


PHILIP MORRIS
Common 
718154107
432
12,300.00
12300



12300


MOTIVEPOWER IND
Common 
61980K101
4,497
178,970.00
160470
18500


178970


MERCK & CO
Common 
589331107
8,724
108,874.00
108874



107874

1000
MICROSOFT CORP
Common 
594918104
28,305
315,812.00
315812



311812

4000
MONSANTO
Common 
611662107
617
13,430.00
9430
4000


12930

500
MANITOWOC CO
Common 
563571108
1,117
26,675.00
26675



26675


NATL CITY CORP
Common 
635405103
1,113
16,762.00
16762



16762


NATNWD HLTH PRO
Common 
638620104
1,900
100,000.00
100000



100000


NOKIA ADR A
Common 
654902204
3,902
25,055.00
25055



23205
1850

OFFICE DEPOT
Common 
676220106
636
17,000.00
17000



17000


OAKWOOD HOMES
Common 
674098108
2,925
208,900.00
193900
15000


200400
4500
4000
OMEGA HEALTHCAR
Common 
681936100
264
11,500.00
11500



11500


BANK ONE CORP
Common 
06423A103
3,661
66,497.00
60086
6411


64682

1815
ORACLE CORP
Common 
68389X105
1,275
48,336.00
48336



48336


OXFORD HEALTH
Common 
691471106
491
31,400.00
31400



30400

1000
PEP BOYS
Common 
713278109
384
25,178.00
25178



23978

1200
PEPSICO INC
Common 
713448108
8,540
217,917.00
207917
10000


211217
4000
2700
PFIZER INC
Common 
717081103
11,356
81,848.00
79848
2000


80848

1000
PROCTER & GAMBL
Common 
742718109
2,282
23,305.00
23305



23305


PARTNERRE LTD
Common 
G6852T105
648
16,000.00
8000
8000


16000


PROVIDENT COS
Common 
743862104
1,383
40,000.00
40000



40000


ROYAL DUTCH
Common 
780257804
906
17,420.00
17420



16420
1000

REGIONS FINL CP
Common 
758940100
516
14,900.00
14900



14900


TRANSOCEAN OFFS
Common 
893817106
1,763
61,205.00
61205



58205
3000



FORM 13F























ITEM 1
ITEM 2
ITEM 3
ITEM 4
ITEM 5
ITEM 6


ITEM 7
ITEM 8


Name of Issuer
Title of 
CUSIP
Fair Mkt 
Shares of 
Investment Discretion


Mgrs
Voting Authority ( Shares )



Class
Number
Value 
Principal
Amt
a)Sole
b)Shared 
c)Shared 

a)Sole
b)Shared
c)None



( x $1000 )



Other




ROPER INDUST
Common 
776696106
6,515
272,866.00
252866
20000


268866

4000
SAP AG ADR
Common 
803054204
874
33,200.00
33200



30800
2400

SBC COMMUNICATN
Common 
78387G103
564
11,942.00
11942



10626

1316
SMITHKLINE BEEC
Common 
832378301
837
11,712.00
11712



11712


SCB COMPUTER TE
Common 
78388N107
1,402
307,300.00
271300
36000


307300


SCHOLASTIC CORP
Common 
807066105
1,114
22,800.00
22800



21800

1000
SCHERING-PLOUGH
Common 
806605101
3,831
69,340.00
69340



69340


SCHLUMBERGER
Common 
806857108
3,154
52,401.00
52401



52401


SARA LEE CORP.
Common 
803111103
668
27,000.00
27000



27000


SIMPSON MFG CO
Common 
829073105
1,804
44,825.00
44825



41125
3700

SUNTRUST BANKS
Common 
867914103
2,352
37,776.00
37776



36816

960
SHOREWOOD PKG
Common 
825229107
1,232
62,775.00
62775



62775


SYSCO CORP
Common 
871829107
4,310
163,800.00
163800



159400

4400
AT & T CORP
Common 
1957109
1,327
16,632.00
16632



16632


TIDEWATER INC
Common 
886423102
1,045
40,400.00
40400



40400


TERADYNE
Common 
880770102
1,674
30,675.00
30675



26975
3700

UTD BANKSHARES
Common 
909907107
1,144
50,006.00
50006



50006


US FOODSERVICE
Common 
90331R101
1,632
35,100.00
35100



34100

1000
UNION PAC CORP
Common 
907818108
1,519
28,418.00
28418



27418

1000
VOLKSWAGEN AG
Common 
92866230
2,799
217,380.00
182380
35000


217380


MCI WORLCOM INC
Common 
55268B106
5,995
67,694.00
67694



62494
4200
1000
WELLS FARGO CO
Common 
949746101
687
19,600.00
19600



12300
7300

WARNER-LAMBERT
Common 
934488107
1,306
19,710.00
19710



19710


WILLIAMS COS
Common 
969457100
489
12,391.00
12391



12391


WAL-MART STORES
Common 
931142103
1,325
14,374.00
14374



14374


WATSON PHARMA
Common 
942683103
4,845
109,800.00
97800
12000


108300

1500
EXXON
Common 
302290101
8,143
115,405.00
115405



112805
1000
1600
XEROX CORP
Common 
984121103
5,271
101,120.00
89120
12000


96220
4300
600


FORM 13F























ITEM 1
ITEM 2
ITEM 3
ITEM 4
ITEM 5
ITEM 6


ITEM 7
ITEM 8


Name of Issuer
Title of 
CUSIP
Fair Mkt 
Shares of 
Investment Discretion


Mgrs
Voting Authority ( Shares )



Class
Number
Value 
Principal
Amt
a)Sole
b)Shared 
c)Shared 

a)Sole
b)Shared
c)None



( x $1000 )



Other




TRICON GLBL RES
Common 
895953107
2,005
28,542.00
28542



28402

140












REPORT TOTALS


347,667












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