UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2001

If amended report check here:

Institutional Investment Manager Filing This Report:

Name:    The St. Paul Companies, Inc.
Address: 385 Washington Street
         St. Paul, MN  55102-1396

13F File Number: 28-62

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 Reporting Manager:

Name:  Bruce Backberg
Title: Corporate Secretary
Phone: (651) 310-7916

Signature, Place and Date of signing:


/s/ Bruce Backberg, St. Paul, Minnesota, November 13, 2001

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 SUMMARY PAGE

Report Summary:

Number of Other Included Managers:               1
Form 13F Information Table Entry Total:        343
Form 13F Information Table Value Total: $1,265,288

List of Other Included Managers:

No.   13F Filing Numbe          Name
01    28-29                     ST. PAUL FIRE AND MARINE INSURANCE COMPANY



                           FORM 13F INFORMATION TABLE



                                    TITLE
                                     OF
NAME OF ISSUER                      CLASS     CUSIP     VALUE         SHARES  SH/  PUT/ INVESTMT  OTHER        VOTING AUTHORITY
                                                       (X$1000)      PRN/AMT  PRN  CALL DSCRETN   MANAGERS     SOLE        SHARED
                                                                                             
AFLAC INC                           COMM    001055102    3,240       120,000  SH        SHARED                             120,000
AFLAC INC                           COMM    001055102       79         2,920  SH        SHARED                               2,920
AFLAC INC                           COMM    001055102    2,144        79,400  SH        SOLE                  79,400
AOL TIME WARNER INC                 COMM    00184A105   13,358       403,560  SH        SHARED                             403,560
AOL TIME WARNER INC                 COMM    00184A105      321         9,690  SH        SHARED                               9,690
AOL TIME WARNER INC                 COMM    00184A105    9,796       295,956  SH        SOLE                 295,956





                                                                                             
AMERICAN TELEPHONE & TELEGRAPH CO.  COMM    001957109      155         8,050  SH        SHARED                               8,050
AT&T WIRELESS                       COMM    00209A106       39         2,590  SH        SHARED                               2,590
ABBOTT LABORATORIES                 COMM    002824100   14,777       285,000  SH        SHARED                             285,000
ABBOTT LABORATORIES                 COMM    002824100      172         3,310  SH        SHARED                               3,310
ABBOTT LABORATORIES                 COMM    002824100    9,639       185,900  SH        SOLE                 185,900
AGILENT TECH                        COMM    00846U101       20         1,029  SH        SHARED                               1,029
ALCOA INC                           COMM    013817101    5,582       180,000  SH        SHARED                             180,000
ALCOA INC                           COMM    013817101    3,664       118,150  SH        SOLE                 118,150
ALLEGHENY ENGY                      COMM    017361106    3,303        90,000  SH        SHARED                              90,000
ALLEGHENY ENGY                      COMM    017361106    2,202        60,000  SH        SOLE                  60,000
ALLIANCE CAP                        COMM    01855A101       63         1,370  SH        SHARED                               1,370
ALLIED WASTE                        COMM    019589308       73         5,730  SH        SHARED                               5,730
ALLSTATE CORP.                      COMM    020002101      280         7,500  SH        SHARED                               7,500
AMERICAN EXPRESS COMPANY            COMM    025816109       80         2,760  SH        SHARED                               2,760
AMERICAN HOME PRODUCTS              COMM    026609107   15,902       273,000  SH        SHARED                             273,000
AMERICAN HOME PRODUCTS              COMM    026609107      165         2,830  SH        SHARED                               2,830
AMERICAN HOME PRODUCTS              COMM    026609107    7,691       132,040  SH        SOLE                 132,040
AMERICAN INTERNATIONAL GROUP, INC.  COMM    026874107   26,519       339,990  SH        SHARED                             339,990
AMERICAN INTERNATIONAL GROUP, INC.  COMM    026874107      396         5,080  SH        SHARED                               5,080
AMERICAN INTERNATIONAL GROUP, INC.  COMM    026874107   17,370       222,689  SH        SOLE                 222,689
AMGEN INC.                          COMM    031162100    7,052       120,000  SH        SHARED                             120,000
AMGEN INC.                          COMM    031162100    4,684        79,700  SH        SOLE                  79,700
ANADARKO PETROLEUM CO               COMM    032511107       33           690  SH        SHARED                                 690
ANHEUSER BUSCH COS. INC.            COMM    035229103       83         1,970  SH        SHARED                               1,970
APPLIED MICRO CIRCUIT CORP.         COMM    03822W109        4           620  SH        SHARED                                 620
ASCENTIAL SOFTWARE CORP             COMM    04362P108        3           987  SH        SOLE                     987
AUTODESK, INC                       COMM    052769106       35         1,090  SH        SHARED                               1,090
AUTOMATIC DATA PROCESSING           COMM    053015103    3,906        83,040  SH        SHARED                              83,040
AUTOMATIC DATA PROCESSING           COMM    053015103       65         1,390  SH        SHARED                               1,390
AUTOMATIC DATA PROCESSING           COMM    053015103    2,427        51,600  SH        SOLE                  51,600
AUTONATION INC.                     COMM    05329W102      117        13,270  SH        SHARED                              13,270
BB&T CORP                           COMM    054937107      166         4,550  SH        SHARED                               4,550
BP AMOCO PLC (ADR)                  COMM    055622104      496        10,080  SH        SHARED                              10,080
BP AMOCO PLC (ADR)                  COMM    055622104    3,176        64,596  SH        SHARED                              64,596
BP AMOCO PLC (ADR)                  COMM    055622104    1,591        32,352  SH        SOLE                  32,352
BANK OF AMERICA CORP                COMM    060505104    7,884       135,000  SH        SHARED                             135,000
BANK OF AMERICA CORP                COMM    060505104      209         3,580  SH        SHARED                               3,580
BANK OF AMERICA CORP                COMM    060505104    5,229        89,540  SH        SOLE                  89,540
BANK OF NEW YORK CO., INC.          COMM    064057102       57         1,630  SH        SHARED                               1,630
BANK ONE CORP.                      COMM    06423A103       79         2,520  SH        SHARED                               2,520
BAXTER INTERNATIONAL INC.           COMM    071813109    6,606       120,000  SH        SHARED                             120,000
BAXTER INTERNATIONAL INC.           COMM    071813109    4,386        79,670  SH        SOLE                  79,670
BELL SOUTH CORP.                    COMM    079860102      395         9,500  SH        SHARED                               9,500
BERKSHIRE HATHAWAY A                COMM    084670108    8,750           124  SH        SHARED                                 124
BERKSHIRE HATHAWAY A                COMM    084670108      490             7  SH        SHARED                                   7
BERKSHIRE HATHAWAY A                COMM    084670108    5,460            75  SH        SOLE                      75
BOEING COMPANY                      COMM    097023105      109         3,250  SH        SHARED                               3,250
BRISTOL-MYERS SQUIBB CO.            COMM    110122108   16,135       290,400  SH        SHARED                             290,400





                                                                                           
BRISTOL-MYERS SQUIBB CO.            COMM    110122108      232         4,170  SH        SHARED                               4,170
BRISTOL-MYERS SQUIBB CO.            COMM    110122108   11,620       209,146  SH        SOLE                 209,146
BROADCOM CORP                       COMM    111320107        9           440  SH        SHARED                                 440
CVS CORP.                           COMM    126650100       48         1,460  SH        SHARED                               1,460
CANADIAN PACIFIC RAILROAD LTD       COMM    13645T100       69         2,160  SH        SHARED                               2,160
CAP ONE FIN                         COMM    14040H105    6,214       135,000  SH        SHARED                             135,000
CAP ONE FIN                         COMM    14040H105    4,099        89,040  SH        SOLE                  89,040
CARDINAL HEALTH INC.                COMM    14149Y108       69           930  SH        SHARED                                 930
CATELLUS DEVELOPMENT                COMM    149111106      119         6,780  SH        SHARED                               6,780
CATERPILLAR INC                     COMM    149123101    2,688        60,000  SH        SHARED                              60,000
CATERPILLAR INC                     COMM    149123101    1,779        39,700  SH        SOLE                  39,700
CELESTICA                           COMM    15101Q108    5,178       190,000  SH        SHARED                             190,000
CELESTICA                           COMM    15101Q108    3,873       142,140  SH        SOLE                 142,140
CHEVRONTEXACO CORP                  COMM    166764100      118         1,390  SH        SHARED                               1,390
CISCO SYSTEMS INC.                  COMM    17275R102   12,883     1,057,720  SH        SHARED                           1,057,720
CISCO SYSTEMS INC.                  COMM    17275R102      220        18,080  SH        SHARED                              18,080
CISCO SYSTEMS INC.                  COMM    17275R102    8,704       714,592  SH        SOLE                 714,592
CITIGROUP INC                       COMM    172967101   22,794       562,824  SH        SHARED                             562,824
CITIGROUP INC                       COMM    172967101      450        11,100  SH        SHARED                              11,100
CITIGROUP INC                       COMM    172967101   14,909       368,115  SH        SOLE                 368,115
CLEAR CHANNEL                       COMM    184502102    2,077        52,260  SH        SHARED                              52,260
CLEAR CHANNEL                       COMM    184502102    1,683        42,351  SH        SOLE                  42,351
COCA COLA CO                        COMM    191216100   14,655       312,806  SH        SHARED                             312,806
COCA COLA CO                        COMM    191216100      251         5,360  SH        SHARED                               5,360
COCA COLA CO                        COMM    191216100    9,701       207,057  SH        SOLE                 207,057
COLGATE POLMOLIVE CO                COMM    194162103       70         1,210  SH        SHARED                               1,210
COMCAST CORP. CL A                  COMM    200300200    3,766       105,000  SH        SHARED                             105,000
COMCAST CORP. CL A                  COMM    200300200    2,502        69,740  SH        SOLE                  69,740
COMPAQ COMPUTER                     COMM    204493100       65         7,770  SH        SHARED                               7,770
COMPUTER ASSOCIATES INTL, INC.      COMM    204912109       37         1,450  SH        SHARED                               1,450
COMPUTER SCIENCES CORP              COMM    205363104       41         1,230  SH        SHARED                               1,230
CONCORD EFS INC.                    COMM    206197105       92         1,870  SH        SHARED                               1,870
DELL COMPUTER CORP                  COMM    247025109      176         9,490  SH        SHARED                               9,490
DEVON ENERGY CORP.                  COMM    25179M103       50         1,440  SH        SHARED                               1,440
DIEBOLD                             COMM    253651103       92         2,420  SH        SHARED                               2,420
DISNEY, WALT CO.                    COMM    254687106       84         4,490  SH        SHARED                               4,490
DONNELLEY (R R) & SONS INC.         COMM    257867101       77         2,830  SH        SHARED                               2,830
DOW CHEMICAL COMPANY                COMM    260543103    3,931       120,000  SH        SHARED                             120,000
DOW CHEMICAL COMPANY                COMM    260543103    2,621        80,000  SH        SOLE                  80,000
DU PONT E I DE NEMOURS AND CO.      COMM    263534109       86         2,290  SH        SHARED                               2,290
DUKE POWER                          COMM    264399106    1,136        30,000  SH        SHARED                              30,000
DUKE POWER                          COMM    264399106      324         8,560  SH        SHARED                               8,560
DUKE POWER                          COMM    264399106      674        17,820  SH        SOLE                  17,820
DUKE REALTY INVESTMENTS, INC.       COMM    264411505      115         4,850  SH        SHARED                               4,850
EMC CORP.                           COMM    268648102      997        84,860  SH        SHARED                              84,860
EMC CORP.                           COMM    268648102       56         4,740  SH        SHARED                               4,740
EMC CORP.                           COMM    268648102      618        52,570  SH        SOLE                  52,570
EOG RESOURCES INC                   COMM    26875P101       61         2,110  SH        SHARED                               2,110





                                                                                             
EBIX.COM INC                        COMM    278715107        6        12,785  SH        SHARED                              12,785
ECOLAB INC                          COMM    278865100    2,699        74,300  SH        SHARED                              74,300
ECOLAB INC                          COMM    278865100    1,526        42,001  SH        SOLE                  42,001
EDWARDS (AG) INC                    COMM    281760108       91         2,590  SH        SHARED                               2,590
ELAN CORP., PLC                     COMM    284131208    1,647        34,000  SH        SHARED                              34,000
ELAN CORP., PLC                     COMM    284131208      824        17,000  SH        SOLE                  17,000
ELECTRONIC ARTS                     COMM    285512109    2,740        60,000  SH        SHARED                              60,000
ELECTRONIC ARTS                     COMM    285512109    1,827        40,000  SH        SOLE                  40,000
ELECTRONIC DATA SYSTEMS             COMM    285661104       58         1,000  SH        SHARED                               1,000
EMERSON ELECTRIC COMPANY            COMM    291011104       45           960  SH        SHARED                                 960
ENRON CORP.                         COMM    293561106       41         1,510  SH        SHARED                               1,510
EXXON MOBIL CORP                    COMM    30231G102   18,724       475,236  SH        SHARED                             475,236
EXXON MOBIL CORP                    COMM    30231G102      604        15,340  SH        SHARED                              15,340
EXXON MOBIL CORP                    COMM    30231G102   12,376       314,100  SH        SOLE                 314,100
FPL GROUP                           COMM    302571104    3,213        60,000  SH        SHARED                              60,000
FPL GROUP                           COMM    302571104    2,142        40,000  SH        SOLE                  40,000
FED HOME LOAN MTG CO.               COMM    313400301    9,750       150,000  SH        SHARED                             150,000
FED HOME LOAN MTG CO.               COMM    313400301       96         1,480  SH        SHARED                               1,480
FED HOME LOAN MTG CO.               COMM    313400301    6,266        96,400  SH        SOLE                  96,400
(R) FEDERAL NATIONAL MORTGAGE       COMM    313586109   14,411       180,000  SH        SHARED                             180,000
(R) FEDERAL NATIONAL MORTGAGE       COMM    313586109      636         7,941  SH        SHARED                               7,941
(R) FEDERAL NATIONAL MORTGAGE       COMM    313586109    9,450       118,040  SH        SOLE                 118,040
FIFTH THIRD BANCORP.                COMM    316773100   11,620       189,000  SH        SHARED                             189,000
FIFTH THIRD BANCORP.                COMM    316773100       58           950  SH        SHARED                                 950
FIFTH THIRD BANCORP.                COMM    316773100    7,732       125,770  SH        SOLE                 125,770
FILENET CORPORATION                 COMM    316869106      247        35,616  SH        SHARED                              35,616
FIRST HEALTH GROUP                  COMM    320960107      183         6,220  SH        SHARED                               6,220
FIRSTENERGY CP                      COMM    337932107    3,236        90,000  SH        SHARED                              90,000
FIRSTENERGY CP                      COMM    337932107    2,157        60,000  SH        SOLE                  60,000
FLEETBOSTON FINANCIAL               COMM    339030108       68         1,850  SH        SHARED                               1,850
FORD MOTOR CO                       COMM    345370860       71         4,110  SH        SHARED                               4,110
FOX ENTERTAINMENT GROUP             COMM    35138T107    4,298       225,000  SH        SHARED                             225,000
FOX ENTERTAINMENT GROUP             COMM    35138T107    2,857       149,560  SH        SOLE                 149,560
FRANKLIN RESOURCES                  COMM    354613101       68         1,960  SH        SHARED                               1,960
GARDEN FRESH COMMON                 COMM    365235100    1,327       217,104  SH        SHARED                             217,104
GENENTECH                           COMM    368710406    9,152       208,000  SH        SHARED                             208,000
GENENTECH                           COMM    368710406    5,803       131,880  SH        SOLE                 131,880
GENL DYNAMICS                       COMM    369550108      305         3,450  SH        SHARED                               3,450
GENERAL ELECTRIC CO.                COMM    369604103   34,897       938,100  SH        SHARED                             938,100
GENERAL ELECTRIC CO.                COMM    369604103      890        23,930  SH        SHARED                              23,930
GENERAL ELECTRIC CO.                COMM    369604103   22,858       614,464  SH        SOLE                 614,464
GENERAL MILLS INC                   COMM    370334104       71         1,570  SH        SHARED                               1,570
GENERAL MOTORS                      COMM    370442105       50         1,170  SH        SHARED                               1,170
INTERDENT, INC.                     COMM    37245B102       21        43,725  SH        SHARED                              43,725
GILLETTE CO.                        COMM    375766102       65         2,170  SH        SHARED                               2,170
GLOBAL ONLINE INDIA INC             COMM    37940N104        0           706  SH        SHARED                                 706
HCA INC COM                         COMM    404119109   11,964       270,000  SH        SHARED                             270,000
HCA INC COM                         COMM    404119109    7,822       176,530  SH        SOLE                 176,530





                                                                                           
HARLEY-DAVIDSON                     COMM    412822108    3,645        90,000  SH        SHARED                              90,000
HARLEY-DAVIDSON                     COMM    412822108    2,414        59,600  SH        SOLE                  59,600
HEWLETT-PACKARD                     COMM    428236103       68         4,250  SH        SHARED                               4,250
HOME DEPOT, INC.                    COMM    437076102    8,603       224,200  SH        SHARED                             224,200
HOME DEPOT, INC.                    COMM    437076102      195         5,080  SH        SHARED                               5,080
HOME DEPOT, INC.                    COMM    437076102    5,928       154,494  SH        SOLE                 154,494
HONEYWELL INTERNATIONAL             COMM    438516106    4,620       175,000  SH        SHARED                             175,000
HONEYWELL INTERNATIONAL             COMM    438516106       68         2,590  SH        SHARED                               2,590
HONEYWELL INTERNATIONAL             COMM    438516106    3,227       122,230  SH        SOLE                 122,230
HOUSEHOLD INTERNATIONAL, INC.       COMM    441815107       55           980  SH        SHARED                                 980
ICO INC PFD                         PREF    449293307      245        20,000  SH        SHARED                              20,000
ISTAR FINANCIAL INC                 COMM    45031U101       75         3,030  SH        SHARED                               3,030
INTEL CORP                          COMM    458140100   11,084       542,260  SH        SHARED                             542,260
INTEL CORP                          COMM    458140100      457        22,340  SH        SHARED                              22,340
INTEL CORP                          COMM    458140100    7,259       355,120  SH        SOLE                 355,120
INTERNATIONAL BUSINESS
  MACHINES CORP CAP                 COMM    459200101    9,480       103,360  SH        SHARED                             103,360
INTERNATIONAL BUSINESS
  MACHINES CORP CAP                 COMM    459200101      465         5,070  SH        SHARED                               5,070
INTERNATIONAL BUSINESS
  MACHINES CORP CAP                 COMM    459200101    6,312        68,818  SH        SOLE                  68,818
INTERNATIONAL PAPER CO              COMM    460146103    5,226       150,000  SH        SHARED                             150,000
INTERNATIONAL PAPER CO              COMM    460146103    3,408        97,810  SH        SOLE                  97,810
INTRA BIOTICS                       COMM    46116T100    1,840     1,886,828  SH        SHARED                           1,886,828
JP MORGAN CHASE & CO                COMM    46625H100    4,866       142,500  SH        SHARED                             142,500
JP MORGAN CHASE & CO                COMM    46625H100      136         3,996  SH        SHARED                               3,996
JP MORGAN CHASE & CO                COMM    46625H100    2,985        87,421  SH        SOLE                  87,421
JOHNSON & JOHNSON                   COMM    478160104   13,850       250,000  SH        SHARED                             250,000
JOHNSON & JOHNSON                   COMM    478160104      334         6,020  SH        SHARED                               6,020
JOHNSON & JOHNSON                   COMM    478160104   15,166       273,762  SH        SOLE                 273,762
KAUFMAN & BROAD HOME CORP.          COMM    48666K109      159         5,600  SH        SHARED                               5,600
KIMBERLY-CLARK CORP.                COMM    494368103    5,220        84,200  SH        SHARED                              84,200
KIMBERLY-CLARK CORP.                COMM    494368103       69         1,120  SH        SHARED                               1,120
KIMBERLY-CLARK CORP.                COMM    494368103    3,381        54,532  SH        SOLE                  54,532
KNIGHT RIDDER INC                   COMM    499040103    6,702       120,000  SH        SHARED                             120,000
KNIGHT RIDDER INC                   COMM    499040103    4,418        79,100  SH        SOLE                  79,100
KOREA TELECOM CORP. ADR             COMM    50063P103    1,024        56,000  SH        SHARED                              56,000
KOREA TELECOM CORP. ADR             COMM    50063P103      512        28,000  SH        SOLE                  28,000
L THREE COMM HOLDINGS               COMM    502424104    6,996        80,000  SH        SHARED                              80,000
L THREE COMM HOLDINGS               COMM    502424104    4,634        52,990  SH        SOLE                  52,990
LEAR SEATING                        COMM    521865105       46         1,710  SH        SHARED                               1,710
LIBERTY MEDIA CORP CL A             COMM    530718105    8,603       677,400  SH        SHARED                             677,400
LIBERTY MEDIA CORP CL A             COMM    530718105    5,675       446,822  SH        SOLE                 446,822
LILLY, ELI & CO.                    COMM    532457108    8,474       105,000  SH        SHARED                             105,000
LILLY, ELI & CO.                    COMM    532457108      196         2,430  SH        SHARED                               2,430
LILLY, ELI & CO.                    COMM    532457108    5,629        69,750  SH        SOLE                  69,750
LINEAR TECHNOLOGY CORP              COMM    535678106    1,968        60,000  SH        SHARED                              60,000
LINEAR TECHNOLOGY CORP              COMM    535678106    1,289        39,300  SH        SOLE                  39,300
LOEWS CORP.                         COMM    540424108      219         4,740  SH        SHARED                               4,740
LUCENT TECHNOLOGIES INC.            COMM    549463107       40         6,900  SH        SHARED                               6,900
MBNA CORP.                          COMM    55262L100   11,033       364,250  SH        SHARED                             364,250





                                                                                           
MBNA CORP.                          COMM    55262L100      158         5,210  SH        SHARED                               5,210
MBNA CORP.                          COMM    55262L100    7,276       240,202  SH        SOLE                 240,202
MARSH & MCLENNAN COS INC            COMM    571748102    5,802        60,000  SH        SHARED                              60,000
MARSH & MCLENNAN COS INC            COMM    571748102       56           580  SH        SHARED                                 580
MARSH & MCLENNAN COS INC            COMM    571748102    3,868        40,000  SH        SOLE                  40,000
MASTEC INC.                         COMM    576323109       33         6,380  SH        SHARED                               6,380
MATTEL, INC.                        COMM    577081102       47         3,020  SH        SHARED                               3,020
MCDONALD'S CORP                     COMM    580135101       77         2,820  SH        SHARED                               2,820
MCGRAW-HILL COMPANIES INC.          COMM    580645109    6,984       120,000  SH        SHARED                             120,000
MCGRAW-HILL COMPANIES INC.          COMM    580645109    4,656        80,000  SH        SOLE                  80,000
MEDTRONIC INC                       COMM    585055106    7,012       161,200  SH        SHARED                             161,200
MEDTRONIC INC                       COMM    585055106      113         2,590  SH        SHARED                               2,590
MEDTRONIC INC                       COMM    585055106    4,484       103,084  SH        SOLE                 103,084
MERCK AND CO INC                    COMM    589331107    8,192       123,000  SH        SHARED                             123,000
MERCK AND CO INC                    COMM    589331107      336         5,040  SH        SHARED                               5,040
MERCK AND CO INC                    COMM    589331107    5,421        81,400  SH        SOLE                  81,400
MERRILL LYNCH & CO.                 COMM    590188108    4,588       113,000  SH        SHARED                             113,000
MERRILL LYNCH & CO.                 COMM    590188108       77         1,890  SH        SHARED                               1,890
MERRILL LYNCH & CO.                 COMM    590188108    2,855        70,320  SH        SOLE                  70,320
MICROSOFT CORP.                     COMM    594918104   19,561       382,280  SH        SHARED                             382,280
MICROSOFT CORP.                     COMM    594918104      602        11,770  SH        SHARED                              11,770
MICROSOFT CORP.                     COMM    594918104   12,678       247,772  SH        SOLE                 247,772
MINNESOTA MINING AND
 MANUFACTURING CO                   COMM    604059105    2,952        30,000  SH        SHARED                              30,000
MINNESOTA MINING AND
 MANUFACTURING CO                   COMM    604059105       87           880  SH        SHARED                                 880
MINNESOTA MINING AND
 MANUFACTURING CO                   COMM    604059105    1,958        19,900  SH        SOLE                  19,900
MONSANTO COMPANY                    COMM    61166W101    4,048       120,000  SH        SHARED                             120,000
MONSANTO COMPANY                    COMM    61166W101    2,688        79,690  SH        SOLE                  79,690
MORGAN STANLEY DEAN WITT            COMM    617446448      115         2,487  SH        SHARED                               2,487
MOTOROLA INC                        COMM    620076109       40         2,550  SH        SHARED                               2,550
NASDAQ - 100 SHARES                 COMM    631100104   10,433       360,000  SH        SHARED                             360,000
NASDAQ - 100 SHARES                 COMM    631100104    6,922       238,850  SH        SOLE                 238,850
NEW YORK TIMES CO.                  COMM    650111107    6,440       165,000  SH        SHARED                             165,000
NEW YORK TIMES CO.                  COMM    650111107    4,250       108,900  SH        SOLE                 108,900
NOKIA CORP. ADR                     COMM    654902204    4,476       286,000  SH        SHARED                             286,000
NOKIA CORP. ADR                     COMM    654902204    2,386       152,480  SH        SOLE                 152,480
NORTEL NETWORK CORPORATION          COMM    656568102       15         2,670  SH        SHARED                               2,670
OLD REPUBLIC INTERNATIONAL CORP.    COMM    680223104       50         1,900  SH        SHARED                               1,900
ORACLE CORPORATION                  COMM    68389X105    2,124       168,800  SH        SHARED                             168,800
ORACLE CORPORATION                  COMM    68389X105       79         6,250  SH        SHARED                               6,250
ORACLE CORPORATION                  COMM    68389X105    1,362       108,236  SH        SOLE                 108,236
PPL CORPORATION                     COMM    69351T106       31           940  SH        SHARED                                 940
PEPSICO INC                         COMM    713448108   14,516       299,300  SH        SHARED                             299,300
PEPSICO INC                         COMM    713448108      192         3,964  SH        SHARED                               3,964
PEPSICO INC                         COMM    713448108    9,617       198,291  SH        SOLE                 198,291
(R) PETROCORP INC.                  COMM    71645N101    7,703     1,731,000  SH        SHARED                           1,731,000
PFIZER INC                          COMM    717081103   26,596       663,250  SH        SHARED                             663,250
PFIZER INC                          COMM    717081103      551        13,740  SH        SHARED                              13,740
PFIZER INC                          COMM    717081103   17,267       430,590  SH        SOLE                 430,590





                                                                                           
PHARMACIA CORP.                     COMM    71713U102      113         2,780  SH        SHARED                               2,780
PHILIP MORRIS COS INC               COMM    718154107   14,487       300,000  SH        SHARED                             300,000
PHILIP MORRIS COS INC               COMM    718154107      718        14,870  SH        SHARED                              14,870
PHILIP MORRIS COS INC               COMM    718154107    9,625       199,320  SH        SOLE                 199,320
POPULAR INC                         COMM    733174106      113         3,610  SH        SHARED                               3,610
PRICE (T. ROWE) ASSOCIATES          COMM    74144T108       50         1,690  SH        SHARED                               1,690
PROCTER AND GAMBLE                  COMM    742718109   13,539       186,000  SH        SHARED                             186,000
PROCTER AND GAMBLE                  COMM    742718109      205         2,820  SH        SHARED                               2,820
PROCTER AND GAMBLE                  COMM    742718109    8,916       122,490  SH        SOLE                 122,490
PROGRESS ENERGY INC                 COMM    743263105    3,224        75,000  SH        SHARED                              75,000
PROGRESS ENERGY INC                 COMM    743263105    2,150        50,000  SH        SOLE                  50,000
PROGRESSIVE CORP.                   COMM    743315103      133           990  SH        SHARED                                 990
PROLOGIS TRUST                      COMM    743410102       68         3,210  SH        SHARED                               3,210
QUALCOMM INC                        COMM    747525103    4,279        90,000  SH        SHARED                              90,000
QUALCOMM INC                        COMM    747525103    2,838        59,700  SH        SOLE                  59,700
QWEST COMMUNICATIONS                COMM    749121109       59         3,560  SH        SHARED                               3,560
RADIO ONE INC - CL D                COMM    75040P405    1,039        90,000  SH        SHARED                              90,000
RADIO ONE INC - CL D                COMM    75040P405      688        59,600  SH        SOLE                  59,600
RELIANT ENERGY INC                  COMM    75952J108      150         5,710  SH        SHARED                               5,710
ROBT HALF INTL                      COMM    770323103      113         5,630  SH        SHARED                               5,630
ROYAL DUTCH PETROLEUM CO.           COMM    780257804      235         4,680  SH        SHARED                               4,680
SBC COMMUNICATIONS INC.             COMM    78387G103   12,787       271,361  SH        SHARED                             271,361
SBC COMMUNICATIONS INC.             COMM    78387G103      593        12,590  SH        SHARED                              12,590
SBC COMMUNICATIONS INC.             COMM    78387G103    8,340       176,985  SH        SOLE                 176,985
SEI INVESTMENTS                     COMM    784117103       31           980  SH        SHARED                                 980
SAFEWAY INC.                        COMM    786514208    3,575        90,000  SH        SHARED                              90,000
SAFEWAY INC.                        COMM    786514208       41         1,040  SH        SHARED                               1,040
SAFEWAY INC.                        COMM    786514208    2,383        60,000  SH        SOLE                  60,000
ST. JOE CORP.                       COMM    790148100      142         5,490  SH        SHARED                               5,490
SARA LEE CORP.                      COMM    803111103      119         5,600  SH        SHARED                               5,600
SCHERING PLOUGH CORP                COMM    806605101      117         3,150  SH        SHARED                               3,150
SCHLUMBERGER LTD                    COMM    806857108    4,707       103,000  SH        SHARED                             103,000
SCHLUMBERGER LTD                    COMM    806857108       62         1,350  SH        SHARED                               1,350
SCHLUMBERGER LTD                    COMM    806857108    3,085        67,500  SH        SOLE                  67,500
SCHWAB (CHARLES) CORP               COMM    808513105       34         2,930  SH        SHARED                               2,930
SELECT COMFORT COMMON STOCK         COMM    81616*106    3,120     4,800,113  SH        SHARED                           4,800,113
SIEBEL SYSTEMS                      COMM    826170102       11           840  SH        SHARED                                 840
SOUTHERN COMPANY                    COMM    842587107    2,878       120,000  SH        SHARED                             120,000
SOUTHERN COMPANY                    COMM    842587107    1,918        80,000  SH        SOLE                  80,000
SPRINT CORP (PCS)                   COMM    852061506       53         2,000  SH        SHARED                               2,000
SUN MICROSYSTEMS INC                COMM    866810104    2,706       327,220  SH        SHARED                             327,220
SUN MICROSYSTEMS INC                COMM    866810104       30         3,640  SH        SHARED                               3,640
SUN MICROSYSTEMS INC                COMM    866810104    2,001       241,980  SH        SOLE                 241,980
TEXAS UTILITIES                     COMM    873168108    4,632       100,000  SH        SHARED                             100,000
TEXAS UTILITIES                     COMM    873168108      182         3,920  SH        SHARED                               3,920
TEXAS UTILITIES                     COMM    873168108    3,004        64,850  SH        SOLE                  64,850
TAIWAN SEMICONDUCTOR                COMM    874039100    2,289       241,200  SH        SHARED                             241,200
TAIWAN SEMICONDUCTOR                COMM    874039100    1,403       147,864  SH        SOLE                 147,864





                                                                                             
TARGET CORP                         COMM    87612E106   11,430       360,000  SH        SHARED                             360,000
TARGET CORP                         COMM    87612E106       62         1,960  SH        SHARED                               1,960
TARGET CORP                         COMM    87612E106    7,577       238,650  SH        SOLE                 238,650
TECH DATA CORP                      COMM    878237106       93         2,450  SH        SHARED                               2,450
TEXACO INC                          COMM    881694103       75         1,160  SH        SHARED                               1,160
TEXAS INSTRUMENT                    COMM    882508104       94         3,780  SH        SHARED                               3,780
TORCHMARK                           COMM    891027104      151         3,860  SH        SHARED                               3,860
TYCO INTERNATIONAL LTD.             COMM    902124106    8,704       191,300  SH        SHARED                             191,300
TYCO INTERNATIONAL LTD.             COMM    902124106      173         3,810  SH        SHARED                               3,810
TYCO INTERNATIONAL LTD.             COMM    902124106    5,664       124,476  SH        SOLE                 124,476
USX-MARATHON GROUP COM              COMM    902905827      267         9,990  SH        SHARED                               9,990
US BANCORP - NEW                    COMM    902973304       91         4,124  SH        SHARED                               4,124
USA NETWORKS                        COMM    902984103    4,315       240,000  SH        SHARED                             240,000
USA NETWORKS                        COMM    902984103    2,687       149,420  SH        SOLE                 149,420
UNILEVER NV                         COMM    904784709       68         1,260  SH        SHARED                               1,260
UNION PACIFIC CORP.                 COMM    907818108    4,221        90,000  SH        SHARED                              90,000
UNION PACIFIC CORP.                 COMM    907818108    2,795        59,600  SH        SOLE                  59,600
UNITED PARCEL SERVICE               COMM    911312106   10,136       195,000  SH        SHARED                             195,000
UNITED PARCEL SERVICE               COMM    911312106    6,654       128,010  SH        SOLE                 128,010
UNITED TECHNOLOGIES CORP.           COMM    913017109       45           970  SH        SHARED                                 970
VENATOR GROUP INC                   COMM    922944103       58         3,820  SH        SHARED                               3,820
VERIZON COMMUNICATIONS              COMM    92343V104   16,264       300,570  SH        SHARED                             300,570
VERIZON COMMUNICATIONS              COMM    92343V104      468         8,650  SH        SHARED                               8,650
VERIZON COMMUNICATIONS              COMM    92343V104   10,456       193,241  SH        SOLE                 193,241
VIACOM INC. CL B                    COMM    925524308    4,554       132,000  SH        SHARED                             132,000
VIACOM INC. CL B                    COMM    925524308      110         3,190  SH        SHARED                               3,190
VIACOM INC. CL B                    COMM    925524308    3,022        87,600  SH        SOLE                  87,600
VINTAGE PETRO                       COMM    927460105      131         8,280  SH        SHARED                               8,280
VISHAY INTERTECHNOLOGY INC.         COMM    928298108      126         6,840  SH        SHARED                               6,840
WACHOVIA  CORP - NEW                COMM    929903102       56         1,810  SH        SHARED                               1,810
WAL-MART STORES INC                 COMM    931142103   16,474       332,800  SH        SHARED                             332,800
WAL-MART STORES INC                 COMM    931142103      485         9,800  SH        SHARED                               9,800
WAL-MART STORES INC                 COMM    931142103   10,722       216,608  SH        SOLE                 216,608
WALGREEN CO.                        COMM    931422109    2,066        60,000  SH        SHARED                              60,000
WALGREEN CO.                        COMM    931422109       74         2,140  SH        SHARED                               2,140
WALGREEN CO.                        COMM    931422109    1,367        39,700  SH        SOLE                  39,700
WASHINGTON MUTUAL INC               COMM    939322103      404        10,500  SH        SHARED                              10,500
WELLS FARGO & CO                    COMM    949746101      190         4,270  SH        SHARED                               4,270
WORLDCOM INC                        COMM    98157D106       95         6,290  SH        SHARED                               6,290
WORLDCOM INC - MCI GROUP            COMM    98157D304        4           251  SH        SHARED                                 251
XANTEL                              COMM    98388#102        -       229,697  SH        SHARED                             229,697
ZIMMER HOLDINGS INC                 COMM    98956P102    7,050       254,040  SH        SHARED                             254,040
ZIMMER HOLDINGS INC                 COMM    98956P102       12           417  SH        SHARED                                 417
ZIMMER HOLDINGS INC                 COMM    98956P102    4,714       169,864  SH        SOLE                 169,864
AMDOCS LTD                          COMM    G02602103      746        28,000  SH        SHARED                              28,000
AMDOCS LTD                          COMM    G02602103      373        14,000  SH        SOLE                  14,000
FLEXTRONICS INTERNATIONAL LTD       COMM    Y2573F102    6,699       405,000  SH        SHARED                             405,000
FLEXTRONICS INTERNATIONAL LTD       COMM    Y2573F102    4,410       266,630  SH        SOLE                 266,630
TEEKAY SHIPPING                     COMM    Y8564W103       47         1,520  SH        SHARED                               1,520