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

                                            FORM 13F

                                            FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2002

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, July 30, 2002

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:                                         355
Form 13F Information Table Value Total:                                    $857,640



List of Other Included Managers:




No.                             13F Filing Number    Name
                                              
0                               28-29                ST. PAUL FIRE AND MARINE INSURANCE COMPANY






                                                     FORM 13F INFORMATION TABLE




                                                                                           PUT/
NAME OF ISSUER                            TITLE                             SHARES        INVESTMT
                                           OF         CUSIP       VALUE      PRN/   SH/   CALLD   OTHER      VOTING AUTHORITY
                                          CLASS                 (X$1000)     AMT    PRN  SCRETN  MANAGERS  SOLE    SHARED   NONE

                                                                                                

 AES CORP                                  COMM      00130H105       34       6,320   SH   SHARED                        6,320

 AOL TIME WARNER INC                       COMM      00184A105       27       1,830   SH   SHARED                        1,830

 AMERICAN TELEPHONE & TELEGRAPH CO.        COMM      001957109       86       8,050   SH   SHARED                        8,050

 ABBOTT LABORATORIES                       COMM      002824100    2,986      79,300   SH   SHARED                       79,300

 ABBOTT LABORATORIES                       COMM      002824100      136       3,610   SH   SHARED                        3,610

 ABBOTT LABORATORIES                       COMM      002824100    4,364     115,900   SH   SOLE             115,900

 ALBERTO-CULVER CO.                        COMM      013068101    4,063      85,000   SH   SHARED                       85,000

 ALBERTO-CULVER CO.                        COMM      013068101    5,975     125,000   SH   SOLE             125,000

 ALBERTSON'S, INC.                         COMM      013104104       87       2,850   SH   SHARED                        2,850

 ALCOA INC                                 COMM      013817101       65       1,950   SH   SHARED                        1,950

 ALCOA INC                                 COMM      013817101    2,591      78,150   SH   SOLE              78,150

 ALLEGHENY ENGY                            COMM      017361106       23         900   SH   SHARED                          900

 ALLEGHENY ENGY                            COMM      017361106    4,635     180,000   SH   SOLE             180,000

 ALLSTATE CORP.                            COMM      020002101       60       1,630   SH   SHARED                        1,630

 ALLTEL CORP.                              COMM      020039103       32         690   SH   SHARED                          690

 AMERICAN ELECTRIC POWER                   COMM      025537101       28         700   SH   SHARED               700

 AMERICAN EXPRESS COMPANY                  COMM      025816109    3,305      91,000   SH   SHARED                       91,000

 AMERICAN EXPRESS COMPANY                  COMM      025816109       36         980   SH   SHARED                          980

 AMERICAN EXPRESS COMPANY                  COMM      025816109    3,632     100,000   SH   SOLE             100,000

 AMERICAN INTERNATIONAL GROUP, INC.        COMM      026874107    7,866     115,290   SH   SHARED                      115,290

 AMERICAN INTERNATIONAL GROUP, INC.        COMM      026874107      415       6,080   SH   SHARED                        6,080

 AMERICAN INTERNATIONAL GROUP, INC.        COMM      026874107    7,684     112,617   SH   SOLE             112,617

 AMGEN INC.                                COMM      031162100    3,045      72,700   SH   SHARED                       72,700

 AMGEN INC.                                COMM      031162100      103       2,450   SH   SHARED                        2,450

 AMGEN INC.                                COMM      031162100    3,338      79,700   SH   SOLE              79,700

 ANHEUSER BUSCH COS. INC.                  COMM      035229103    3,635      72,700   SH   SHARED                       72,700

 ANHEUSER BUSCH COS. INC.                  COMM      035229103      102       2,030   SH   SHARED                        2,030

 ANHEUSER BUSCH COS. INC.                  COMM      035229103    4,000      80,000   SH   SOLE              80,000

 APPLIED MATERIALS, INC.                   COMM      038222105       71       3,740   SH   SHARED                        3,740

 ARCHER-DANIELS MIDLAND CO                 COMM      039483102       47       3,650   SH   SHARED                        3,650

 ASCENTIAL SOFTWARE CORP                   COMM      04362P108        3         987   SH   SOLE                 987

 ATMEL CORP.                               COMM      049513104    1,709     273,000   SH   SHARED                      273,000

 ATMEL CORP.                               COMM      049513104    1,878     300,000   SH   SOLE             300,000

 AUTODESK, INC                             COMM      052769106       29       2,180   SH   SHARED                        2,180

 AUTOMATIC DATA PROCESSING                 COMM      053015103       64       1,470   SH   SHARED                        1,470

 AUTOMATIC DATA PROCESSING                 COMM      053015103    2,247      51,600   SH   SOLE              51,600

 AUTOZONE, INC.                            COMM      053332102      136       1,760   SH   SHARED                        1,760

 AVON PRODUCTS                             COMM      054303102      294       5,630   SH   SHARED                        5,630

 BB&T CORP                                 COMM      054937107       37         960   SH   SHARED                          960

 BJ'S WHOLESALE                            COMM      05548J106       90       2,330   SH   SHARED                        2,330

 BP AMOCO PLC (ADR)                        COMM      055622104    3,261      64,596   SH   SHARED                       64,596

 BP AMOCO PLC (ADR)                        COMM      055622104    1,411      27,952   SH   SOLE              27,952

 BAKER HUGHES INC                          COMM      057224107    1,208      36,300   SH   SHARED                       36,300

 BAKER HUGHES INC                          COMM      057224107    1,332      40,000   SH   SOLE              40,000

 BANK OF AMERICA CORP                      COMM      060505104    8,331     118,400   SH   SHARED                      118,400

 BANK OF AMERICA CORP                      COMM      060505104      255       3,630   SH   SHARED                        3,630

 BANK OF AMERICA CORP                      COMM      060505104    9,114     129,540   SH   SOLE             129,540

 BANK OF NEW YORK CO., INC.                COMM      064057102       58       1,730   SH   SHARED                        1,730

 BANK ONE CORP.                            COMM      06423A103      103       2,680   SH   SHARED                        2,680

 BANK ONE CORP.                            COMM      06423A103    1,539      40,000   SH   SOLE              40,000

 BARRICK GOLD CORP                         COMM      067901108      760      40,000   SH   SOLE              40,000

 BAXTER INTERNATIONAL INC.                 COMM      071813109    3,409      76,700   SH   SHARED                       76,700

 BAXTER INTERNATIONAL INC.                 COMM      071813109       60       1,350   SH   SHARED                        1,350

 BAXTER INTERNATIONAL INC.                 COMM      071813109    3,541      79,670   SH   SOLE              79,670

 BELL SOUTH CORP.                          COMM      079860102      138       4,370   SH   SHARED                        4,370

 BERKSHIRE HATHAWAY A                      COMM      084670108    5,010          75   SH   SHARED                           75

 BERKSHIRE HATHAWAY A                      COMM      084670108      200           3   SH   SHARED                            3

 BERKSHIRE HATHAWAY A                      COMM      084670108    5,010          72   SH   SOLE                  72

 BIOMET INC.                               COMM      090613100       79       2,930   SH   SHARED                        2,930

 BIOVAIL                                   COMM      09067J109       84       2,890   SH   SHARED                         2,890

 BOEING COMPANY                            COMM      097023105       86       1,920   SH   SHARED                         1,920

 BORG WARNER INC.                          COMM      099724106       31         530   SH   SHARED                           530

 BRISTOL-MYERS SQUIBB CO.                  COMM      110122108      116       4,510   SH   SHARED                         4,510

 CABLEVISION SYSTEMS                       COMM      12686C109       34       3,600   SH   SHARED                        3,600

 CARDINAL HEALTH INC.                      COMM      14149Y108       63       1,030   SH   SHARED                        1,030

 CATERPILLAR INC                           COMM      149123101       39         800   SH   SHARED                          800

 CELESTICA                                 COMM      15101Q108    1,651      72,700   SH   SHARED                       72,700

 CELESTICA                                 COMM      15101Q108    1,817      80,000   SH   SOLE              80,000

 CENDANT CORP                              COMM      151313103       36       2,250   SH   SHARED                        2,250

 CHEVRONTEXACO CORP                        COMM      166764100    5,106      57,700   SH   SHARED                       57,700

 CHEVRONTEXACO CORP                        COMM      166764100      219       2,473   SH   SHARED                        2,473

 CHEVRONTEXACO CORP                        COMM      166764100    7,080      80,000   SH   SOLE              80,000

 CISCO SYSTEMS INC.                        COMM      17275R102    5,937     425,600   SH   SHARED                      425,600

 CISCO SYSTEMS INC.                        COMM      17275R102      237      16,960   SH   SHARED                       16,960

 CISCO SYSTEMS INC.                        COMM      17275R102    5,374     385,260   SH   SOLE             385,260

 CITIGROUP INC                             COMM      172967101    8,890     229,424   SH   SHARED                      229,424

 CITIGROUP INC                             COMM      172967101      463      11,960   SH   SHARED                       11,960

 CITIGROUP INC                             COMM      172967101   11,823     305,115   SH   SOLE             305,115

 CLEAR CHANNEL                             COMM      184502102    2,456      76,700   SH   SHARED                       76,700

 CLEAR CHANNEL                             COMM      184502102    2,562      80,000   SH   SOLE              80,000




 COCA COLA CO                              COMM      191216100    3,187      56,906   SH   SHARED                       56,906

 COCA COLA CO                              COMM      191216100      320       5,710   SH   SHARED                        5,710

 COCA COLA CO                              COMM      191216100    7,115     127,057   SH   SOLE             127,057

 COLGATE POLMOLIVE CO                      COMM      194162103       63       1,250   SH   SHARED                        1,250

 COMERICA INC                              COMM      200340107    3,543      57,700   SH   SHARED                       57,700

 COMERICA INC                              COMM      200340107    4,912      80,000   SH   SOLE              80,000

 COMMERCE BANCSH                           COMM      200525103       31         700   SH   SHARED                          700

 COMPUWARE CORP.                           COMM      205638109       28       4,540   SH   SHARED                        4,540

 CONCORD EFS INC.                          COMM      206197105      143       4,740   SH   SHARED                        4,740

 CONOCO INC                                COMM      208251504       39       1,400   SH   SHARED                        1,400

 COPART INC                                COMM      217204106       81       5,000   SH   SHARED                        5,000

 COSTCO WHOLESALE CORP                     COMM      22160K105      148       3,840   SH   SHARED                        3,840

 COSTCO WHOLESALE CORP                     COMM      22160K105    3,090      80,000   SH   SOLE              80,000

 DANAHER CORP                              COMM      235851102    3,623      54,600   SH   SHARED                       54,600

 DANAHER CORP                              COMM      235851102    3,981      60,000   SH   SOLE              60,000

 DELL COMPUTER CORP                        COMM      247025109    4,520     172,900   SH   SHARED                      172,900

 DELL COMPUTER CORP                        COMM      247025109      158       6,050   SH   SHARED                        6,050

 DELL COMPUTER CORP                        COMM      247025109    4,967     190,000   SH   SOLE             190,000

 DISNEY, WALT CO.                          COMM      254687106       89       4,690   SH   SHARED                        4,690

 DOW CHEMICAL COMPANY                      COMM      260543103       70       2,050   SH   SHARED                        2,050

 DU PONT E I DE NEMOURS AND CO.            COMM      263534109      107       2,400   SH   SHARED                        2,400

 DUKE ENERGY CORP                          COMM      264399106       59       1,890   SH   SHARED                        1,890

 DUKE ENERGY CORP                          COMM      264399106    3,042      97,820   SH   SOLE              97,820

 EBAY                                      COMM      278642103       57         930   SH   SHARED                          930

 EBIX.COM INC                              COMM      278715107        8      12,785   SH   SHARED                       12,785

 ECOLAB INC                                COMM      278865100    1,308      28,300   SH   SHARED                       28,300

 ECOLAB INC                                COMM      278865100    1,017      22,001   SH   SOLE              22,001

 EDWARDS (AG) INC                          COMM      281760108       40       1,020   SH   SHARED                        1,020

 EL PASO CORP                              COMM      28336L109       48       2,330   SH   SHARED                        2,330

 ELECTRONIC ARTS                           COMM      285512109    4,188      63,400   SH   SHARED                       63,400

 ELECTRONIC ARTS                           COMM      285512109    4,624      70,000   SH   SOLE              70,000

 ELECTRONIC DATA SYSTEMS                   COMM      285661104       43       1,150   SH   SHARED                        1,150

 EXXON MOBIL CORP                          COMM      30231G102   10,804     264,036   SH   SHARED                      264,036

 EXXON MOBIL CORP                          COMM      30231G102      650      15,890   SH   SHARED                       15,890

 EXXON MOBIL CORP                          COMM      30231G102   14,899     364,100   SH   SOLE             364,100

 FED HOME LOAN MTG CO.                     COMM      313400301    2,222      36,300   SH   SHARED                       36,300

 FED HOME LOAN MTG CO.                     COMM      313400301      100       1,630   SH   SHARED                        1,630

 FED HOME LOAN MTG CO.                     COMM      313400301    2,228      36,400   SH   SOLE              36,400

 (R) FEDERAL NATIONAL MORTGAGE             COMM      313586109    4,027      54,600   SH   SHARED                       54,600

 (R) FEDERAL NATIONAL MORTGAGE             COMM      313586109      179       2,421   SH   SHARED                        2,421

 (R) FEDERAL NATIONAL MORTGAGE             COMM      313586109    4,280      58,040   SH   SOLE              58,040

 FIFTH THIRD BANCORP.                      COMM      316773100       89       1,340   SH   SHARED                        1,340

 FIRST DATA CORPORATION                    COMM      319963104       65       1,740   SH   SHARED                        1,740

 FLEETBOSTON FINANCIAL                     COMM      339030108       77       2,380   SH   SHARED                        2,380

 FLUOR CORPORATION                         COMM      343412102       58       1,500   SH   SHARED                        1,500

 FOX ENTERTAINMENT GROUP                   COMM      35138T107    2,301     105,800   SH   SHARED                      105,800

 FOX ENTERTAINMENT GROUP                   COMM      35138T107    2,383     109,560   SH   SOLE             109,560

 GANNETT CO.                               COMM      364730101       47         620   SH   SHARED                          620

 GENENTECH                                 COMM      368710406    3,012      89,900   SH   SHARED                       89,900

 GENENTECH                                 COMM      368710406      147       4,400   SH   SHARED                        4,400

 GENENTECH                                 COMM      368710406    3,078      91,880   SH   SOLE              91,880

 GENL DYNAMICS                             COMM      369550108       50         470   SH   SHARED                          470

 GENERAL ELECTRIC CO.                      COMM      369604103   11,402     392,500   SH   SHARED                      392,500

 GENERAL ELECTRIC CO.                      COMM      369604103      663      22,820   SH   SHARED                       22,820

 GENERAL ELECTRIC CO.                      COMM      369604103   15,392     529,854   SH   SOLE             529,854

 GENERAL MILLS INC                         COMM      370334104      109       2,480   SH   SHARED                        2,480

 GENERAL MOTORS                            COMM      370442105      357       6,680   SH   SHARED                        6,680

 GENUINE PARTS                             COMM      372460105      182       5,210   SH   SHARED                        5,210

 GILLETTE CO.                              COMM      375766102       81       2,400   SH   SHARED                        2,400

 GOLDMAN SACHS GROUP                       COMM      38141G104       46         630  SH   SHARED                           630

 GOLDMAN SACHS GROUP                       COMM      38141G104    2,897      39,500   SH   SOLE              39,500

 GRAINGER, W. W. INC.                      COMM      384802104      212       4,240   SH   SHARED                        4,240

 HCA INC COM                               COMM      404119109    6,313     132,900   SH   SHARED                      132,900

 HCA INC COM                               COMM      404119109    8,385     176,530   SH   SOLE             176,530

 JOHN HANCOCK FINANCIAL                    COMM      41014S106      345       9,810   SH   SHARED                        9,810

 HARLEY-DAVIDSON                           COMM      412822108    3,727      72,700   SH   SHARED                       72,700

 HARLEY-DAVIDSON                           COMM      412822108    4,102      80,000   SH   SOLE              80,000

 HARTFORD FINANCIAL SERVICES GROUP         COMM      416515104      112       1,880   SH   SHARED                        1,880

 HOME DEPOT, INC.                          COMM      437076102    6,666     181,500   SH   SHARED                      181,500

 HOME DEPOT, INC.                          COMM      437076102      199       5,410   SH   SHARED                        5,410

 HOME DEPOT, INC.                          COMM      437076102    7,511     204,494   SH   SOLE             204,494

 HOMELAND HLDG CORP                        COMM      43739T104        0      20,379   SH   SHARED                       20,379

 HONEYWELL INTERNATIONAL                   COMM      438516106       67       1,890   SH   SHARED                        1,890

 HOUSEHOLD INTERNATIONAL, INC.             COMM      441815107       53       1,060   SH   SHARED                        1,060

 IKON OFFICE SOLUTIONS                     COMM      451713101      121      12,850   SH   SHARED                       12,850

 ILLINOIS TOOL WORKS INC                   COMM      452308109       47         690   SH   SHARED                          690

 INTEL CORP                                COMM      458140100    4,916     269,060   SH   SHARED                      269,060

 INTEL CORP                                COMM      458140100      282      15,450   SH   SHARED                       15,450

 INTEL CORP                                COMM      458140100    5,575     305,120   SH   SOLE             305,120

 INTERNATIONAL BUSINESS MACHINES CORP CAP  COMM      459200101    2,786      38,700   SH   SHARED                       38,700

 INTERNATIONAL BUSINESS MACHINES CORP CAP  COMM      459200101      286       3,970   SH   SHARED                        3,970

 INTERNATIONAL BUSINESS MACHINES CORP CAP  COMM      459200101    5,760      80,000   SH   SOLE              80,000

 INTERNATIONAL PAPER CO                    COMM      460146103    3,251      74,600   SH   SHARED                       74,600

 INTERNATIONAL PAPER CO                    COMM      460146103       49       1,120   SH   SHARED                        1,120

 INTERNATIONAL PAPER CO                    COMM      460146103    2,519      57,810   SH   SOLE              57,810




 JP MORGAN CHASE & CO                      COMM      46625H100    1,598      47,100   SH   SHARED                       47,100

 JP MORGAN CHASE & CO                      COMM      46625H100      165       4,876   SH   SHARED                        4,876

 JP MORGAN CHASE & CO                      COMM      46625H100    1,720      50,721   SH   SOLE              50,721

 JOHNSON & JOHNSON                         COMM      478160104    7,991     152,900   SH   SHARED                      152,900

 JOHNSON & JOHNSON                         COMM      478160104      369       7,060   SH   SHARED                        7,060

 JOHNSON & JOHNSON                         COMM      478160104    9,865     188,762   SH   SOLE             188,762

 JOHNSON CONTROL                           COMM      478366107       91       1,120   SH   SHARED                        1,120

 KLA-TENCOR CORP                           COMM      482480100       62       1,400   SH   SHARED                        1,400

 KAUFMAN & BROAD HOME CORP.                COMM      48666K109       37         710   SH   SHARED                          710

 KENNAMETAL INC                            COMM      489170100    2,562      70,000   SH   SHARED                       70,000

 KIMBERLY-CLARK CORP.                      COMM      494368103       74       1,190   SH   SHARED                        1,190

 KNIGHT RIDDER INC                         COMM      499040103    2,291      36,400   SH   SHARED                       36,400

 KNIGHT RIDDER INC                         COMM      499040103    2,455      39,000   SH   SOLE              39,000

 KOHL'S CORP.                              COMM      500255104    5,095      72,700   SH   SHARED                       72,700

 KOHL'S CORP.                              COMM      500255104    5,606      80,000   SH   SOLE              80,000

 LA Z BOY INC                              COMM      505336107      104       4,110   SH   SHARED                        4,110

 LAFARGE CORP                              COMM      505862102       95       2,700   SH   SHARED                        2,700

 LAMAR ADVERTISING                         COMM      512815101    1,782      47,900   SH   SHARED                       47,900

 LAMAR ADVERTISING                         COMM      512815101    1,861      50,000   SH   SOLE              50,000

 ESTEE LAUDER COS. INC.                    COMM      518439104    5,065     143,900   SH   SHARED                      143,900

 ESTEE LAUDER COS. INC.                    COMM      518439104    6,350     180,400   SH   SOLE             180,400

 LEAR SEATING                              COMM      521865105      195       4,220   SH   SHARED                        4,220

 LILLY, ELI & CO.                          COMM      532457108      147       2,610   SH   SHARED                        2,610

 LINCOLN NATL-IN                           COMM      534187109      138       3,280   SH   SHARED                        3,280

 LOCKHEED MARTIN CORP.                     COMM      539830109    3,795      54,600   SH   SHARED                       54,600

 LOCKHEED MARTIN CORP.                     COMM      539830109       72       1,030   SH   SHARED                        1,030

 LOCKHEED MARTIN CORP.                     COMM      539830109    4,170      60,000   SH   SOLE              60,000

 LOWE'S COMPANIES INC.                     COMM      548661107       83       1,820   SH   SHARED                        1,820

 MBNA CORP.                                COMM      55262L100    5,796     175,250   SH   SHARED                      175,250

 MBNA CORP.                                COMM      55262L100       67       2,020   SH   SHARED                        2,020

 MBNA CORP.                                COMM      55262L100    6,246     188,862   SH   SOLE             188,862

 MAGNA INTERNATIONAL                       COMM      559222401       34         500   SH   SHARED                          500

 MARSH & MCLENNAN COS INC                  COMM      571748102       62         640   SH   SHARED                          640

 MARRIOTT INTERNATIONAL (A)                COMM      571903202    2,283      60,000   SH   SOLE              60,000

 MATTEL, INC.                              COMM      577081102    4,321     205,000   SH   SHARED                      205,000

 MATTEL, INC.                              COMM      577081102    4,216     200,000   SH   SOLE             200,000

 MCDONALD'S CORP                           COMM      580135101       83       2,920   SH   SHARED                        2,920

 MEDICIS PHARMACEUTICAL CORP CL A          COMM      584690309       51       1,200   SH   SHARED                        1,200

 MEDTRONIC INC                             COMM      585055106    2,627      61,300   SH   SHARED                       61,300

 MEDTRONIC INC                             COMM      585055106      122       2,840   SH   SHARED                        2,840

 MEDTRONIC INC                             COMM      585055106    2,703      63,084   SH   SOLE              63,084

 MERCK AND CO INC                          COMM      589331107      266       5,250   SH   SHARED                        5,250

 MERCK AND CO INC                          COMM      589331107    3,074      60,700   SH   SOLE              60,700

 MERCURY INTERACTIVE CORP.                 COMM      589405109    1,185      51,600   SH   SHARED                       51,600

 MERCURY INTERACTIVE CORP.                 COMM      589405109    2,066      90,000   SH   SOLE              90,000

 MERRILL LYNCH & CO.                       COMM      590188108    4,248     104,900   SH   SHARED                      104,900

 MERRILL LYNCH & CO.                       COMM      590188108       80       1,980   SH   SHARED                        1,980

 MERRILL LYNCH & CO.                       COMM      590188108    4,468     110,320   SH   SOLE             110,320

 METLIFE INC                               COMM      59156R108      218       7,570   SH   SHARED                        7,570

 MICROSOFT CORP.                           COMM      594918104   10,649     194,680   SH   SHARED                      194,680

 MICROSOFT CORP.                           COMM      594918104      681      12,450   SH   SHARED                       12,450

 MICROSOFT CORP.                           COMM      594918104   14,647     267,772   SH   SOLE             267,772

 MICRON TECHNOLOGY INC                     COMM      595112103    1,213      60,000   SH   SOLE              60,000

 MIDCAP SPDR TRUST SERIES 1                COMM      595635103    7,209      80,500   SH   SHARED                       80,500

 MIDCAP SPDR TRUST SERIES 1                COMM      595635103   18,626     208,000   SH   SOLE             208,000

 MORGAN STANLEY                            COMM      617446448    3,132      72,700   SH   SHARED                       72,700

 MORGAN STANLEY                            COMM      617446448      111       2,567   SH   SHARED                        2,567

 MORGAN STANLEY                            COMM      617446448    3,446      80,000   SH   SOLE              80,000

 MOTOROLA INC                              COMM      620076109       51       3,480   SH   SHARED                        3,480

 NASDAQ - 100 SHARES                       COMM      631100104    3,624     138,850   SH   SOLE             138,850

 NIKE INC CLASS B                          COMM      654106103      215       4,000   SH   SHARED                        4,000

 NOKIA CORP. ADR                           COMM      654902204    1,665     115,000   SH   SHARED                      115,000

 NOKIA CORP. ADR                           COMM      654902204      507      35,000   SH   SOLE              35,000

 NORTEL NETWORK CORPORATION                COMM      656568102       35      23,930   SH   SHARED                       23,930

 NOVELLUS SYSTEMS INC                      COMM      670008101       92       2,700   SH   SHARED                        2,700

 OFFICE DEPOT                              COMM      676220106       52       3,070   SH   SHARED                        3,070

 ORACLE CORPORATION                        COMM      68389X105      264      27,890   SH   SHARED                       27,890

 OWENS ILLINOIS INC.                       COMM      690768403       53       3,890   SH   SHARED                        3,890

 PARKER HANNIFIN CORP.                     COMM      701094104    4,029      84,300   SH   SOLE              84,300

 PEOPLESOFT, INC.                          COMM      712713106      105       7,050   SH   SHARED                        7,050

 PEPSI BOTTLING GROUP                      COMM      713409100    1,682      54,600   SH   SHARED                       54,600

 PEPSI BOTTLING GROUP                      COMM      713409100    1,848      60,000   SH   SOLE              60,000

 PEPSICO INC                               COMM      713448108    6,030     125,100   SH   SHARED                      125,100

 PEPSICO INC                               COMM      713448108      195       4,054   SH   SHARED                        4,054

 PEPSICO INC                               COMM      713448108    7,630     158,291   SH   SOLE             158,291

 (R) PETROCORP INC.                        COMM      71645N101    8,300   1,731,000   SH   SHARED                    1,731,000

 PFIZER INC                                COMM      717081103   10,236     292,450   SH   SHARED                      292,450

 PFIZER INC                                COMM      717081103      512      14,620   SH   SHARED                       14,620

 PFIZER INC                                COMM      717081103   11,991     342,590   SH   SOLE              342,590

 PHARMACEUTICAL PROD DEV INC               COMM      717124101       53       2,000   SH   SHARED                        2,000

 PHARMACIA CORP.                           COMM      71713U102    2,337      62,400   SH   SHARED                       62,400

 PHARMACIA CORP.                           COMM      71713U102      111       2,970   SH   SHARED                        2,970

 PHARMACIA CORP.                           COMM      71713U102    2,562      68,400   SH   SOLE              68,400

 PHELPS DODGE CO                           COMM      717265102    2,732      66,300   SH   SHARED                       66,300

 PHELPS DODGE CO                           COMM      717265102    1,648      40,000   SH   SOLE              40,000




 PHILIP MORRIS COS INC                     COMM      718154107    4,259      97,500   SH   SHARED                       97,500

 PHILIP MORRIS COS INC                     COMM      718154107      218       5,000   SH   SHARED                        5,000

 PHILIP MORRIS COS INC                     COMM      718154107    6,085     139,320   SH   SOLE             139,320

 PHILLIPS PETROLEUM                        COMM      718507106       52         890   SH   SHARED                          890

 PRINCIPAL FINANCIAL GROUP                 COMM      74251V102    1,612      52,000   SH   SOLE              52,000

 PROCTER AND GAMBLE                        COMM      742718109    5,662      63,400   SH   SHARED                       63,400

 PROCTER AND GAMBLE                        COMM      742718109    263         2,950   SH   SHARED                        2,950

 PROCTER AND GAMBLE                        COMM      742718109    6,116      68,490   SH   SOLE              68,490

 PRUDENTIAL FINANCIAL INC                  COMM      744320102    2,452      73,500   SH   SHARED                       73,500

 PRUDENTIAL FINANCIAL INC                  COMM      744320102    2,986      89,500   SH   SOLE              89,500

 PUBLIC STORAGE INC                        COMM      74460D109      204       5,510   SH   SHARED                        5,510

 ROBT HALF INTL                            COMM      770323103       30       1,290   SH   SHARED                        1,290

 ROYAL DUTCH PETROLEUM CO.                 COMM      780257804    5,030      91,000   SH   SHARED                       91,000

 ROYAL DUTCH PETROLEUM CO.                 COMM      780257804      268       4,850   SH   SHARED                        4,850

 ROYAL DUTCH PETROLEUM CO.                 COMM      780257804    5,527     100,000   SH   SOLE             100,000

 SBC COMMUNICATIONS INC.                   COMM      78387G103    3,299     108,161   SH   SHARED                      108,161

 SBC COMMUNICATIONS INC.                   COMM      78387G103      236       7,750   SH   SHARED                        7,750

 SBC COMMUNICATIONS INC.                   COMM      78387G103    4,178     136,985   SH   SOLE             136,985

 SK TELECOM CO. LTD. ADR                   COMM      78440P108    1,487      60,000   SH   SHARED                       60,000

 SK TELECOM CO. LTD. ADR                   COMM      78440P108      645      26,000   SH   SOLE              26,000

 SAFEWAY INC.                              COMM      786514208       35       1,210   SH   SHARED                        1,210

 SAMSUNG ELECTRONICS -GDR (SMSN)           COMM      796050888      820       6,000   SH   SHARED                        6,000

 SAMSUNG ELECTRONICS -GDR (SMSN)           COMM      796050888      342       2,500   SH   SOLE               2,500

 SARA LEE CORP.                            COMM      803111103      116       5,600   SH   SHARED                        5,600

 SCHERING PLOUGH CORP                      COMM      806605101       85       3,450   SH   SHARED                        3,450

 SCHLUMBERGER LTD                          COMM      806857108       60       1,300   SH   SHARED                        1,300

 SCHLUMBERGER LTD                          COMM      806857108    3,720      80,000   SH   SOLE              80,000

 SEALED AIR CORP                           COMM      81211K100      123       3,050   SH   SHARED                        3,050

 TECHNOLOGY SELECT SECT SPDR               COMM      81369Y803    5,758     364,000   SH   SHARED                      364,000

 TECHNOLOGY SELECT SECT SPDR               COMM      81369Y803    6,328     400,000   SH   SOLE             400,000

 SELECT COMFORT COMMON STOCK               COMM      81616*106   15,911   4,886,022   SH   SHARED                    4,886,022

 SHERWIN-WILLIAMS CO                       COMM      824348106      106       3,550   SH   SHARED                        3,550

 JM SMUCKER CO/THE                         COMM      832696405        2          59   SH   SHARED                           59

 SOUTHERN COMPANY                          COMM      842587107    3,494     127,500   SH   SHARED                      127,500

 SOUTHERN COMPANY                          COMM      842587107    3,836     140,000   SH   SOLE             140,000

 SOUTHWEST AIRLINES CO.                    COMM      844741108    3,232     200,000   SH   SOLE             200,000

 STANLEY WORKS                             COMM      854616109       49       1,200   SH   SHARED                        1,200

 STARWOOD HOTELS & RESORTS TRUST           COMM      85590A203    3,595     109,300   SH   SHARED                      109,300

 STARWOOD HOTELS & RESORTS TRUST           COMM      85590A203    3,947     120,000   SH   SOLE             120,000

 STMICROELECTRONICS NV - NY SHS            COMM      861012102       27       1,090   SH   SHARED                        1,090

 STORAGE TECHNOLOGY CORP.                  COMM      862111200       31       1,930   SH   SHARED                        1,930

 SUN MICROSYSTEMS INC                      COMM      866810104       38       7,590   SH   SHARED                        7,590

 SUPERVALU INC                             COMM      868536103       81       3,300   SH   SHARED                        3,300

 SYSCO CORP                                COMM      871829107       42       1,550   SH   SHARED                        1,550

 TEXAS UTILITIES                           COMM      873168108       31         600   SH   SHARED                          600

 TAIWAN SEMICONDUCTOR LTD (ADR)            COMM      874039100    2,787     214,390   SH   SHARED                      214,390

 TAIWAN SEMICONDUCTOR LTD (ADR)            COMM      874039100    1,453     111,760   SH   SOLE             111,760

 TARGET CORP                               COMM      87612E106    1,985      52,100   SH   SHARED                       52,100

 TARGET CORP                               COMM      87612E106       78       2,050   SH   SHARED                        2,050

 TARGET CORP                               COMM      87612E106    2,448      64,250   SH   SOLE              64,250

 TENET HEALTHCARE CORP                     COMM      88033G100    4,772      66,700   SH   SHARED                       66,700

 TENET HEALTHCARE CORP                     COMM      88033G100       58         810   SH   SHARED                          810

 TENET HEALTHCARE CORP                     COMM      88033G100    5,724      80,000   SH   SOLE              80,000

 TEXAS INSTRUMENT                          COMM      882508104    2,157      91,000   SH   SHARED                       91,000

 TEXAS INSTRUMENT                          COMM      882508104       68       2,880   SH   SHARED                        2,880

 TEXAS INSTRUMENT                          COMM      882508104    2,370     100,000   SH   SOLE             100,000

 3M COMPANY                                COMM      88579Y101    2,226      18,100   SH   SHARED                       18,100

 3M COMPANY                                COMM      88579Y101      108         880   SH   SHARED                          880

 3M COMPANY                                COMM      88579Y101    2,448      19,900   SH   SOLE              19,900

 TIDEWATER INC.                            COMM      886423102      135       4,090   SH   SHARED                        4,090

 TORCHMARK                                 COMM      891027104      111       2,900   SH   SHARED                        2,900

 TYCO INTERNATIONAL LTD.                   COMM      902124106       63       4,680   SH   SHARED                        4,680

 UST INC.                                  COMM      902911106       55       1,630   SH   SHARED                        1,630

 US BANCORP - NEW                          COMM      902973304      104       4,434   SH   SHARED                        4,434

 USA INTERACTIVE                           COMM      902984103    3,656     155,900   SH   SHARED                      155,900

 USA INTERACTIVE                           COMM      902984103    3,752     160,000   SH   SOLE             160,000

 UNION PACIFIC CORP.                       COMM      907818108    3,771      59,600   SH   SOLE              59,600

 UNITED BANKSHARES INC WEST                COMM      909907107       59       2,000   SH   SHARED                        2,000

 UNITED MICROELECTRONICS - ADR             COMM      910873207    1,838     250,000   SH   SHARED                      250,000

 UNITED PARCEL SERVICE                     COMM      911312106    2,569      41,600   SH   SHARED                       41,600

 UNITED PARCEL SERVICE                     COMM      911312106    5,435      88,010   SH   SOLE              88,010

 UNITED TECHNOLOGIES CORP.                 COMM      913017109    3,076      45,300   SH   SHARED                       45,300

 UNITED TECHNOLOGIES CORP.                 COMM      913017109       75       1,100   SH   SHARED                        1,100

 UNITED TECHNOLOGIES CORP.                 COMM      913017109    3,395      50,000   SH   SOLE              50,000

 UNITEDHEALTHCARE GROUP                    COMM      91324P102       66         720   SH   SHARED                          720

 UNIVISION COMM                            COMM      914906102    2,355      75,000   SH   SHARED                       75,000

 VERIZON COMMUNICATIONS                    COMM      92343V104    2,504      62,370   SH   SHARED                       62,370

 VERIZON COMMUNICATIONS                    COMM      92343V104      253       6,300   SH   SHARED                        6,300

 VERIZON COMMUNICATIONS                    COMM      92343V104    7,759     193,241   SH   SOLE             193,241

 VIACOM INC. CL B                          COMM      925524308    3,860      87,000   SH   SHARED                       87,000

 VIACOM INC. CL B                          COMM      925524308    5,245     118,200   SH   SOLE             118,200

 WAL-MART STORES INC                       COMM      931142103   12,377     225,000   SH   SHARED                      225,000

 WAL-MART STORES INC                       COMM      931142103      566      10,280   SH   SHARED                       10,280

 WAL-MART STORES INC                       COMM      931142103   14,556     264,608   SH   SOLE             264,608

 WALGREEN CO.                              COMM      931422109    4,856     125,700   SH   SHARED                      125,700




 WALGREEN CO.                              COMM      931422109       90       2,340   SH   SHARED                        2,340

 WALGREEN CO.                              COMM      931422109    6,169     159,700   SH   SOLE             159,700

 WASHINGTON MUTUAL INC                     COMM      939322103    1,421      38,300   SH   SHARED                       38,300

 WASHINGTON MUTUAL INC                     COMM      939322103       82       2,210   SH   SHARED                        2,210

 WASHINGTON MUTUAL INC                     COMM      939322103    1,484      40,000   SH   SOLE              40,000

 WEIGHT WATCHERS INTL INC                  COMM      948626106    1,303      30,000   SH   SOLE              30,000

 WELLS FARGO & CO                          COMM      949746101    4,555      91,000   SH   SHARED                       91,000

 WELLS FARGO & CO                          COMM      949746101      196       3,910   SH   SHARED                        3,910

 WELLS FARGO & CO                          COMM      949746101    5,006     100,000   SH   SOLE             100,000

 WM WRIGLEY JR. CO.                        COMM      982526105      137       2,480   SH   SHARED                        2,480

 WYETH CORP                                COMM      983024100    4,936      96,400   SH   SHARED                       96,400

 WYETH CORP                                COMM      983024100      157       3,060   SH   SHARED                        3,060

 WYETH CORP                                COMM      983024100    5,199     101,540   SH   SOLE             101,540

 EXCEL ENERGY INC                          COMM      98389B100       38       2,270   SH   SHARED                        2,270

 XILINX INC                                COMM      983919101       42       1,880   SH   SHARED                        1,880

 ACE LTD.                                  COMM      G0070K103      221       7,000   SH   SHARED                        7,000

 INGERSOLL-RAND CO                         COMM      G4776G101    4,155      91,000   SH   SHARED                       91,000

 INGERSOLL-RAND CO                         COMM      G4776G101    4,566     100,000   SH   SOLE             100,000

 TOMMY HILFIGER CORP.                      COMM      G8915Z102       78       5,420   SH   SHARED                        5,420

 XL CAPITAL LTD - CLASS A                  COMM      G98255105      255       3,010   SH   SHARED                        3,010