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, 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, November 1, 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:           310
Form 13F Information Table Value Total:      $668,418

List of Other Included Managers:

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







                                                                   FORM 13F INFORMATION TABLE

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

 AFLAC INC                                COMM     001055102      96       3,130 SH       SOLE                  3,130
 AGCO CORP                                COMM     001084102   2,267      97,700 SH       SOLE                 97,700
 AOL TIME WARNER INC                      COMM     00184A105     110       9,430 SH       SOLE                  9,430
 AMERICAN TELEPHONE & TELEGRAPH CO.       COMM     001957109      44       3,670 SH       SOLE                  3,670
 ABBOTT LABORATORIES                      COMM     002824100     384       9,510 SH       SOLE                  9,510
 AEGON NV                                 COMM     007924103     204      21,680 SH       SOLE                 21,680
 ALBERTO-CULVER CO.                       COMM     013068101   3,677      75,000 SH       SHARED                          75,000
 ALBERTO-CULVER CO.                       COMM     013068101   6,129     125,000 SH       SOLE                125,000
 ALCOA INC                                COMM     013817101     102       5,280 SH       SOLE                  5,280
 ALLEGHENY ENGY                           COMM     017361106      65       4,940 SH       SOLE                  4,940
 ALLSTATE CORP.                           COMM     020002101     151       4,240 SH       SOLE                  4,240
 AMBAC FINL INC                           COMM     023139108     168       3,110 SH       SOLE                  3,110
 AMERICAN EXPRESS COMPANY                 COMM     025816109   2,837      91,000 SH       SHARED                          91,000
 AMERICAN EXPRESS COMPANY                 COMM     025816109   3,497     112,140 SH       SOLE                112,140
 AMERICAN INTERNATIONAL GROUP, INC.       COMM     026874107   6,306     115,290 SH       SHARED                         115,290
 AMERICAN INTERNATIONAL GROUP, INC.       COMM     026874107   9,121     166,737 SH       SOLE                166,737
 AMERICREDIT CORP.                        COMM     03060R101      63       7,850 SH       SOLE                  7,850
 AMGEN INC.                               COMM     031162100   3,032      72,700 SH       SHARED                          72,700
 AMGEN INC.                               COMM     031162100   3,650      87,540 SH       SOLE                 87,540
 AMSOUTH BANCORPORATION                   COMM     032165102     151       7,300 SH       SOLE                  7,300
 ANHEUSER BUSCH COS. INC.                 COMM     035229103   2,783      55,000 SH       SHARED                          55,000
 ANHEUSER BUSCH COS. INC.                 COMM     035229103   4,312      85,210 SH       SOLE                 85,210
 ANNALY MORTGAGE MANAGEMENT               COMM     035710409     244      13,220 SH       SOLE                 13,220
 ANTHEM, INC.                             COMM     03674B104   2,600      40,000 SH       SHARED                          40,000
 ANTHEM, INC.                             COMM     03674B104   3,640      56,000 SH       SOLE                 56,000
 APACHE CORP                              COMM     037411105   3,389      57,000 SH       SHARED                          57,000
 APACHE CORP                              COMM     037411105   4,632      77,920 SH       SOLE                 77,920
 APPLIED MATERIALS, INC.                  COMM     038222105     126      10,870 SH       SOLE                 10,870
 ASTRAZENECA PLC ADR                      COMM     046353108     130       4,260 SH       SOLE                  4,260
 AUTOLIV INC                              COMM     052800109      98       4,650 SH       SOLE                  4,650
 AVNET, INC.                              COMM     053807103      74       6,840 SH       SOLE                  6,840
 BB&T CORP                                COMM     054937107     102       2,910 SH       SOLE                  2,910
 BP AMOCO PLC (ADR)                       COMM     055622104   2,378      59,596 SH       SHARED                          59,596
 BP AMOCO PLC (ADR)                       COMM     055622104   1,320      33,072 SH       SOLE                 33,072
 BALL CORP.                               COMM     058498106   1,512      30,000 SH       SHARED                          30,000
 BALL CORP.                               COMM     058498106   4,031      80,000 SH       SOLE                 80,000
 BANK OF AMERICA CORP                     COMM     060505104   6,221      97,500 SH       SHARED                          97,500
 BANK OF AMERICA CORP                     COMM     060505104   8,866     138,970 SH       SOLE                138,970
 BANK OF NEW YORK CO., INC.               COMM     064057102     130       4,510 SH       SOLE                  4,510
 BANK ONE CORP.                           COMM     06423A103     271       7,240 SH       SOLE                  7,240
 BAXTER INTERNATIONAL INC.                COMM     071813109     122       3,980 SH       SOLE                  3,980
 BEAR STEARNS COMPANIES, INC.             COMM     073902108      45         800 SH       SOLE                    800
 BELL SOUTH CORP.                         COMM     079860102      38       2,050 SH       SOLE                  2,050
 BERKSHIRE HATHAWAY A                     COMM     084670108   5,247          71 SH       SHARED                              71
 BERKSHIRE HATHAWAY A                     COMM     084670108   5,764          75 SH       SOLE                     75
 BLACK & DECKER CORP.                     COMM     091797100      74       1,770 SH       SOLE                  1,770
 BLOCK H & R                              COMM     093671105      83       1,980 SH       SOLE                  1,980
 BOEING COMPANY                           COMM     097023105     173       5,080 SH       SOLE                  5,080
 BOSTON SCIENTIFIC CORP.                  COMM     101137107   2,619      83,000 SH       SHARED                          83,000
 BOSTON SCIENTIFIC CORP.                  COMM     101137107   4,134     131,000 SH       SOLE                131,000
 BRISTOL-MYERS SQUIBB CO.                 COMM     110122108      85       3,590 SH       SOLE                  3,590
 CIGNA CORP.                              COMM     125509109     135       1,910 SH       SOLE                  1,910
 CSX CORP                                 COMM     126408103     120       4,530 SH       SOLE                  4,530
 CANADIAN NATL RAILWAY COL                COMM     136375102      94       2,530 SH       SOLE                  2,530
 CARDINAL HEALTH INC.                     COMM     14149Y108     170       2,740 SH       SOLE                  2,740
 CARNIVAL CRUISE LINES INC.               COMM     143658102     395      15,750 SH       SOLE                 15,750
 CATERPILLAR INC                          COMM     149123101      82       2,190 SH       SOLE                  2,190
 CELESTICA                                COMM     15101Q108   1,738     132,700 SH       SHARED                         132,700
 CELESTICA                                COMM     15101Q108   2,057     157,000 SH       SOLE                157,000
 CENDANT CORP                             COMM     151313103      71       6,620 SH       SOLE                  6,620
 CENTEX CORP.                             COMM     152312104      57       1,280 SH       SOLE                  1,280
 CERIDIAN CORP NEW                        COMM     156779100      63       4,390 SH       SOLE                  4,390
 CHEVRONTEXACO CORP                       COMM     166764100   3,303      47,700 SH       SHARED                          47,700
 CHEVRONTEXACO CORP                       COMM     166764100   5,992      86,530 SH       SOLE                 86,530
 CISCO SYSTEMS INC.                       COMM     17275R102   2,393     228,300 SH       SHARED                         228,300
 CISCO SYSTEMS INC.                       COMM     17275R102   4,429     422,660 SH       SOLE                422,660
 CITIGROUP INC                            COMM     172967101   4,193     141,424 SH       SHARED                         141,424
 CITIGROUP INC                            COMM     172967101  10,426     351,645 SH       SOLE                351,645
 CLEAR CHANNEL                            COMM     184502102   2,665      76,700 SH       SHARED                          76,700
 CLEAR CHANNEL                            COMM     184502102   2,780      80,000 SH       SOLE                 80,000
 COACH                                    COMM     189754104      79       3,100 SH       SOLE                  3,100
 COCA COLA CO                             COMM     191216100   2,729      56,906 SH       SHARED                          56,906
 COCA COLA CO                             COMM     191216100   6,825     142,307 SH       SOLE                142,307
 COLGATE POLMOLIVE CO                     COMM     194162103     179       3,320 SH       SOLE                  3,320
 COMERICA INC                             COMM     200340107      84       1,750 SH       SOLE                  1,750
 CONOCOPHILLIPS                           COMM     20825C104     187       4,050 SH       SOLE                  4,050
 COSTCO WHOLESALE CORP                    COMM     22160K105      89       2,760 SH       SOLE                  2,760
 COUNTRYWIDE CREDIT INS. INC.             COMM     222372104     108       2,300 SH       SOLE                  2,300
 DR HORTON INC.                           COMM     23331A109      59       3,160 SH       SOLE                  3,160
 DANAHER CORP                             COMM     235851102   3,104      54,600 SH       SHARED                          54,600



 DANAHER CORP                             COMM     235851102   3,527      62,040 SH       SOLE                 62,040
 DEAN FOODS                               COMM     242370104   1,870      47,000 SH       SHARED                          47,000
 DEAN FOODS                               COMM     242370104   4,694     118,000 SH       SOLE                118,000
 DELL COMPUTER CORP                       COMM     247025109   4,065     172,900 SH       SHARED                         172,900
 DELL COMPUTER CORP                       COMM     247025109   4,926     209,530 SH       SOLE                209,530
 DOLE FOOD CO., INC.                      COMM     256605106     480      16,540 SH       SOLE                 16,540
 DOLLAR GENERAL CORP.                     COMM     256669102      89       6,640 SH       SOLE                  6,640
 DOMINION RESOURCES INC.                  COMM     25746U109      87       1,720 SH       SOLE                  1,720
 DOW CHEMICAL COMPANY                     COMM     260543103     151       5,540 SH       SOLE                  5,540
 DU PONT E I DE NEMOURS AND CO.           COMM     263534109     223       6,180 SH       SOLE                  6,180
 DUKE ENERGY CORP                         COMM     264399106     100       5,110 SH       SOLE                  5,110
 EASTMAN KODAK CO.                        COMM     277461109      71       2,610 SH       SOLE                  2,610
 EBIX.COM INC                             COMM     278715107      46      12,785 SH       SHARED                          12,785
 ECOLAB INC                               COMM     278865100   3,017      72,300 SH       SHARED                          72,300
 ECOLAB INC                               COMM     278865100   3,985      95,501 SH       SOLE                 95,501
 ELECTRONIC ARTS                          COMM     285512109   1,543      23,400 SH       SHARED                          23,400
 ELECTRONIC ARTS                          COMM     285512109   4,617      70,000 SH       SOLE                 70,000
 EMERSON ELECTRIC COMPANY                 COMM     291011104     110       2,510 SH       SOLE                  2,510
 EXELON CORPORATION                       COMM     30161N101      95       1,990 SH       SOLE                  1,990
 EXXON MOBIL CORP                         COMM     30231G102   8,231     258,036 SH       SHARED                         258,036
 EXXON MOBIL CORP                         COMM     30231G102  12,946     405,830 SH       SOLE                405,830
 FAIRCHILD SEMICON INTL                   COMM     303726103     197      20,770 SH       SOLE                 20,770
 FAMILY DOLLAR                            COMM     307000109      77       2,880 SH       SOLE                  2,880
 FED HOME LOAN MTG CO.                    COMM     313400301   2,868      51,300 SH       SHARED                          51,300
 FED HOME LOAN MTG CO.                    COMM     313400301   4,081      73,000 SH       SOLE                 73,000
 (R) FEDERAL NATIONAL MORTGAGE            COMM     313586109   3,251      54,600 SH       SHARED                          54,600
 (R) FEDERAL NATIONAL MORTGAGE            COMM     313586109       6         101 SH       SHARED                             101
 (R) FEDERAL NATIONAL MORTGAGE            COMM     313586109   4,189      70,360 SH       SOLE                 70,360
 FEDERATED DEPT. STORES, INC.             COMM     31410H101      85       2,900 SH       SOLE                  2,900
 FIFTH THIRD BANCORP.                     COMM     316773100     225       3,680 SH       SOLE                  3,680
 FIRST DATA CORPORATION                   COMM     319963104     132       4,710 SH       SOLE                  4,710
 FLEETBOSTON FINANCIAL                    COMM     339030108     133       6,520 SH       SOLE                  6,520
 GANNETT CO.                              COMM     364730101     119       1,650 SH       SOLE                  1,650
 GENENTECH                                COMM     368710406   1,465      44,900 SH       SHARED                          44,900
 GENENTECH                                COMM     368710406   3,058      93,710 SH       SOLE                 93,710
 GENL DYNAMICS                            COMM     369550108     288       3,540 SH       SOLE                  3,540
 GENERAL ELECTRIC CO.                     COMM     369604103   8,936     362,500 SH       SHARED                         362,500
 GENERAL ELECTRIC CO.                     COMM     369604103  14,575     591,294 SH       SOLE                591,294
 GENERAL GROWTH PROPERTIES, INC.          COMM     370021107      52       1,000 SH       SOLE                  1,000
 GENERAL MILLS INC                        COMM     370334104      98       2,210 SH       SOLE                  2,210
 GENERAL MOTORS                           COMM     370442105     139       3,570 SH       SOLE                  3,570
 GILLETTE CO.                             COMM     375766102     188       6,350 SH       SOLE                  6,350
 GOLDMAN SACHS GROUP                      COMM     38141G104     190       2,880 SH       SOLE                  2,880
 GRAINGER, W. W. INC.                     COMM     384802104     268       6,300 SH       SOLE                  6,300
 GREENPOINT FINL                          COMM     395384100      71       1,690 SH       SOLE                  1,690
 HCA INC COM                              COMM     404119109   3,247      68,200 SH       SHARED                          68,200
 HCA INC COM                              COMM     404119109   8,405     176,530 SH       SOLE                176,530
 JOHN HANCOCK FINANCIAL                   COMM     41014S106     235       8,460 SH       SOLE                  8,460
 HARLEY-DAVIDSON                          COMM     412822108   3,377      72,700 SH       SHARED                          72,700
 HARLEY-DAVIDSON                          COMM     412822108   4,599      99,000 SH       SOLE                 99,000
 HARSCO CORP                              COMM     415864107     112       4,110 SH       SOLE                  4,110
 HARTFORD FINANCIAL SERVICES GROUP        COMM     416515104     116       2,820 SH       SOLE                  2,820
 HEALTHSOUTH CORP.                        COMM     421924101      88      21,140 SH       SOLE                 21,140
 HEWLETT-PACKARD                          COMM     428236103     221      18,970 SH       SOLE                 18,970
 HIGHWOODS PROPERTIES INC                 COMM     431284108      48       2,030 SH       SOLE                  2,030
 HOME DEPOT, INC.                         COMM     437076102   4,737     181,500 SH       SHARED                         181,500
 HOME DEPOT, INC.                         COMM     437076102   7,278     278,834 SH       SOLE                278,834
 HONEYWELL INTERNATIONAL                  COMM     438516106     392      18,120 SH       SOLE                 18,120
 HOUSEHOLD INTERNATIONAL, INC.            COMM     441815107     316      11,160 SH       SOLE                 11,160
 ICO INC PFD                              PREF     449293307     272      20,000 SH       SHARED                          20,000
 IDEC PHARMACEUTICALS CORP.               COMM     449370105     169       4,070 SH       SOLE                  4,070
 ILLINOIS TOOL WORKS INC                  COMM     452308109   2,333      40,000 SH       SHARED                          40,000
 ILLINOIS TOOL WORKS INC                  COMM     452308109   3,258      55,860 SH       SOLE                 55,860
 INTEGRATED CIRCUIT SYSTEMS INC           COMM     45811K208     114       7,260 SH       SOLE                  7,260
 INTEL CORP                               COMM     458140100   3,154     227,060 SH       SHARED                         227,060
 INTEL CORP                               COMM     458140100   4,816     346,730 SH       SOLE                346,730
 INTERNATIONAL BUSINESS MACHINES CORP CAP COMM     459200101   2,781      47,700 SH       SHARED                          47,700
 INTERNATIONAL BUSINESS MACHINES CORP CAP COMM     459200101   5,279      90,530 SH       SOLE                 90,530
 INTERNATIONAL PAPER CO                   COMM     460146103      95       2,840 SH       SOLE                  2,840
 INTERSIL HOLDING                         COMM     46069S109      48       3,690 SH       SOLE                  3,690
 IRON MTN INC PA                          COMM     462846106      46       1,850 SH       SOLE                  1,850
 JDS UNIPHASE CORP.                       COMM     46612J101     877     450,000 SH       SHARED                         450,000
 JDS UNIPHASE CORP.                       COMM     46612J101   1,198     615,000 SH       SOLE                615,000
 JP MORGAN CHASE & CO                     COMM     46625H100     235      12,370 SH       SOLE                 12,370
 JOHNSON & JOHNSON                        COMM     478160104   8,269     152,900 SH       SHARED                         152,900
 JOHNSON & JOHNSON                        COMM     478160104  11,426     211,282 SH       SOLE                211,282
 JOHNSON CONTROL                          COMM     478366107      70         910 SH       SOLE                    910
 KLA-TENCOR CORP                          COMM     482480100     287      10,270 SH       SOLE                 10,270
 KT CORP - ADR                            COMM     48268K101   1,109      50,000 SH       SHARED                          50,000
 KT CORP - ADR                            COMM     48268K101     555      25,000 SH       SOLE                 25,000
 KIMBERLY-CLARK CORP.                     COMM     494368103     177       3,130 SH       SOLE                  3,130
 KING PHARMACEUTICALS                     COMM     495582108      89       4,900 SH       SOLE                  4,900
 KNIGHT RIDDER INC                        COMM     499040103   2,053      36,400 SH       SHARED                          36,400
 KNIGHT RIDDER INC                        COMM     499040103   2,200      39,000 SH       SOLE                 39,000
 KOHL'S CORP.                             COMM     500255104   1,885      31,000 SH       SHARED                          31,000



 KOHL'S CORP.                             COMM     500255104   4,990      82,060 SH       SOLE                 82,060
 KROGER CO.                               COMM     501044101      82       5,790 SH       SOLE                  5,790
 LAFARGE CORP                             COMM     505862102      50       1,720 SH       SOLE                  1,720
 LAMAR ADVERTISING                        COMM     512815101   1,454      47,900 SH       SHARED                          47,900
 LAMAR ADVERTISING                        COMM     512815101   1,518      50,000 SH       SOLE                 50,000
 ESTEE LAUDER COS. INC.                   COMM     518439104   3,058     106,400 SH       SHARED                         106,400
 ESTEE LAUDER COS. INC.                   COMM     518439104   5,185     180,400 SH       SOLE                180,400
 LEHMAN BROS                              COMM     524908100      73       1,490 SH       SOLE                  1,490
 LENNAR CORP.                             COMM     526057104     134       2,400 SH       SOLE                  2,400
 LIBERTY MEDIA CORP CL A                  COMM     530718105   1,939     270,000 SH       SHARED                         270,000
 LIBERTY MEDIA CORP CL A                  COMM     530718105   2,549     355,000 SH       SOLE                355,000
 LILLY, ELI & CO.                         COMM     532457108     371       6,700 SH       SOLE                  6,700
 LINCOLN NATL-IN                          COMM     534187109      48       1,570 SH       SOLE                  1,570
 LINEAR TECHNOLOGY CORP                   COMM     535678106     193       9,300 SH       SOLE                  9,300
 LOCKHEED MARTIN CORP.                    COMM     539830109   3,664      56,650 SH       SOLE                 56,650
 MBIA CORP                                COMM     55262C100      42       1,060 SH       SOLE                  1,060
 MBNA CORP.                               COMM     55262L100   4,832     262,875 SH       SHARED                         262,875
 MBNA CORP.                               COMM     55262L100   5,486     298,473 SH       SOLE                298,473
 MARSH & MCLENNAN COS INC                 COMM     571748102     140       3,360 SH       SOLE                  3,360
 MATTEL, INC.                             COMM     577081102   3,692     205,000 SH       SHARED                         205,000
 MATTEL, INC.                             COMM     577081102   4,953     275,000 SH       SOLE                275,000
 MAY DEPARTMENT STORES CO.                COMM     577778103     156       6,850 SH       SOLE                  6,850
 MAYTAG CORP.                             COMM     578592107      43       1,840 SH       SOLE                  1,840
 MCDONALD'S CORP                          COMM     580135101     329      18,630 SH       SOLE                 18,630
 MCKESSON HBOC INC                        COMM     58155Q103      56       1,970 SH       SOLE                  1,970
 MEADWESTVACO CORP.                       COMM     583334107      67       3,480 SH       SOLE                  3,480
 MEDIA GENERAL INC. CL A                  COMM     584404107      49         970 SH       SOLE                    970
 MEDTRONIC INC                            COMM     585055106   2,582      61,300 SH       SHARED                          61,300
 MEDTRONIC INC                            COMM     585055106   2,965      70,384 SH       SOLE                 70,384
 MERCK AND CO INC                         COMM     589331107     627      13,710 SH       SOLE                 13,710
 MERRILL LYNCH & CO.                      COMM     590188108   3,456     104,900 SH       SHARED                         104,900
 MERRILL LYNCH & CO.                      COMM     590188108   3,974     120,600 SH       SOLE                120,600
 METLIFE INC                              COMM     59156R108     345      15,160 SH       SOLE                 15,160
 MICROSOFT CORP.                          COMM     594918104   7,990     182,680 SH       SHARED                         182,680
 MICROSOFT CORP.                          COMM     594918104  13,170     301,092 SH       SOLE                301,092
 MIDCAP SPDR TRUST SERIES 1               COMM     595635103   1,990      26,800 SH       SOLE                 26,800
 MORGAN STANLEY                           COMM     617446448   2,463      72,700 SH       SHARED                          72,700
 MORGAN STANLEY                           COMM     617446448   2,940      86,780 SH       SOLE                 86,780
 NATIONAL CITY CORP                       COMM     635405103     107       3,760 SH       SOLE                  3,760
 NEWELL RUBBERMAID                        COMM     651229106   2,315      75,000 SH       SHARED                          75,000
 NIKE INC CLASS B                         COMM     654106103      95       2,200 SH       SOLE                  2,200
 NIPPON TELEGRAPH & TELE ADR              COMM     654624105     227      13,960 SH       SOLE                 13,960
 NOKIA CORP. ADR                          COMM     654902204   1,524     115,000 SH       SHARED                         115,000
 NOKIA CORP. ADR                          COMM     654902204     464      35,000 SH       SOLE                 35,000
 NORFOLK SOUTHERN CORP.                   COMM     655844108     197       9,780 SH       SOLE                  9,780
 NORTHROP GRUMMAN CORP                    COMM     666807102      83         670 SH       SOLE                    670
 NUCOR CORP.                              COMM     670346105   1,895      50,000 SH       SHARED                          50,000
 NUCOR CORP.                              COMM     670346105   2,603      68,670 SH       SOLE                 68,670
 ORACLE CORPORATION                       COMM     68389X105     208      26,520 SH       SOLE                 26,520
 OVERTURE SERVICES                        COMM     69039R100     101       4,280 SH       SOLE                  4,280
 PENTAIR                                  COMM     709631105      42       1,140 SH       SOLE                  1,140
 PEOPLESOFT, INC.                         COMM     712713106      46       3,690 SH       SOLE                  3,690
 PEPSI BOTTLING GROUP                     COMM     713409100   1,278      54,600 SH       SHARED                          54,600
 PEPSI BOTTLING GROUP                     COMM     713409100   1,404      60,000 SH       SOLE                 60,000
 PEPSICO INC                              COMM     713448108   3,144      85,100 SH       SHARED                          85,100
 PEPSICO INC                              COMM     713448108   6,243     168,971 SH       SOLE                168,971
 (R) PETROCORP INC.                       COMM     71645N101   7,088   1,731,000 SH       SHARED                       1,731,000
 PFIZER INC                               COMM     717081103   8,081     278,450 SH       SHARED                         278,450
 PFIZER INC                               COMM     717081103  11,058     381,040 SH       SOLE                381,040
 PHARMACIA CORP.                          COMM     71713U102   2,426      62,400 SH       SHARED                          62,400
 PHARMACIA CORP.                          COMM     71713U102   3,089      79,440 SH       SOLE                 79,440
 PHILIP MORRIS COS INC                    COMM     718154107     876      22,570 SH       SOLE                 22,570
 PIONEER NATURAL RESOURCES                COMM     723787107      93       3,830 SH       SOLE                  3,830
 PITNEY BOWES INC                         COMM     724479100     399      13,080 SH       SOLE                 13,080
 POPULAR INC                              COMM     733174106     163       5,170 SH       SOLE                  5,170
 PRAXAIR INC.                             COMM     74005P104     154       3,010 SH       SOLE                  3,010
 PROCTER AND GAMBLE                       COMM     742718109   6,823      76,340 SH       SOLE                 76,340
 PRUDENTIAL FINANCIAL INC                 COMM     744320102   2,099      73,500 SH       SHARED                          73,500
 PRUDENTIAL FINANCIAL INC                 COMM     744320102   2,556      89,500 SH       SOLE                 89,500
 PUBLIC STORAGE INC                       COMM     74460D109      48       1,510 SH       SOLE                  1,510
 RAYTHEON CO.                             COMM     755111507      69       2,350 SH       SOLE                  2,350
 ROYAL DUTCH PETROLEUM CO.                COMM     780257804     567      14,120 SH       SOLE                 14,120
 SBC COMMUNICATIONS INC.                  COMM     78387G103   2,033     101,161 SH       SHARED                         101,161
 SBC COMMUNICATIONS INC.                  COMM     78387G103   3,169     157,665 SH       SOLE                157,665
 SK TELECOM CO. LTD. ADR                  COMM     78440P108     849      40,000 SH       SHARED                          40,000
 SK TELECOM CO. LTD. ADR                  COMM     78440P108     552      26,000 SH       SOLE                 26,000
 SAMSUNG ELECTRONICS -GDR (SMSN)          COMM     796050888     355       3,000 SH       SHARED                           3,000
 SAMSUNG ELECTRONICS -GDR (SMSN)          COMM     796050888     296       2,500 SH       SOLE                  2,500
 SCHERING PLOUGH CORP                     COMM     806605101     190       8,930 SH       SOLE                  8,930
 SCHLUMBERGER LTD                         COMM     806857108     142       3,680 SH       SOLE                  3,680
 EW SCRIPPS CO                            COMM     811054204     318       4,590 SH       SOLE                  4,590
 SEALED AIR CORP                          COMM     81211K100      83       4,920 SH       SOLE                  4,920
 SEARS, ROEBUCK AND CO                    COMM     812387108     463      11,860 SH       SOLE                 11,860
 SELECT COMFORT COMMON STOCK              COMM     81616*106  19,532   4,886,022 SH       SHARED                       4,886,022
 SIGMA-ALDRICH                            COMM     826552101   3,153      64,000 SH       SHARED                          64,000



 SIGMA-ALDRICH                            COMM     826552101   4,163      84,500 SH       SOLE                 84,500
 SMURFIT STONE                            COMM     832727101   3,042     242,000 SH       SHARED                         242,000
 SMURFIT STONE                            COMM     832727101   4,022     320,000 SH       SOLE                320,000
 SOUTHERN COMPANY                         COMM     842587107   3,669     127,500 SH       SHARED                         127,500
 SOUTHERN COMPANY                         COMM     842587107   4,153     144,310 SH       SOLE                144,310
 STAPLES INC                              COMM     855030102     148      11,540 SH       SOLE                 11,540
 STARWOOD HOTELS & RESORTS TRUST          COMM     85590A203     186       8,360 SH       SOLE                  8,360
 STORAGE TECHNOLOGY CORP.                 COMM     862111200      38       3,620 SH       SOLE                  3,620
 SUNTRUST BANKS INC                       COMM     867914103     108       1,760 SH       SOLE                  1,760
 SYSCO CORP                               COMM     871829107     112       3,960 SH       SOLE                  3,960
 TECO ENERGY                              COMM     872375100     248      15,600 SH       SOLE                 15,600
 TEPPCO PARTNERS                          COMM     872384102     207       7,090 SH       SOLE                  7,090
 TAIWAN SEMICONDUCTOR LTD (ADR)           COMM     874039100      96      15,150 SH       SOLE                 15,150
 TARGET CORP                              COMM     87612E106   1,538      52,100 SH       SHARED                          52,100
 TARGET CORP                              COMM     87612E106   2,063      69,900 SH       SOLE                 69,900
 TECH DATA CORP                           COMM     878237106      40       1,530 SH       SOLE                  1,530
 TEMPLE-INLAND INC                        COMM     879868107     270       6,990 SH       SOLE                  6,990
 TENET HEALTHCARE CORP                    COMM     88033G100   2,740      55,350 SH       SHARED                          55,350
 TENET HEALTHCARE CORP                    COMM     88033G100   5,919     119,570 SH       SOLE                119,570
 TEXAS INSTRUMENT                         COMM     882508104   1,492     101,000 SH       SHARED                         101,000
 TEXAS INSTRUMENT                         COMM     882508104   1,614     109,250 SH       SOLE                109,250
 TEXTRON INC.                             COMM     883203101      72       2,100 SH       SOLE                  2,100
 3M COMPANY                               COMM     88579Y101   3,640      33,100 SH       SHARED                          33,100
 3M COMPANY                               COMM     88579Y101   5,870      53,380 SH       SOLE                 53,380
 TRAVELERS PROPERTY CASUALTY (B)          COMM     89420G406      81       6,010 SH       SOLE                  6,010
 TYCO INTERNATIONAL LTD.                  COMM     902124106     121       8,560 SH       SOLE                  8,560
 US BANCORP - NEW                         COMM     902973304     467      25,120 SH       SOLE                 25,120
 USA INTERACTIVE                          COMM     902984103   1,859      95,900 SH       SHARED                          95,900
 USA INTERACTIVE                          COMM     902984103   3,101     160,000 SH       SOLE                160,000
 UNION PACIFIC CORP.                      COMM     907818108     624      10,780 SH       SOLE                 10,780
 UNITED PARCEL SERVICE                    COMM     911312106     423       6,760 SH       SOLE                  6,760
 UNITED TECHNOLOGIES CORP.                COMM     913017109   3,406      60,300 SH       SHARED                          60,300
 UNITED TECHNOLOGIES CORP.                COMM     913017109   4,944      87,520 SH       SOLE                 87,520
 UNITEDHEALTHCARE GROUP                   COMM     91324P102   2,878      33,000 SH       SHARED                          33,000
 UNITEDHEALTHCARE GROUP                   COMM     91324P102   2,723      31,220 SH       SOLE                 31,220
 UNIVISION COMM                           COMM     914906102   1,710      75,000 SH       SHARED                          75,000
 UNIVISION COMM                           COMM     914906102   2,098      92,000 SH       SOLE                 92,000
 VALERO ENERGY CORP.                      COMM     91913Y100      76       2,890 SH       SOLE                  2,890
 VERIZON COMMUNICATIONS                   COMM     92343V104     460      16,750 SH       SOLE                 16,750
 VIACOM INC. CL B                         COMM     925524308   3,528      87,000 SH       SHARED                          87,000
 VIACOM INC. CL B                         COMM     925524308   4,894     120,700 SH       SOLE                120,700
 WACHOVIA  CORP - NEW                     COMM     929903102     275       8,420 SH       SOLE                  8,420
 WAL-MART STORES INC                      COMM     931142103   6,204     126,000 SH       SHARED                         126,000
 WAL-MART STORES INC                      COMM     931142103  14,140     287,158 SH       SOLE                287,158
 WALGREEN CO.                             COMM     931422109   3,867     125,700 SH       SHARED                         125,700
 WALGREEN CO.                             COMM     931422109   5,212     169,430 SH       SOLE                169,430
 WASHINGTON MUTUAL INC                    COMM     939322103   2,464      78,300 SH       SHARED                          78,300
 WASHINGTON MUTUAL INC                    COMM     939322103   3,492     110,950 SH       SOLE                110,950
 WASHINGTON POST                          COMM     939640108     292         450 SH       SOLE                    450
 WASTE MANAGEMENT INC.                    COMM     94106L109      86       3,700 SH       SOLE                  3,700
 WELLS FARGO & CO                         COMM     949746101   5,249     109,000 SH       SHARED                         109,000
 WELLS FARGO & CO                         COMM     949746101   8,506     176,610 SH       SOLE                176,610
 WENDY'S INTERNATIONAL INC                COMM     950590109     210       6,330 SH       SOLE                  6,330
 WHIRLPOOL CORP.                          COMM     963320106      86       1,870 SH       SOLE                  1,870
 WM WRIGLEY JR. CO.                       COMM     982526105     205       4,150 SH       SOLE                  4,150
 WYETH CORP                               COMM     983024100   1,794      56,400 SH       SHARED                          56,400
 WYETH CORP                               COMM     983024100   3,328     104,660 SH       SOLE                104,660
 YAHOO!                                   COMM     984332106     170      17,770 SH       SOLE                 17,770
 ACE LTD.                                 COMM     G0070K103      79       2,680 SH       SOLE                  2,680
 ACCENTURE LTD BERMUDA CL A               COMM     G1150G111     130       9,110 SH       SOLE                  9,110