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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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, February 13, 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:                     315
Form 13F Information Table Value Total:              $  845,233


List of Other Included Managers:


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




                           FORM 13F INFORMATION TABLE



                                   TITLE                 VALUE    SHARES     SH/  PUT/  INVESTMT  OTHER     VOTING   AUTHORITY
NAME OF ISSUER                     OF CLASS  CUSIP      (X$1000)  PRN/AMT    PRN  CALL  DSCRETN   MANAGERS  SOLE     SHARED    NONE
                                                                                              
AFLAC INC                            COMM    001055102        94      3,130  SH         SOLE                  3,130
AGCO CORP                            COMM    001084102     2,159     97,700  SH         SOLE                 97,700
AMLI RESIDENTIAL PROPERTY TRU        COMM    001735109       745     35,000  SH         SHARED                            35,000
AOL TIME WARNER INC                  COMM    00184A105       697     53,220  SH         SOLE                 53,220
AMERICAN TELEPHONE & TELEGRAPH CO.   COMM    001957505     2,193     84,000  SH         SHARED                            84,000
AMERICAN TELEPHONE & TELEGRAPH CO.   COMM    001957505     3,547    135,854  SH         SOLE                135,854
ABBOTT LABORATORIES                  COMM    002824100       380      9,510  SH         SOLE                  9,510
AEGON NV                             COMM    007924103        93      7,230  SH         SOLE                  7,230
ALBERTO-CULVER CO.                   COMM    013068101     2,419     48,000  SH         SHARED                            48,000
ALBERTO-CULVER CO.                   COMM    013068101     6,401    127,010  SH         SOLE                127,010
ALCOA INC                            COMM    013817101       120      5,280  SH         SOLE                  5,280
ALLSTATE CORP.                       COMM    020002101       157      4,240  SH         SOLE                  4,240
AMERICAN EXPRESS COMPANY             COMM    025816109     2,863     81,000  SH         SHARED                            81,000
AMERICAN EXPRESS COMPANY             COMM    025816109     5,025    142,140  SH         SOLE                142,140
AMERICAN INTERNATIONAL GROUP, INC.   COMM    026874107     4,066     70,290  SH         SHARED                            70,290
AMERICAN INTERNATIONAL GROUP, INC.   COMM    026874107     7,042    121,737  SH         SOLE                121,737
AMERICAN POWER CONVERSION            COMM    029066107     1,364     90,000  SH         SHARED                            90,000
AMERICAN POWER CONVERSION            COMM    029066107     2,295    151,500  SH         SOLE                151,500
AMGEN INC.                           COMM    031162100     3,514     72,700  SH         SHARED                            72,700
AMGEN INC.                           COMM    031162100     5,614    116,140  SH         SOLE                116,140
AMSOUTH BANCORPORATION               COMM    032165102       140      7,300  SH         SOLE                  7,300
ANALOG DEVICES, INC.                 COMM    032654105     1,575     66,000  SH         SHARED                            66,000
ANALOG DEVICES, INC.                 COMM    032654105     2,334     97,800  SH         SOLE                 97,800
ANHEUSER BUSCH COS. INC.             COMM    035229103     2,323     48,000  SH         SHARED                            48,000
ANHEUSER BUSCH COS. INC.             COMM    035229103     4,124     85,210  SH         SOLE                 85,210
ANTHEM, INC.                         COMM    03674B104       182      2,900  SH         SOLE                  2,900
APACHE CORP                          COMM    037411105     3,248     57,000  SH         SHARED                            57,000
APACHE CORP                          COMM    037411105     4,371     76,700  SH         SOLE                 76,700
APPLIED MATERIALS, INC.              COMM    038222105       142     10,870  SH         SOLE                 10,870
ARCHSTONE-SMITH TRUST                COMM    039583109     2,283     97,000  SH         SHARED                            97,000
AUTOLIV INC                          COMM    052800109        97      4,650  SH         SOLE                  4,650
AVALONBAY COMMUNITIES INC            COMM    053484101     1,957     50,000  SH         SHARED                            50,000
BB&T CORP                            COMM    054937107       108      2,910  SH         SOLE                  2,910
BP AMOCO PLC (ADR)                   COMM    055622104     2,423     59,596  SH         SHARED                            59,596
BP AMOCO PLC (ADR)                   COMM    055622104     1,408     34,632  SH         SOLE                 34,632
BALL CORP.                           COMM    058498106     2,560     50,000  SH         SHARED                            50,000
BALL CORP.                           COMM    058498106     4,095     80,000  SH         SOLE                 80,000
BANK OF AMERICA CORP                 COMM    060505104     5,044     72,500  SH         SHARED                            72,500
BANK OF AMERICA CORP                 COMM    060505104     8,332    119,760  SH         SOLE                119,760
BANK OF NEW YORK CO., INC.           COMM    064057102       108      4,510  SH         SOLE                  4,510
BANK ONE CORP.                       COMM    06423A103       265      7,240  SH         SOLE                  7,240
BAXTER INTERNATIONAL INC.            COMM    071813109       111      3,980  SH         SOLE                  3,980
BEAR STEARNS COMPANIES, INC.         COMM    073902108       144      2,420  SH         SOLE                  2,420
BERKSHIRE HATHAWAY A                 COMM    084670108     2,401         33  SH         SHARED                                33
BERKSHIRE HATHAWAY A                 COMM    084670108     4,074         53  SH         SOLE                     53
BEST BUY CO INC                      COMM    086516101       106      4,400  SH         SOLE                  4,400
BLACK & DECKER CORP.                 COMM    091797100        38        890  SH         SOLE                    890
BLOCK H & R                          COMM    093671105       201      5,010  SH         SOLE                  5,010
BOEING COMPANY                       COMM    097023105       168      5,080  SH         SOLE                  5,080
BORG WARNER INC.                     COMM    099724106        78      1,540  SH         SOLE                  1,540
BOSTON SCIENTIFIC CORP.              COMM    101137107     3,529     83,000  SH         SHARED                            83,000
BOSTON SCIENTIFIC CORP.              COMM    101137107     5,570    131,000  SH         SOLE                131,000
BROWN-FORMAN                         COMM    115637209       523      8,000  SH         SOLE                  8,000
CIGNA CORP.                          COMM    125509109       140      3,410  SH         SOLE                  3,410
CSX CORP                             COMM    126408103       128      4,530  SH         SOLE                  4,530
CAP ONE FIN                          COMM    14040H105        89      2,980  SH         SOLE                  2,980
CARDINAL HEALTH INC.                 COMM    14149Y108       162      2,740  SH         SOLE                  2,740
CARNIVAL CRUISE LINES INC.           COMM    143658102       467     18,720  SH         SOLE                 18,720
CELESTICA                            COMM    15101Q108     1,871    132,700  SH         SHARED                           132,700
CELESTICA                            COMM    15101Q108     2,214    157,000  SH         SOLE                157,000
CENDANT CORP                         COMM    151313103        71      6,790  SH         SOLE                  6,790
CENTEX CORP.                         COMM    152312104        64      1,280  SH         SOLE                  1,280
CERIDIAN CORP NEW                    COMM    156779100        63      4,390  SH         SOLE                  4,390
CHEVRONTEXACO CORP                   COMM    166764100     3,656     55,000  SH         SOLE                 55,000
CIRCUIT CITY STORES, INC.            COMM    172737108       119     16,100  SH         SOLE                 16,100
CISCO SYSTEMS INC.                   COMM    17275R102     2,205    168,300  SH         SHARED                           168,300
CISCO SYSTEMS INC.                   COMM    17275R102     4,004    305,660  SH         SOLE                305,660
CITIGROUP INC                        COMM    172967101     4,977    141,424  SH         SHARED                           141,424
CITIGROUP INC                        COMM    172967101     8,436    239,725  SH         SOLE                239,725
CLEAR CHANNEL                        COMM    184502102     2,860     76,700  SH         SHARED                             76,700
CLEAR CHANNEL                        COMM    184502102     4,440    119,060  SH         SOLE                119,060
COCA COLA CO                         COMM    191216100     1,062     24,225  SH         SHARED                            24,225
COCA COLA CO                         COMM    191216100     2,392     54,555  SH         SOLE                 54,555
COLGATE POLMOLIVE CO                 COMM    194162103       174      3,320  SH         SOLE                  3,320
COMCAST CORPORATION (A)              COMM    20030N101     2,135     90,580  SH         SHARED                            90,580
COMCAST CORPORATION (A)              COMM    20030N101     3,461    146,818  SH         SOLE                146,818
COMERICA INC                         COMM    200340107        76      1,750  SH         SOLE                  1,750
COMPUTER ASSOCIATES INTL, INC.       COMM    204912109       100      7,400  SH         SOLE                  7,400
CONOCOPHILLIPS                       COMM    20825C104       458      9,460  SH         SOLE                  9,460
CONSTELLATION BRANDS INC             COMM    21036P108       109      4,600  SH         SOLE                  4,600






                                                                                               
COSTCO WHOLESALE CORP                COMM    22160K105        77      2,760  SH         SOLE                  2,760
COUSINS PROPERTIES INC               COMM    222795106     1,062     43,000  SH         SHARED                           43,000
DR HORTON INC.                       COMM    23331A109       213     12,260  SH         SOLE                 12,260
DANAHER CORP                         COMM    235851102     2,405     36,600  SH         SHARED                           36,600
DANAHER CORP                         COMM    235851102     4,087     62,200  SH         SOLE                 62,200
DEERE AND CO                         COMM    244199105       133      2,900  SH         SOLE                  2,900
DELL COMPUTER CORP                   COMM    247025109     4,222    157,900  SH         SHARED                          157,900
DELL COMPUTER CORP                   COMM    247025109     7,253    271,260  SH         SOLE                271,260
DELUXE CORP.                         COMM    248019101       289      6,860  SH         SOLE                  6,860
DISNEY, WALT CO.                     COMM    254687106     2,169    133,000  SH         SHARED                          133,000
DISNEY, WALT CO.                     COMM    254687106     3,600    220,700  SH         SOLE                220,700
DOLLAR GENERAL CORP.                 COMM    256669102        79      6,640  SH         SOLE                  6,640
DU PONT E I DE NEMOURS AND CO.       COMM    263534109       262      6,180  SH         SOLE                  6,180
EBIX.COM INC                         COMM    278715107         4      1,598  SH         SHARED                            1,598
ECOLAB INC                           COMM    278865100     2,143     43,300  SH         SHARED                           43,300
ECOLAB INC                           COMM    278865100     3,361     67,901  SH         SOLE                 67,901
EMERSON ELECTRIC COMPANY             COMM    291011104       128      2,510  SH         SOLE                  2,510
EQUITY OFFICE PROPERTIES TRUST       COMM    294741103     1,274     51,000  SH         SHARED                           51,000
EQUITY RESIDENTIAL PROPERTIES
  TRUST                              COMM    29476L107     2,605    106,000  SH         SHARED                          106,000
EXXON MOBIL CORP                     COMM    30231G102     6,919    198,036  SH         SHARED                          198,036
EXXON MOBIL CORP                     COMM    30231G102    11,741    336,030  SH         SOLE                336,030
FAMILY DOLLAR                        COMM    307000109        90      2,880  SH         SOLE                  2,880
FED HOME LOAN MTG CO.                COMM    313400301     2,882     48,800  SH         SHARED                           48,800
FED HOME LOAN MTG CO.                COMM    313400301     4,244     71,870  SH         SOLE                 71,870
(R) FEDERAL NATIONAL MORTGAGE        COMM    313586109     3,352     52,100  SH         SHARED                           52,100
(R) FEDERAL NATIONAL MORTGAGE        COMM    313586109         6        101  SH         SHARED                              101
(R) FEDERAL NATIONAL MORTGAGE        COMM    313586109     5,540     86,120  SH         SOLE                 86,120
FEDERATED DEPT. STORES, INC.         COMM    31410H101        83      2,900  SH         SOLE                  2,900
FIFTH THIRD BANCORP.                 COMM    316773100       215      3,680  SH         SOLE                  3,680
FIRST DATA CORPORATION               COMM    319963104       167      4,710  SH         SOLE                  4,710
FLEETBOSTON FINANCIAL                COMM    339030108       158      6,520  SH         SOLE                  6,520
FOX ENTERTAINMENT GROUP              COMM    35138T107       272     10,500  SH         SOLE                 10,500
GABLES RESIDENTIAL TRUST             COMM    362418105     1,573     63,100  SH         SHARED                           63,100
GANNETT CO.                          COMM    364730101       402      5,600  SH         SOLE                  5,600
GENENTECH                            COMM    368710406     2,285     68,900  SH         SHARED                           68,900
GENENTECH                            COMM    368710406     3,412    102,880  SH         SOLE                102,880
GENL DYNAMICS                        COMM    369550108       102      1,280  SH         SOLE                  1,280
GENERAL ELECTRIC CO.                 COMM    369604103     6,635    272,500  SH         SHARED                          272,500
GENERAL ELECTRIC CO.                 COMM    369604103    12,540    514,994  SH         SOLE                514,994
GENERAL GROWTH PROPERTIES, INC.      COMM    370021107        52      1,000  SH         SOLE                  1,000
GENERAL MOTORS                       COMM    370442105       132      3,570  SH         SOLE                  3,570
GILLETTE CO.                         COMM    375766102       193      6,350  SH         SOLE                  6,350
GOLDMAN SACHS GROUP                  COMM    38141G104       196      2,880  SH         SOLE                  2,880
GRAINGER, W. W. INC.                 COMM    384802104        86      1,660  SH         SOLE                  1,660
GREENPOINT FINL                      COMM    395384100        76      1,690  SH         SOLE                  1,690
HCA INC COM                          COMM    404119109     1,834     44,200  SH         SHARED                           44,200
HCA INC COM                          COMM    404119109     2,923     70,430  SH         SOLE                 70,430
JOHN HANCOCK FINANCIAL               COMM    41014S106       236      8,460  SH         SOLE                  8,460
HARLEY-DAVIDSON                      COMM    412822108     1,495     32,350  SH         SHARED                           32,350
HARLEY-DAVIDSON                      COMM    412822108     4,574     99,000  SH         SOLE                 99,000
HARSCO CORP                          COMM    415864107       131      4,110  SH         SOLE                  4,110
HARTFORD FINANCIAL SERVICES
  GROUP                              COMM    416515104       128      2,820  SH         SOLE                  2,820
HELMERICH & PAYNE                    COMM    423452101       171      6,120  SH         SOLE                  6,120
HERSHEY FOODS CORP                   COMM    427866108     2,293     34,000  SH         SHARED                           34,000
HERSHEY FOODS CORP                   COMM    427866108     3,898     57,800  SH         SOLE                 57,800
HEWLETT-PACKARD                      COMM    428236103     1,649     95,000  SH         SHARED                           95,000
HEWLETT-PACKARD                      COMM    428236103       329     18,950  SH         SOLE                 18,950
HIGHWOODS PROPERTIES INC             COMM    431284108        45      2,030  SH         SOLE                  2,030
HILLENBRAND                          COMM    431573104       145      3,000  SH         SOLE                  3,000
HOME DEPOT, INC.                     COMM    437076102     3,399    141,500  SH         SHARED                          141,500
HOME DEPOT, INC.                     COMM    437076102     6,193    257,834  SH         SOLE                257,834
HONEYWELL INTERNATIONAL              COMM    438516106       111      4,630  SH         SOLE                  4,630
HOTELS.COM (A)                       COMM    44147T108        38        700  SH         SOLE                    700
ICO INC PFD                          PREF    449293307       272     20,000  SH         SHARED                           20,000
IDEC PHARMACEUTICALS CORP.           COMM    449370105       105      3,170  SH         SOLE                  3,170
IMS HEALTH INC                       COMM    449934108       114      7,130  SH         SOLE                  7,130
ILLINOIS TOOL WORKS INC              COMM    452308109       121      1,860  SH         SOLE                  1,860
INDEPENDENCE COMNTY BANK
  CORP                               COMM    453414104        46      1,800  SH         SOLE                  1,800
INTEGRATED CIRCUIT SYSTEMS
  INC                                COMM    45811K208        38      2,060  SH         SOLE                  2,060
INTEL CORP                           COMM    458140100     3,535    227,060  SH         SHARED                          227,060
INTEL CORP                           COMM    458140100     5,380    345,530  SH         SOLE                345,530
INTERNATIONAL BUSINESS
  MACHINES CORP CAP                  COMM    459200101     3,697     47,700  SH         SHARED                           47,700
INTERNATIONAL BUSINESS
  MACHINES CORP CAP                  COMM    459200101     6,993     90,230  SH         SOLE                 90,230
INTL F & F                           COMM    459506101        70      2,000  SH         SOLE                  2,000
INTERNET SECURITY SYSTEMS INC        COMM    46060X107        37      2,000  SH         SOLE                  2,000
IRON MTN INC PA                      COMM    462846106        48      1,450  SH         SOLE                  1,450
JP MORGAN CHASE & CO                 COMM    46625H100       296     12,320  SH         SOLE                 12,320
JABIL CIRCUIT INC                    COMM    466313103        63      3,540  SH         SOLE                  3,540
JOHNSON & JOHNSON                    COMM    478160104     6,601    122,900  SH         SHARED                          122,900
JOHNSON & JOHNSON                    COMM    478160104    11,321    210,782  SH         SOLE                210,782
JOHNSON CONTROL                      COMM    478366107       248      3,090  SH         SOLE                  3,090
KLA-TENCOR CORP                      COMM    482480100       114      3,220  SH         SOLE                  3,220
KT CORP - ADR                        COMM    48268K101     1,078     50,000  SH         SHARED                           50,000
KT CORP - ADR                        COMM    48268K101       539     25,000  SH         SOLE                 25,000
KIMBERLY-CLARK CORP.                 COMM    494368103       149      3,130  SH         SOLE                  3,130





                                                                                               
KOHL'S CORP.                         COMM    500255104     2,350     42,000  SH         SHARED                           42,000
KOHL'S CORP.                         COMM    500255104     4,032     72,060  SH         SOLE                 72,060
LAFARGE CORP                         COMM    505862102        57      1,720  SH         SOLE                  1,720
LEHMAN BROS                          COMM    524908100        79      1,490  SH         SOLE                  1,490
LEXMARK INTL                         COMM    529771107     2,178     36,000  SH         SHARED                           36,000
LEXMARK INTL                         COMM    529771107     3,255     53,800  SH         SOLE                 53,800
LIBERTY MEDIA CORP CL A              COMM    530718105     2,510    280,800  SH         SHARED                          280,800
LIBERTY MEDIA CORP CL A              COMM    530718105     3,301    369,200  SH         SOLE                369,200
LILLY, ELI & CO.                     COMM    532457108       361      5,690  SH         SOLE                  5,690
LINEAR TECHNOLOGY CORP               COMM    535678106       239      9,300  SH         SOLE                  9,300
LOCKHEED MARTIN CORP.                COMM    539830109     1,906     33,000  SH         SHARED                           33,000
LOCKHEED MARTIN CORP.                COMM    539830109     3,000     51,950  SH         SOLE                 51,950
LOWE'S COMPANIES INC.                COMM    548661107       182      4,840  SH         SOLE                  4,840
MBNA CORP.                           COMM    55262L100     2,565    134,875  SH         SHARED                          134,875
MBNA CORP.                           COMM    55262L100     5,582    293,473  SH         SOLE                293,473
MARSH & MCLENNAN COS INC             COMM    571748102       155      3,360  SH         SOLE                  3,360
MATTEL, INC.                         COMM    577081102     2,796    146,000  SH         SHARED                          146,000
MATTEL, INC.                         COMM    577081102     4,376    228,500  SH         SOLE                228,500
MAXIM INTEGRATED PRODOCTS            COMM    57772K101       252      7,630  SH         SOLE                  7,630
MAY DEPARTMENT STORES CO.            COMM    577778103        45      1,950  SH         SOLE                  1,950
MCDONALD'S CORP                      COMM    580135101       123      7,630  SH         SOLE                  7,630
MCKESSON HBOC INC                    COMM    58155Q103       118      4,370  SH         SOLE                  4,370
MEDIA GENERAL INC. CL A              COMM    584404107       155      2,580  SH         SOLE                  2,580
MEDTRONIC INC                        COMM    585055106     3,525     77,300  SH         SHARED                           77,300
MEDTRONIC INC                        COMM    585055106     5,531    121,304  SH         SOLE                121,304
MERCK AND CO INC                     COMM    589331107     4,925     87,000  SH         SHARED                           87,000
MERCK AND CO INC                     COMM    589331107     7,938    140,230  SH         SOLE                140,230
MEREDITH CORP                        COMM    589433101       169      4,100  SH         SOLE                  4,100
MERRILL LYNCH & CO.                  COMM    590188108     2,159     56,900  SH         SHARED                           56,900
MERRILL LYNCH & CO.                  COMM    590188108     3,416     90,000  SH         SOLE                 90,000
METLIFE INC                          COMM    59156R108     1,217     45,000  SH         SHARED                           45,000
METLIFE INC                          COMM    59156R108     2,297     84,960  SH         SOLE                 84,960
MICHAEL'S STORES, INC.               COMM    594087108       300      9,600  SH         SOLE                  9,600
MICROSOFT CORP.                      COMM    594918104    10,323    199,680  SH         SHARED                          199,680
MICROSOFT CORP.                      COMM    594918104    17,066    330,092  SH         SOLE                330,092
MORGAN STANLEY                       COMM    617446448     3,780     94,700  SH         SHARED                           94,700
MORGAN STANLEY                       COMM    617446448     5,875    147,180  SH         SOLE                147,180
NATIONAL CITY CORP                   COMM    635405103       103      3,760  SH         SOLE                  3,760
NEWELL RUBBERMAID                    COMM    651229106     2,275     75,000  SH         SHARED                           75,000
NEWELL RUBBERMAID                    COMM    651229106     3,640    120,000  SH         SOLE                120,000
NEXTEL COMMS - A                     COMM    65332V103     2,333    202,000  SH         SHARED                          202,000
NEXTEL COMMS - A                     COMM    65332V103     3,869    335,000  SH         SOLE                335,000
NIPPON TELEGRAPH & TELE ADR          COMM    654624105       153      8,660  SH         SOLE                  8,660
NOKIA CORP. ADR                      COMM    654902204     2,403    155,000  SH         SHARED                          155,000
NOKIA CORP. ADR                      COMM    654902204       977     63,000  SH         SOLE                 63,000
NORFOLK SOUTHERN CORP.               COMM    655844108       196      9,780  SH         SOLE                  9,780
NORTHROP GRUMMAN CORP                COMM    666807102        65        670  SH         SOLE                    670
NOVELLUS SYSTEMS INC                 COMM    670008101       194      6,900  SH         SOLE                  6,900
NUCOR CORP.                          COMM    670346105       135      3,270  SH         SOLE                  3,270
OCCIDENTAL PETROLEUM CORP            COMM    674599105       117      4,130  SH         SOLE                  4,130
ORACLE CORPORATION                   COMM    68389X105       164     15,220  SH         SOLE                 15,220
OVERTURE SERVICES                    COMM    69039R100       117      4,280  SH         SOLE                  4,280
PENTAIR                              COMM    709631105       195      5,640  SH         SOLE                  5,640
PEPSICO INC                          COMM    713448108     3,593     85,100  SH         SHARED                           85,100
PEPSICO INC                          COMM    713448108     7,134    168,971  SH         SOLE                168,971
(R) PETROCORP INC.                   COMM    71645N101     8,871  1,731,000  SH         SHARED                        1,731,000
PFIZER INC                           COMM    717081103     4,599    150,450  SH         SHARED                          150,450
PFIZER INC                           COMM    717081103     9,750    318,940  SH         SOLE                318,940
PHARMACIA CORP.                      COMM    71713U102     2,608     62,400  SH         SHARED                           62,400
PHARMACIA CORP.                      COMM    71713U102     4,198    100,440  SH         SOLE                100,440
PIONEER NATURAL RESOURCES            COMM    723787107        97      3,830  SH         SOLE                  3,830
PITNEY BOWES INC                     COMM    724479100       427     13,080  SH         SOLE                 13,080
POPULAR INC                          COMM    733174106       175      5,170  SH         SOLE                  5,170
POST PROPERTIES INC                  COMM    737464107     2,204     92,200  SH         SHARED                           92,200
PRAXAIR INC.                         COMM    74005P104       157      2,710  SH         SOLE                  2,710
PROCTER AND GAMBLE                   COMM    742718109     3,867     45,000  SH         SHARED                           45,000
PROCTER AND GAMBLE                   COMM    742718109     6,568     76,430  SH         SOLE                 76,430
PROLOGIS TRUST                       COMM    743410102     1,861     74,000  SH         SHARED                           74,000
PROTECTIVE LIFE                      COMM    743674103        73      2,660  SH         SOLE                  2,660
PRUDENTIAL FINANCIAL INC             COMM    744320102     1,254     39,500  SH         SHARED                           39,500
PRUDENTIAL FINANCIAL INC             COMM    744320102     2,161     68,080  SH         SOLE                 68,080
PUBLIC STORAGE INC                   COMM    74460D109        49      1,510  SH         SOLE                  1,510
QUALCOMM INC                         COMM    747525103     1,419     39,000  SH         SHARED                           39,000
QUALCOMM INC                         COMM    747525103     2,198     60,400  SH         SOLE                 60,400
RAYTHEON CO.                         COMM    755111507        72      2,350  SH         SOLE                  2,350
RECKSON ASSOCIATES REALTY
  CORP                               COMM    75621K106     1,608     76,400  SH         SHARED                           76,400
REYNOLDS & REYNOLDS CO.              COMM    761695105        76      3,000  SH         SOLE                  3,000
ROYAL DUTCH PETROLEUM CO.            COMM    780257804       335      7,610  SH         SOLE                  7,610
SBC COMMUNICATIONS INC.              COMM    78387G103       187      6,880  SH         SOLE                  6,880
SCHERING PLOUGH CORP                 COMM    806605101       198      8,930  SH         SOLE                  8,930
SCHLUMBERGER LTD                     COMM    806857108       155      3,680  SH         SOLE                  3,680
EW SCRIPPS CO                        COMM    811054204       353      4,590  SH         SOLE                  4,590
SELECT COMFORT COMMON STOCK          COMM    81616X103    29,854  4,886,022  SH         SHARED                        4,886,022
SHURGARD STORAGE CENTERS INC         COMM    82567D104     2,520     80,400  SH         SHARED                           80,400
SIEBEL SYSTEMS                       COMM    826170102       740    100,000  SH         SHARED                          100,000





                                                                                               
SIEBEL SYSTEMS                       COMM    826170102     1,073    145,000  SH         SOLE                145,000
SIGMA-ALDRICH                        COMM    826552101     2,289     47,000  SH         SHARED                           47,000
SIGMA-ALDRICH                        COMM    826552101     3,628     74,500  SH         SOLE                 74,500
JM SMUCKER CO/THE                    COMM    832696405        91      2,280  SH         SOLE                  2,280
SMURFIT STONE                        COMM    832727101     2,524    164,000  SH         SHARED                          164,000
SMURFIT STONE                        COMM    832727101     4,279    278,000  SH         SOLE                278,000
SOUTHERN COMPANY                     COMM    842587107     2,484     87,500  SH         SHARED                           87,500
SOUTHERN COMPANY                     COMM    842587107     4,097    144,310  SH         SOLE                144,310
STAPLES INC                          COMM    855030102       151      8,260  SH         SOLE                  8,260
STARWOOD HOTELS & RESORTS
  TRUST                              COMM    85590A203       198      8,360  SH         SOLE                  8,360
SUMMIT PROPERTIES INC                COMM    866239106     1,177     66,100  SH         SHARED                           66,100
SUNTRUST BANKS INC                   COMM    867914103       100      1,760  SH         SOLE                  1,760
SYSCO CORP                           COMM    871829107       118      3,960  SH         SOLE                  3,960
TEPPCO PARTNERS                      COMM    872384102       197      7,090  SH         SOLE                  7,090
TAIWAN SEMICONDUCTOR
  LTD (ADR)                          COMM    874039100       529     75,000  SH         SHARED                           75,000
TAIWAN SEMICONDUCTOR
  LTD (ADR)                          COMM    874039100       368     52,150  SH         SOLE                 52,150
TARGET CORP                          COMM    87612E106     1,143     38,100  SH         SHARED                           38,100
TARGET CORP                          COMM    87612E106     2,087     69,570  SH         SOLE                 69,570
TEMPLE-INLAND INC                    COMM    879868107       119      2,660  SH         SOLE                  2,660
TENET HEALTHCARE CORP                COMM    88033G100        47      2,870  SH         SOLE                  2,870
TEXAS INSTRUMENT                     COMM    882508104     1,621    108,000  SH         SHARED                          108,000
TEXAS INSTRUMENT                     COMM    882508104     2,688    179,050  SH         SOLE                179,050
3M COMPANY                           COMM    88579Y101     4,081     33,100  SH         SHARED                           33,100
3M COMPANY                           COMM    88579Y101     6,582     53,380  SH         SOLE                 53,380
TRAVELERS PROPERTY
  CASUALTY (B)                       COMM    89420G406        88      6,010  SH         SOLE                  6,010
TRIZEC PROPERTIES INC                COMM    89687P107       969    103,200  SH         SHARED                          103,200
TYCO INTERNATIONAL LTD.              COMM    902124106       541     31,700  SH         SOLE                 31,700
TYSON FOODS A                        COMM    902494103       108      9,600  SH         SOLE                  9,600
UST INC.                             COMM    902911106       135      4,040  SH         SOLE                  4,040
US BANCORP - NEW                     COMM    902973304       255     12,010  SH         SOLE                 12,010
UNION PACIFIC CORP.                  COMM    907818108       286      4,780  SH         SOLE                  4,780
UNITED PARCEL SERVICE                COMM    911312106       426      6,760  SH         SOLE                  6,760
UNITED TECHNOLOGIES CORP.            COMM    913017109     2,682     43,300  SH         SHARED                           43,300
UNITED TECHNOLOGIES CORP.            COMM    913017109     4,211     67,980  SH         SOLE                 67,980
UNITEDHEALTHCARE GROUP               COMM    91324P102     2,756     33,000  SH         SHARED                           33,000
UNITEDHEALTHCARE GROUP               COMM    91324P102     4,269     51,120  SH         SOLE                 51,120
VALERO ENERGY CORP.                  COMM    91913Y100     2,364     64,000  SH         SHARED                           64,000
VALERO ENERGY CORP.                  COMM    91913Y100     3,985    107,890  SH         SOLE                107,890
VERIZON COMMUNICATIONS               COMM    92343V104     1,860     48,000  SH         SHARED                           48,000
VERIZON COMMUNICATIONS               COMM    92343V104     3,105     80,120  SH         SOLE                 80,120
VIACOM INC. CL B                     COMM    925524308     4,484    110,000  SH         SHARED                          110,000
VIACOM INC. CL B                     COMM    925524308     7,110    174,440  SH         SOLE                174,440
VORNADO REALTY TRUST                 COMM    929042109     1,228     33,000  SH         SHARED                           33,000
WACHOVIA  CORP - NEW                 COMM    929903102       307      8,420  SH         SOLE                  8,420
WAL-MART STORES INC                  COMM    931142103     8,132    161,000  SH         SHARED                          161,000
WAL-MART STORES INC                  COMM    931142103    14,197    281,078  SH         SOLE                281,078
WALGREEN CO.                         COMM    931422109     1,904     65,230  SH         SOLE                 65,230
WASHINGTON MUTUAL INC                COMM    939322103     2,704     78,300  SH         SHARED                           78,300
WASHINGTON MUTUAL INC                COMM    939322103     3,713    107,540  SH         SOLE                107,540
WASHINGTON POST                      COMM    939640108       332        450  SH         SOLE                    450
WASTE MANAGEMENT INC.                COMM    94106L109        85      3,700  SH         SOLE                  3,700
WEIGHT WATCHERS INTL INC             COMM    948626106     2,207     48,000  SH         SHARED                           48,000
WEIGHT WATCHERS INTL INC             COMM    948626106     3,494     76,000  SH         SOLE                 76,000
WELLCHOICE INC.                      COMM    949475107       120      5,000  SH         SOLE                  5,000
WELLS FARGO & CO                     COMM    949746101     4,453     95,000  SH         SHARED                           95,000
WELLS FARGO & CO                     COMM    949746101     7,186    153,310  SH         SOLE                153,310
WENDY'S INTERNATIONAL INC            COMM    950590109       171      6,330  SH         SOLE                  6,330
WM WRIGLEY JR. CO.                   COMM    982526105       228      4,150  SH         SOLE                  4,150
WYETH CORP                           COMM    983024100       200      5,340  SH         SOLE                  5,340
YAHOO!                               COMM    984332106       223     13,640  SH         SOLE                 13,640
ZIONS BANCORP                        COMM    989701107       115      2,920  SH         SOLE                  2,920
ACCENTURE LTD BERMUDA CL A           COMM    G1150G111       206     11,450  SH         SOLE                 11,450
BUNGE LTD                            COMM    G16962105       120      5,000  SH         SOLE                  5,000
FRESH DEL MONTE PRODUCE              COMM    G36738105       111      5,860  SH         SOLE                  5,860
PLATINUM UNDERWRITERS
  HOLDING                            COMM    G7127P100   158,100  6,000,000  SH         SHARED                        6,000,000