TRUST CO OF TOLEDO NA /OH/
13F-HR, 2000-07-21
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              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, 2000

Check here if Amendment [ ]; Amendment Number:
This Amendment (Check Only one.): [ ] is a restatement.
                                  [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report

Name:    The Trust Company of Toledo, NA
Address: 6135 Trust Dr.  Suite 206

         Holland, OH 43528

13F File Number:1

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:    Lenore Peterson
Title:   Vice President
Phone:   419-865-3066

Signature,  Place,  and Date Of Signing:

Lenore Peterson   Holland OH June 30, 2000


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.
<PAGE>
        FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:          0

Form 13F Information Table Entry Total:    218

Form 13F Information Table Value Total:   $231,782,112



List of Other Managers: NONE

<PAGE>
<TABLE>
<CAPTION>

                                                  13 F  Report Of Managed Assets
                                                                                                                              Page 1

====================================================================================================================================
                                                                         Sh/     Investment         Other       Voting Authority
Name Of Issuer           Type   Cusip        Market Value   Shares/PV    Prn     Discretion         Managers    Sole   Shared   None
====================================================================================================================================
<S>                       <C>  <C>           <C>           <C>            <C>    <C>             <C>           <C>
AT & T CORP COMMON        Com  001957109           16,224         513     SH     Sole               0    21,517         0     13,035
AT & T CORP COMMON        Com  001957109           75,900       2,400     SH     Defined            0         0         0          0
AT & T CORP COMMON        Com  001957109        1,000,552      31,638     SH     Other              0         0         0          0
AT&T CORP-LIBERTY MEDIA G Com  001957208        4,507,736     185,886     SH     Other              0   141,446         0     44,440
A T & T WIRELESS GROUP    Com  001957406          348,438      12,500     SH     Other              0    12,300         0        200
ABBOTT LABORATORIES       Com  002824109          213,900       4,800     SH     Sole               0    13,500         0     16,800
ABBOTT LABORATORIES       Com  002824109          387,694       8,700     SH     Defined            0         0         0          0
ABBOTT LABORATORIES       Com  002824109          748,650      16,800     SH     Other              0         0         0          0
A C NIELSEN CORP COMMON   Com  004833109              440          20     SH     Defined            0    26,820         0        500
A C NIELSEN CORP COMMON   Com  004833109          600,600      27,300     SH     Other              0         0         0          0
AETNA INC (FKA ATENA LIFE Com  008117103           12,838         200     SH     Defined            0       200         0      9,000
AETNA INC (FKA ATENA LIFE Com  008117103          577,688       9,000     SH     Other              0         0         0          0
AFFYMETRIX, INC.          Com  00826T108          544,913       3,300     SH     Other              0     3,300         0          0
AGILENT TECHNOLOGIES INC  Com  00846U101          107,823       1,462     SH     Sole               0     3,349         0      2,478
AGILENT TECHNOLOGIES INC  Com  00846U101          139,166       1,887     SH     Defined            0         0         0          0
AGILENT TECHNOLOGIES INC  Com  00846U101          182,753       2,478     SH     Other              0         0         0          0
ALCOA INC.                Com  013817101          464,000      16,000     SH     Other              0         0         0     16,000
ALLTEL CORP               Com  020039103           24,775         400     SH     Sole               0     1,200         0     10,820
ALLTEL CORP               Com  020039103           49,550         800     SH     Defined            0         0         0          0
ALLTEL CORP               Com  020039103          670,164      10,820     SH     Other              0         0         0          0
AMERICAN ON-LINE          Com  02364J104            5,269         100     SH     Sole               0     3,550         0     11,020
AMERICAN ON-LINE          Com  02364J104           44,784         850     SH     Defined            0         0         0          0
AMERICAN ON-LINE          Com  02364J104          717,604      13,620     SH     Other              0         0         0          0
AMERICAN EXPRESS CO       Com  025816108          437,850       8,400     SH     Other              0     1,200         0      7,200
AMERICAN HOME PRODUCTS    Com  026609106          975,250      16,600     SH     Sole               0    23,825         0     14,800
AMERICAN HOME PRODUCTS    Com  026609106          534,625       9,100     SH     Defined            0         0         0          0
AMERICAN HOME PRODUCTS    Com  026609106          759,344      12,925     SH     Other              0         0         0          0
AMERICAN INTL GROUP INC   Com  026874106           72,204         615     SH     Sole               0     9,472         0      8,600
AMERICAN INTL GROUP INC   Com  026874106           55,519         473     SH     Defined            0         0         0          0
AMERICAN INTL GROUP INC   Com  026874106        1,995,738      16,985     SH     Other              0         0         0          0
AMGEN, INC. COM W/RTS     Com  031162100           29,224         416     SH     Sole               0       716         0      2,200
AMGEN, INC. COM W/RTS     Com  031162100           21,075         300     SH     Defined            0         0         0          0
AMGEN, INC. COM W/RTS     Com  031162100          154,550       2,200     SH     Other              0         0         0          0
ANHEUSER-BUSCH COS        Com  035229102          149,375       2,000     SH     Sole               0     2,200         0      2,500
ANHEUSER-BUSCH COS        Com  035229102           14,938         200     SH     Defined            0         0         0          0
ANHEUSER-BUSCH COS        Com  035229102          186,719       2,500     SH     Other              0         0         0          0
APPLIED MATLS INC W/RTS   Com  038222105           72,500         800     SH     Sole               0       800         0      2,000
APPLIED MATLS INC W/RTS   Com  038222105          181,250       2,000     SH     Other              0         0         0          0
APPLIED MICRO CIRCUITS CO Com  03822W109        1,075,388      10,890     SH     Other              0     6,100         0      4,790
ARIBA INC.                Com  04033V104          598,086       6,100     SH     Other              0     6,100         0          0
AUTOMATIC DATA PROCESSING Com  053015103          782,762      14,614     SH     Sole               0    14,614         0        200
AUTOMATIC DATA PROCESSING Com  053015103           10,713         200     SH     Other              0         0         0          0
AVON PRODUCTS INC         Com  054303102          556,250      12,500     SH     Other              0         0         0     12,500
BP AMOCO PLC SPONSORED AD Com  055622104          562,005       9,936     SH     Sole               0    22,580         0      1,460
BP AMOCO PLC SPONSORED AD Com  055622104          576,033      10,184     SH     Defined            0         0         0          0
BP AMOCO PLC SPONSORED AD Com  055622104          221,725       3,920     SH     Other              0         0         0          0
BMC SOFTWARE              Com  055921100          423,219      11,600     SH     Other              0    11,500         0        100
BANKAMERICA CORPORATION   Com  060505104        1,030,495      23,965     SH     Other              0         0         0     23,965
BANK NEW YORK, INC.       Com  064057102          372,000       8,000     SH     Other              0         0         0      8,000
BANK ONE CORPORATION      Com  06423A103          153,930       5,795     SH     Sole               0    12,341         0        277
BANK ONE CORPORATION      Com  06423A103          173,878       6,546     SH     Defined            0         0         0          0
BANK ONE CORPORATION      Com  06423A103            7,358         277     SH     Other              0         0         0          0
BAXTER INTL               Com  071813108            7,031         100     SH     Defined            0       100         0      6,200
BAXTER INTL               Com  071813108          435,938       6,200     SH     Other              0         0         0          0
BEAR STEARNS              Com  073902108          453,713      10,900     SH     Other              0         0         0     10,900
BELLSOUTH CORP            Com  079860101          137,508       3,226     SH     Sole               0     5,226         0      1,800
BELLSOUTH CORP            Com  079860101           34,100         800     SH     Defined            0         0         0          0
BELLSOUTH CORP            Com  079860101          127,875       3,000     SH     Other              0         0         0          0
BEST BUY COMPANY          Com  086516101          202,400       3,200     SH     Other              0         0         0      3,200
BIOMET INC.               Com  090613100          461,250      12,000     SH     Other              0         0         0     12,000
BOB EVANS FARMS           Com  096761101          854,903      57,232     SH     Sole               0    57,232         0          0
BOEING CO                 Com  097023104           25,088         600     SH     Sole               0     1,600         0      5,000
BOEING CO                 Com  097023104          250,875       6,000     SH     Other              0         0         0          0
BOWATER INC               Com  102183100          397,125       9,000     SH     Other              0         0         0      9,000
BRISTOL MYERS SQUIBB      Com  110122108        9,100,747     156,236     SH     Sole               0   160,886         0      3,200
BRISTOL MYERS SQUIBB      Com  110122108          119,413       2,050     SH     Defined            0         0         0          0
BRISTOL MYERS SQUIBB      Com  110122108          337,850       5,800     SH     Other              0         0         0          0
BROADCOM CORP             Com  111320107        3,656,256      16,700     SH     Other              0    16,500         0        200
BROCADE COMMUNICATIONS SY Com  111621108          844,028       4,600     SH     Other              0     4,600         0          0
BURLINGTON RES W/PFD STK  Com  122014103          367,200       9,600     SH     Other              0         0         0      9,600
CAPITAL HOLDINGS INC COMM Com  14018R101        1,510,887      57,833     SH     Sole               0   574,759         0      6,630
CAPITAL HOLDINGS INC COMM Com  14018R101       13,451,554     514,892     SH     Defined            0         0         0          0
CAPITAL HOLDINGS INC COMM Com  14018R101          226,347       8,664     SH     Other              0         0         0          0
CARNIVAL CORP COMMON      Com  143658102          524,550      26,900     SH     Other              0         0         0     26,900
CEDAR FAIR L.P. DEPOSITOR Com  150185106          173,250       9,000     SH     Defined            0     9,000         0      1,500
CEDAR FAIR L.P. DEPOSITOR Com  150185106           28,875       1,500     SH     Other              0         0         0          0
CELGENE CORP              Com  151020104          388,575       6,600     SH     Other              0     6,600         0          0
CENTRUM INDUSTRIES        Com  15640H106              300       2,000     SH     Sole               0     2,000         0    174,653
CENTRUM INDUSTRIES        Com  15640H106           26,198     174,653     SH     Other              0         0         0          0
CHASE MANHATTAN CORP NEW  Com  16161A108           14,372         312     SH     Defined            0       312         0     15,900
CHASE MANHATTAN CORP NEW  Com  16161A108          732,394      15,900     SH     Other              0         0         0          0
CHEVRON CORP              Com  166751107          149,185       1,759     SH     Sole               0     2,199         0      4,200
CHEVRON CORP              Com  166751107           29,684         350     SH     Defined            0         0         0          0
CHEVRON CORP              Com  166751107          363,846       4,290     SH     Other              0         0         0          0
CIENA CORP                Com  171779101        1,116,806       6,700     SH     Other              0     6,600         0        100
CISCO SYSTEMS, INC.       Com  17275R102          395,359       6,220     SH     Sole               0    18,290         0     29,088
CISCO SYSTEMS, INC.       Com  17275R102            4,449          70     SH     Defined            0         0         0          0
CISCO SYSTEMS, INC.       Com  17275R102        2,611,656      41,088     SH     Other              0         0         0          0
CITIGROUP INC             Com  172967101        1,346,588      22,350     SH     Other              0         0         0     22,350
CLEARNET COMMUNICATIONS I Com  184902104          341,517      12,300     SH     Other              0    12,000         0        300
COCA COLA CO              Com  191216109          141,009       2,455     SH     Sole               0    16,665         0        200
COCA COLA CO              Com  191216109          816,187      14,210     SH     Defined            0         0         0          0
COCA COLA CO              Com  191216109           11,488         200     SH     Other              0         0         0          0
COGNIZANT TECH SOLUTIONS  Com  192446102          331,875      10,000     SH     Defined            0    10,000         0          0
COLGATE PALMOLIVE CO      Com  194162102           17,064         285     SH     Sole               0     2,385         0      5,600
COLGATE PALMOLIVE CO      Com  194162102          461,038       7,700     SH     Other              0         0         0          0
COMCAST CORP CL K         Com  200300200          202,500       5,000     SH     Other              0         0         0      5,000
COMPAQ COMPUTER CORP      Com  204493100          268,406      10,500     SH     Defined            0    10,500         0      7,900
COMPAQ COMPUTER CORP      Com  204493100          201,944       7,900     SH     Other              0         0         0          0
COMPUTER ASSOC INTL INC   Com  204912108           10,084         197     SH     Sole               0    17,885         0     10,925
COMPUTER ASSOC INTL INC   Com  204912108        1,464,628      28,613     SH     Other              0         0         0          0
COMPUTER SCIENCES CORP    Com  205363104           22,406         300     SH     Sole               0     3,600         0          0
COMPUTER SCIENCES CORP    Com  205363104          246,469       3,300     SH     Defined            0         0         0          0
CONOCO INC CL B           Com  208251405          564,201      22,970     SH     Other              0         0         0     22,970
CONVERGYS CORP            Com  212485106          726,250      14,000     SH     Other              0    13,600         0        400
CORNING INC.              Com  21935010           580,231       2,150     SH     Other              0       400         0      1,750
COSTCO WHOLESALE CORP     Com  22160K105          280,500       8,500     SH     Other              0         0         0      8,500
COUNTRYWIDE CREDIT IND    Com  222372104           12,125         400     SH     Defined            0       400         0     13,700
COUNTRYWIDE CREDIT IND    Com  222372104          415,281      13,700     SH     Other              0         0         0          0
CRITICAL PATH INC.        Com  22674V100          606,450      10,400     SH     Other              0    10,400         0          0
DQE INC. COMMON           Com  23329J104           59,250       1,500     SH     Sole               0     1,500         0      4,500
DQE INC. COMMON           Com  23329J104          177,750       4,500     SH     Other              0         0         0          0
DEERE & CO                Com  244199104          299,700       8,100     SH     Other              0       600         0      7,500
DELPHI AUTOMOTIVE SYSTEMS Com  247126105            1,456         100     SH     Defined            0       162         0     34,549
DELPHI AUTOMOTIVE SYSTEMS Com  247126105          504,023      34,611     SH     Other              0         0         0          0
DELTA AIR LINES INC       Com  247361108          723,044      14,300     SH     Other              0         0         0     14,300
DILLARDS INC. CL A        Com  254067101          382,200      31,200     SH     Other              0         0         0     31,200
DISNEY COMPANY COMMON     Com  254687106          175,238       4,515     SH     Sole               0    10,265         0     13,785
DISNEY COMPANY COMMON     Com  254687106          223,172       5,750     SH     Defined            0         0         0          0
DISNEY COMPANY COMMON     Com  254687106          535,030      13,785     SH     Other              0         0         0          0
DU PONT DE NEMOURS EI CO  Com  263534109            7,744         177     SH     Sole               0       767         0      6,785
DU PONT DE NEMOURS EI CO  Com  263534109           21,438         490     SH     Defined            0         0         0          0
DU PONT DE NEMOURS EI CO  Com  263534109          301,219       6,885     SH     Other              0         0         0          0
DUKE ENERGY CORP          Com  264399105           33,825         600     SH     Sole               0       600         0      5,700
DUKE ENERGY CORP          Com  264399105          321,338       5,700     SH     Other              0         0         0          0
DUN & BRADSTREET CORPORAT Com  26483B106          238,131       8,319     SH     Defined            0     9,519         0          0
DUN & BRADSTREET CORPORAT Com  26483B106           34,350       1,200     SH     Other              0         0         0          0
EMC CORPORATION           Com  268648102           30,313         394     SH     Sole               0       394         0      8,156
EMC CORPORATION           Com  268648102          627,502       8,156     SH     Other              0         0         0          0
EL PASO ENERGY CORPORATIO Com  283905107          317,850       6,240     SH     Defined            0     9,040         0      1,870
EL PASO ENERGY CORPORATIO Com  283905107          237,878       4,670     SH     Other              0         0         0          0
EMERSON ELEC CO           Com  291011103          196,340       3,252     SH     Sole               0     7,894         0      6,400
EMERSON ELEC CO           Com  291011103          280,261       4,642     SH     Defined            0         0         0          0
EMERSON ELEC CO           Com  291011103          386,400       6,400     SH     Other              0         0         0          0
ENCOMPASS SERVICES INC    Com  29255U104        2,299,517     399,916     SH     Defined            0   399,916         0         71
ENCOMPASS SERVICES INC    Com  29255U104              408          71     SH     Other              0         0         0          0
ENRON CORP                Com  293561105          470,850       7,300     SH     Other              0     2,800         0      4,500
EXODUS COMMUNICATIONS INC Com  302088109          340,863       7,400     SH     Other              0     6,800         0        600
EXXON-MOBIL CORPORATION   Com  30231G102        2,038,174      25,964     SH     Sole               0    38,067         0      5,806
EXXON-MOBIL CORPORATION   Com  30231G102          863,108      10,995     SH     Defined            0         0         0          0
EXXON-MOBIL CORPORATION   Com  30231G102          542,749       6,914     SH     Other              0         0         0          0
FAIRCHILD SEMICONDUCTOR I Com  303726103        1,437,750      35,500     SH     Other              0    35,500         0          0
FEDERAL HOME LOAN MORTGAG Com  313400301            7,898         195     SH     Sole               0       195         0      8,200
FEDERAL HOME LOAN MORTGAG Com  313400301          332,100       8,200     SH     Other              0         0         0          0
FEDERAL NATIONAL MORTGAGE Com  313586109            9,394         180     SH     Sole               0     7,580         0      3,000
FEDERAL NATIONAL MORTGAGE Com  313586109          386,188       7,400     SH     Defined            0         0         0          0
FEDERAL NATIONAL MORTGAGE Com  313586109          156,563       3,000     SH     Other              0         0         0          0
FIFTH THIRD BANCORP, COMM Com  316773100          898,087      14,199     SH     Sole               0    71,463         0          0
FIFTH THIRD BANCORP, COMM Com  316773100        3,400,573      53,764     SH     Defined            0         0         0          0
FIFTH THIRD BANCORP, COMM Com  316773100          221,375       3,500     SH     Other              0         0         0          0
FIRST UNION CORP          Com  33735810           750,578      30,250     SH     Other              0         0         0     30,250
FIRSTAR CORP - NEW        Com  33763V109          189,563       9,000     SH     Sole               0    31,077         0          0
FIRSTAR CORP - NEW        Com  33763V109          275,434      13,077     SH     Defined            0         0         0          0
FIRSTAR CORP - NEW        Com  33763V109          189,563       9,000     SH     Other              0         0         0          0
FLEETBOSTON FINANCIAL COR Com  339030108           68,000       2,000     SH     Sole               0     2,000         0     14,900
FLEETBOSTON FINANCIAL COR Com  339030108          506,600      14,900     SH     Other              0         0         0          0
FORD MOTOR CO             Com  345370100            4,730         110     SH     Sole               0       710         0     15,300
FORD MOTOR CO             Com  345370100          683,700      15,900     SH     Other              0         0         0          0
FORTUNE BRANDS INC. (FKA  Com  349631101          398,981      17,300     SH     Other              0         0         0     17,300
FUTURA BANC CORP          Com  36113R108          210,240      10,512     SH     Defined            0    10,512         0          0
GTE CORP                  Com  362320103           37,350         600     SH     Sole               0     1,176         0      4,330
GTE CORP                  Com  362320103           35,856         576     SH     Defined            0         0         0          0
GTE CORP                  Com  362320103          269,543       4,330     SH     Other              0         0         0          0
GENERAL ELECTRIC CO       Com  369604103        2,507,748      47,316     SH     Sole               0    95,416         0     29,334
GENERAL ELECTRIC CO       Com  369604103        2,231,300      42,100     SH     Defined            0         0         0          0
GENERAL ELECTRIC CO       Com  369604103        1,872,702      35,334     SH     Other              0         0         0          0
GENERAL MOTORS CORP       Com  370442105           53,476         921     SH     Sole               0     1,111         0      6,200
GENERAL MOTORS CORP       Com  370442105            5,806         100     SH     Defined            0         0         0          0
GENERAL MOTORS CORP       Com  370442105          365,213       6,290     SH     Other              0         0         0          0
GILLETTE CO               Com  375766102           10,481         300     SH     Sole               0       660         0      9,750
GILLETTE CO               Com  375766102          353,218      10,110     SH     Other              0         0         0          0
HCA - THE HEALTHCARE CO.  Com  404119109          440,438      14,500     SH     Other              0         0         0     14,500
HALLIBURTON CO            Com  406216101        1,085,313      23,000     SH     Other              0         0         0     23,000
HARTFORD FINANCIAL SERVIC Com  416515104           22,375         400     SH     Defined            0       400         0     14,000
HARTFORD FINANCIAL SERVIC Com  416515104          783,125      14,000     SH     Other              0         0         0          0
HEALTH CARE REIT          Com  42217K106          144,251       8,877     SH     Sole               0    47,379         0        125
HEALTH CARE REIT          Com  42217K106          294,970      18,152     SH     Defined            0         0         0          0
HEALTH CARE REIT          Com  42217K106          332,719      20,475     SH     Other              0         0         0          0
HELLER FINANCIAL INC CL A Com  423328103          588,350      28,700     SH     Other              0         0         0     28,700
HEWLETT PACKARD CO        Com  428236103          479,520       3,840     SH     Sole               0     8,790         0      6,500
HEWLETT PACKARD CO        Com  428236103          618,131       4,950     SH     Defined            0         0         0          0
HEWLETT PACKARD CO        Com  428236103          811,688       6,500     SH     Other              0         0         0          0
HOME DEPOT INC            Com  437076102           13,633         273     SH     Sole               0     8,653         0      5,922
HOME DEPOT INC            Com  437076102           33,958         680     SH     Defined            0         0         0          0
HOME DEPOT INC            Com  437076102          680,249      13,622     SH     Other              0         0         0          0
HONEYWELL INTERNATIONAL I Com  438516106           32,071         952     SH     Sole               0     4,685         0      2,000
HONEYWELL INTERNATIONAL I Com  438516106          125,755       3,733     SH     Defined            0         0         0          0
HONEYWELL INTERNATIONAL I Com  438516106           67,375       2,000     SH     Other              0         0         0          0
IMS HEALTH INCORPORATED   Com  449934108           21,600       1,200     SH     Sole               0    25,120         0     12,200
IMS HEALTH INCORPORATED   Com  449934108          223,560      12,420     SH     Defined            0         0         0          0
IMS HEALTH INCORPORATED   Com  449934108          426,600      23,700     SH     Other              0         0         0          0
ISS GROUP INC.            Com  450306105        3,327,348      33,700     SH     Other              0    33,700         0          0
ILLINOIS TOOL WORKS INC   Com  452308108          117,762       2,066     SH     Sole               0     2,066         0      4,300
ILLINOIS TOOL WORKS INC   Com  452308108          245,100       4,300     SH     Other              0         0         0          0
INDYMAC MORTGAGE HOLDINGS Com  456607100          542,500      40,000     SH     Other              0         0         0     40,000
INFOSPACE.COM INC         Com  45678T102          447,525       8,100     SH     Other              0     8,100         0          0
INGERSOLL RAND CO         Com  456866101          805,000      20,000     SH     Other              0         0         0     20,000
INTEGRATED DEVICE TECH IN Com  458118106        1,040,628      17,380     SH     Other              0    13,200         0      4,180
INTEL CORP                Com  458140100          947,844       7,090     SH     Sole               0    39,250         0     16,700
INTEL CORP                Com  458140100        3,181,763      23,800     SH     Defined            0         0         0          0
INTEL CORP                Com  458140100        3,350,209      25,060     SH     Other              0         0         0          0
INTL BUSINESS MACHINES CO Com  459200101          222,412       2,030     SH     Sole               0    19,730         0     13,100
INTL BUSINESS MACHINES CO Com  459200101          460,163       4,200     SH     Defined            0         0         0          0
INTL BUSINESS MACHINES CO Com  459200101        2,914,363      26,600     SH     Other              0         0         0          0
INTL PAPER CO             Com  460146103           11,925         400     SH     Sole               0       400         0     21,500
INTL PAPER CO             Com  460146103          640,969      21,500     SH     Other              0         0         0          0
INTERSIL HOLDING CORP CL  Com  46069S109          713,625      13,200     SH     Other              0    13,200         0          0
I2 TECHNOLOGIES INC.      Com  465754109        1,272,041      12,200     SH     Other              0    12,200         0          0
JDS UNIPHASE CORP         Com  46612J101          558,618       4,660     SH     Other              0         0         0      4,660
JOHNSON & JOHNSON         Com  478160104          766,100       7,520     SH     Sole               0    10,145         0      4,874
JOHNSON & JOHNSON         Com  478160104          155,359       1,525     SH     Defined            0         0         0          0
JOHNSON & JOHNSON         Com  478160104          608,601       5,974     SH     Other              0         0         0          0
JUNIPER NETWORKS INC.     Com  48203R104        2,911,250      20,000     SH     Other              0    19,500         0        500
KLA-TENCOR CORP           Com  482480100          474,356       8,100     SH     Other              0     8,100         0          0
KEYCORP NEW COMMON STOCK  Com  493267108        1,060,673      60,180     SH     Sole               0    88,962         0     65,813
KEYCORP NEW COMMON STOCK  Com  493267108          383,908      21,782     SH     Defined            0         0         0          0
KEYCORP NEW COMMON STOCK  Com  493267108        1,283,329      72,813     SH     Other              0         0         0          0
LAM RESEARCH CORP         Com  512807108          768,750      20,500     SH     Other              0    20,500         0          0
LILLY ELI & CO            Com  532457108          529,338       5,300     SH     Sole               0     7,000         0      6,300
LILLY ELI & CO            Com  532457108           79,900         800     SH     Defined            0         0         0          0
LILLY ELI & CO            Com  532457108          719,100       7,200     SH     Other              0         0         0          0
LINCOLN NATIONAL CORP IND Com  534187109            7,225         200     SH     Defined            0       200         0      6,000
LINCOLN NATIONAL CORP IND Com  534187109          216,750       6,000     SH     Other              0         0         0          0
LUCENT TECHNOLOGIES INC   Com  549463107          117,552       1,984     SH     Sole               0     8,116         0     15,581
LUCENT TECHNOLOGIES INC   Com  549463107          363,321       6,132     SH     Defined            0         0         0          0
LUCENT TECHNOLOGIES INC   Com  549463107          923,174      15,581     SH     Other              0         0         0          0
MBNA CORP COMMON          Com  55262L100          379,750      14,000     SH     Other              0         0         0     14,000
MGIC INVESTMENT CORP      Com  552848103          318,500       7,000     SH     Other              0         0         0      7,000
MANDALAY RESORT GROUP     Com  562567107          430,000      21,500     SH     Other              0         0         0     21,500
MANOR CARE INC            Com  564055101           13,594       1,942     SH     Sole               0    15,342         0      2,500
MANOR CARE INC            Com  564055101           93,800      13,400     SH     Defined            0         0         0          0
MANOR CARE INC            Com  564055101           17,500       2,500     SH     Other              0         0         0          0
MARSH & MCLENNAN CO INC   Com  571748101          428,194       4,100     SH     Other              0         0         0      4,100
MCDONALDS CORP            Com  580135100          256,913       7,800     SH     Sole               0    13,000         0     16,500
MCDONALDS CORP            Com  580135100          171,275       5,200     SH     Defined            0         0         0          0
MCDONALDS CORP            Com  580135100          543,469      16,500     SH     Other              0         0         0          0
MEAD CORPORATION          Com  582834105        2,880,192     114,067     SH     Defined            0         0         0    115,567
MEAD CORPORATION          Com  582834105           37,875       1,500     SH     Other              0         0         0          0
MEDIA ONE GROUP INC       Com  58440J104          740,600      11,200     SH     Other              0         0         0     11,200
MEDIMMUNE INC.            Com  584699102          340,400       4,600     SH     Other              0     4,600         0          0
MEDTRONIC INC             Com  585055105           90,161       1,810     SH     Sole               0     1,810         0     10,800
MEDTRONIC INC             Com  585055105          537,975      10,800     SH     Other              0         0         0          0
MERCK & CO INC            Com  589331106          940,419      12,273     SH     Sole               0    23,999         0     16,390
MERCK & CO INC            Com  589331106          672,461       8,776     SH     Defined            0         0         0          0
MERCK & CO INC            Com  589331106        1,481,928      19,340     SH     Other              0         0         0          0
MICROSOFT CORP COMMON     Com  594918104        1,173,600      14,670     SH     Sole               0    67,193         0     27,060
MICROSOFT CORP COMMON     Com  594918104        1,562,800      19,535     SH     Defined            0         0         0          0
MICROSOFT CORP COMMON     Com  594918104        4,803,840      60,048     SH     Other              0         0         0          0
MICRON TECH INC           Com  595112103          466,731       5,300     SH     Other              0     5,300         0          0
MINNESOTA MINING & MFG    Com  604059104          156,090       1,892     SH     Sole               0     2,517         0        400
MINNESOTA MINING & MFG    Com  604059104           76,313         925     SH     Defined            0         0         0          0
MINNESOTA MINING & MFG    Com  604059104            8,250         100     SH     Other              0         0         0          0
MORGAN STANLEY, DEAN WITT Com  617446448          219,780       2,640     SH     Defined            0     2,640         0          0
MOTOROLA INC              Com  620076109            9,068         312     SH     Sole               0     2,112         0     42,575
MOTOROLA INC              Com  620076109        1,289,648      44,375     SH     Other              0         0         0          0
NTL INC.                  Com  629407107          622,700      10,400     SH     Other              0         0         0     10,400
NABORS INDUSTRIES INC     Com  629568106          626,763      15,080     SH     Other              0    12,200         0      2,880
NATIONAL CITY CORP        Com  635405103        2,921,885     171,246     SH     Sole               0   175,614         0     33,440
NATIONAL CITY CORP        Com  635405103           57,467       3,368     SH     Defined            0         0         0          0
NATIONAL CITY CORP        Com  635405103          587,633      34,440     SH     Other              0         0         0          0
NATIONAL SEMICONDUCTOR CO Com  637640103          516,425       9,100     SH     Other              0     9,100         0          0
NEWELL RUBBERMAID INC     Com  651229106          117,678       4,570     SH     Sole               0     5,370         0     10,236
NEWELL RUBBERMAID INC     Com  651229106          284,177      11,036     SH     Other              0         0         0          0
NEWS CP LTD ADR           Com  652487703          381,500       7,000     SH     Other              0         0         0      7,000
NEXTEL COMMUNICATIONS INC Com  65332V103        2,680,013      43,800     SH     Other              0    40,800         0      3,000
NOBLE AFFILIATES INC      Com  654894104          447,000      12,000     SH     Other              0         0         0     12,000
NOKIA CORPORATION ADR     Com  654902204          659,175      13,200     SH     Other              0         0         0     13,200
NORTEL NETWORKS CORP NEW  Com  656568102           13,650         200     SH     Sole               0       200         0      8,601
NORTEL NETWORKS CORP NEW  Com  656568102          587,018       8,601     SH     Other              0         0         0          0
ORACLE CORPORATION (AKA O Com  68389X10            12,609         150     SH     Sole               0       650         0     13,450
ORACLE CORPORATION (AKA O Com  68389X10            42,031         500     SH     Defined            0         0         0          0
ORACLE CORPORATION (AKA O Com  68389X10         1,130,641      13,450     SH     Other              0         0         0          0
OWENS-ILLINOIS, INC. COMM Com  690768403        3,257,049     278,678     SH     Defined            0     1,400         0    278,878
OWENS-ILLINOIS, INC. COMM Com  690768403           18,700       1,600     SH     Other              0         0         0          0
PE CORP-BE BIOSYSTEMS GRO Com  69332S102          658,750      10,000     SH     Other              0     9,100         0        900
PMC SIERRA INC            Com  69344F106          888,438       5,000     SH     Sole               0     5,000         0        300
PMC SIERRA INC            Com  69344F106           53,306         300     SH     Other              0         0         0          0
PACKAGING CORP AMERICA    Com  695156109          415,125      41,000     SH     Other              0         0         0     41,000
PARAMETRIC TECHNOLOGY COR Com  699173100          264,000      24,000     SH     Other              0         0         0     24,000
PARKER HANNIFIN CORP      Com  701094104          366,475      10,700     SH     Other              0         0         0     10,700
PEPSICO INC               Com  713448107          639,900      14,400     SH     Defined            0     9,900         0     11,050
PEPSICO INC               Com  713448107          291,066       6,550     SH     Other              0         0         0          0
PFIZER INC                Com  717081103        1,178,832      24,559     SH     Sole               0    44,769         0     35,930
PFIZER INC                Com  717081103          977,280      20,360     SH     Defined            0         0         0          0
PFIZER INC                Com  717081103        1,717,440      35,780     SH     Other              0         0         0          0
PHARMACIA CORP            Com  71713U102           10,338         200     SH     Defined            0       200         0      5,355
PHARMACIA CORP            Com  71713U102          276,787       5,355     SH     Other              0         0         0          0
PHILIP MORRIS COS INC     Com  718154107          262,969       9,900     SH     Sole               0    10,135         0     39,400
PHILIP MORRIS COS INC     Com  718154107        1,052,805      39,635     SH     Other              0         0         0          0
PORTAL SOFTWARE INC       Com  736126103        1,091,624      17,090     SH     Other              0    14,700         0      2,390
PRAXAIR INC               Com  74005P104          561,563      15,000     SH     Other              0         0         0     15,000
PROCTER & GAMBLE CO       Com  742718108          170,033       2,970     SH     Sole               0     3,970         0      4,785
PROCTER & GAMBLE CO       Com  742718108           57,250       1,000     SH     Defined            0         0         0          0
PROCTER & GAMBLE CO       Com  742718108          273,941       4,785     SH     Other              0         0         0          0
PROVIDIAN FINANCIAL CORP  Com  74406A102           81,000         900     SH     Sole               0       900         0      3,520
PROVIDIAN FINANCIAL CORP  Com  74406A102          316,800       3,520     SH     Other              0         0         0          0
QUANTUM CORP DSSG         Com  747906204          403,000      41,600     SH     Other              0         0         0     41,600
R & B FALCON CORP         Com  74912E101          447,452      18,990     SH     Other              0    15,200         0      3,790
RALSTON-RALSTON PURINA GR Com  751277302           59,813       3,000     SH     Sole               0     3,000         0      8,000
RALSTON-RALSTON PURINA GR Com  751277302          159,500       8,000     SH     Other              0         0         0          0
RELIASTAR FINANCIAL CORP  Com  75952U103          209,750       4,000     SH     Defined            0     4,000         0          0
ROHM & HAAS CO            Com  775371107          576,150      16,700     SH     Other              0         0         0     16,700
ROYAL DUTCH PETROLEUM  1. Com  780257804          147,750       2,400     SH     Sole               0     7,700         0          0
ROYAL DUTCH PETROLEUM  1. Com  780257804          277,031       4,500     SH     Defined            0         0         0          0
ROYAL DUTCH PETROLEUM  1. Com  780257804           49,250         800     SH     Other              0         0         0          0
SBC COMMUNICATIONS INC.   Com  78387G103          394,483       9,121     SH     Sole               0    11,888         0      6,122
SBC COMMUNICATIONS INC.   Com  78387G103          119,673       2,767     SH     Defined            0         0         0          0
SBC COMMUNICATIONS INC.   Com  78387G103          264,777       6,122     SH     Other              0         0         0          0
SARA LEE CORP             Com  803111103            7,725         400     SH     Sole               0       400         0     24,700
SARA LEE CORP             Com  803111103          477,019      24,700     SH     Other              0         0         0          0
SCHERING-PLOUGH CORP      Com  806605101          457,429       9,058     SH     Sole               0    22,317         0        800
SCHERING-PLOUGH CORP      Com  806605101          643,067      12,734     SH     Defined            0         0         0          0
SCHERING-PLOUGH CORP      Com  806605101           66,913       1,325     SH     Other              0         0         0          0
SCHLUMBERGER LTD          Com  806857107           44,775         600     SH     Sole               0     1,100         0      7,200
SCHLUMBERGER LTD          Com  806857107          574,613       7,700     SH     Other              0         0         0          0
SCHWAB CHARLES CORP       Com  808513105          452,256      13,450     SH     Other              0         0         0     13,450
SCRIPPS E.W. INC. NEW CL  Com  811054204          847,100      17,200     SH     Other              0         0         0     17,200
724 SOLUTIONS INC.        Com  81788Q100          346,613       7,900     SH     Other              0     7,900         0          0
SILVERSTREAM SOFTWARE INC Com  827907106          502,425       8,700     SH     Other              0     8,700         0          0
SKY FINANCIAL GROUP INC   Com  83080P103          607,729      38,132     SH     Defined            0    38,132         0      1,086
SKY FINANCIAL GROUP INC   Com  83080P103           17,308       1,086     SH     Other              0         0         0          0
SMITHKLINE BEECHAM ADR UT Com  832378301          104,300       1,600     SH     Sole               0     1,600         0      6,500
SMITHKLINE BEECHAM ADR UT Com  832378301          423,719       6,500     SH     Other              0         0         0          0
SNAP-ON TOOLS CORP        Com  833034101          431,325      16,200     SH     Other              0         0         0     16,200
SUN MICROSYSTEMS W/RTS EX Com  866810104           36,375         400     SH     Sole               0    20,700         0      8,700
SUN MICROSYSTEMS W/RTS EX Com  866810104        2,637,188      29,000     SH     Other              0         0         0          0
SYCAMORE NETWORKS INC.    Com  871206108        1,114,788      10,100     SH     Other              0    10,100         0          0
SYMBOL TECHNOLOGIES, INC. Com  871508107          230,850       4,275     SH     Other              0         0         0      4,275
TECO ENERGY INC           Com  872375100          210,656      10,500     SH     Sole               0    10,500         0          0
TARGET CORPORATION        Com  87612E106           34,800         600     SH     Defined            0       600         0      8,200
TARGET CORPORATION        Com  87612E106          475,600       8,200     SH     Other              0         0         0          0
TEL & DATA SYS INC        Com  879433100          892,225       8,900     SH     Other              0         0         0      8,900
TELLABS INC COM           Com  879664100          520,125       7,600     SH     Other              0         0         0      7,600
TENET HEALTHCARE CORP     Com  88033G100          483,300      17,900     SH     Other              0         0         0     17,900
TEXACO INC                Com  881694102          149,100       2,800     SH     Defined            0     3,710         0     11,000
TEXACO INC                Com  881694102          634,208      11,910     SH     Other              0         0         0          0
TEXAS INSTRUMENTS INC     Com  882508102        1,844,259      26,850     SH     Other              0    16,800         0     10,050
TIME WARNER INC COM       Com  887315109          494,000       6,500     SH     Other              0       500         0      6,000
TORCHMARK CORP            Com  89102710           686,313      27,800     SH     Other              0         0         0     27,800
TOSCO CORP                Com  891490302          571,629      20,190     SH     Other              0         0         0     20,190
TYCO INTNERNATIONAL       Com  902124106          663,250      14,000     SH     Other              0       600         0     13,400
USX-MARATHON GROUP        Com  902905827            2,506         100     SH     Sole               0       100         0     10,000
USX-MARATHON GROUP        Com  902905827          250,625      10,000     SH     Other              0         0         0          0
UNOCAL CORP               Com  915289101          248,438       7,500     SH     Other              0         0         0      7,500
VERITAS SOFTWARE CORP     Com  923436109          605,990       5,362     SH     Other              0     4,600         0        762
VERISIGN INC              Com  92343E102        2,959,905      16,770     SH     Other              0    16,500         0        270
VIACOM INC CLASS B COMMON Com  925524308          560,365       8,218     SH     Other              0       600         0      7,618
VIANT CORP.               Com  92553N107          293,288       9,900     SH     Other              0     9,900         0          0
VITRIA TECHNOLOGY INC     Com  92849Q104          623,475      10,200     SH     Other              0     9,100         0      1,100
VODAFONE AIRTOUCH PLC     Com  92857T107           41,438       1,000     SH     Sole               0    62,829         0        242
VODAFONE AIRTOUCH PLC     Com  92857T107          185,847       4,485     SH     Defined            0         0         0          0
VODAFONE AIRTOUCH PLC     Com  92857T107        2,386,220      57,586     SH     Other              0         0         0          0
VOICESTREAM WIRELESS CORP Com  928615103          224,220       1,928     SH     Other              0         0         0      1,928
WAL-MART STORES INC       Com  931142103          258,391       4,484     SH     Sole               0     4,984         0      3,800
WAL-MART STORES INC       Com  931142103           17,288         300     SH     Defined            0         0         0          0
WAL-MART STORES INC       Com  931142103          230,500       4,000     SH     Other              0         0         0          0
WALGREEN CO               Com  931422109          206,000       6,400     SH     Sole               0     6,600         0     10,300
WALGREEN CO               Com  931422109            6,438         200     SH     Defined            0         0         0          0
WALGREEN CO               Com  931422109          331,531      10,300     SH     Other              0         0         0          0
WASHINGTON MUTUAL INC.    Com  939322103            7,277         252     SH     Defined            0       252         0     13,970
WASHINGTON MUTUAL INC.    Com  939322103          403,384      13,970     SH     Other              0         0         0          0
WELLS FARGO & CO NEW      Com  949746101           96,875       2,500     SH     Defined            0     2,500         0     10,061
WELLS FARGO & CO NEW      Com  949746101          389,864      10,061     SH     Other              0         0         0          0
WORLDCOM INC.             Com  98157D106           68,996       1,504     SH     Sole               0     3,508         0     22,124
WORLDCOM INC.             Com  98157D106           30,002         654     SH     Defined            0         0         0          0
WORLDCOM INC.             Com  98157D106        1,076,870      23,474     SH     Other              0         0         0          0
YAHOO INC                 Com  984332106          433,563       3,500     SH     Other              0     2,400         0      1,100
CATAWBA INVESTMENT COMPAN Com  9M013900         5,608,484       1,022     SH     Sole               0     1,022         0          0
ROOT LEARNING, INC.       Com  9M017700                 0      68,000     SH     Other              0         0         0     68,000
SUPPLIER MARKET.COM INC.  Com  9M034600           199,992      16,226     SH     Defined            0         0         0     16,226
DAIMLER CHRYSLER AG       Com  D1668R123           13,432         258     SH     Sole               0       258         0     19,292
DAIMLER CHRYSLER AG       Com  D1668R123        1,004,390      19,292     SH     Defined            0         0         0          0
CORECOMM LIMITED          Com  G2422R109          409,500      21,000     SH     Other              0         0         0     21,000
GEMSTAR INTERNATIONAL GRO Com  G3788V106           18,436         300     SH     Sole               0       300         0      4,790
GEMSTAR INTERNATIONAL GRO Com  G3788V106          294,360       4,790     SH     Other              0         0         0          0
TRANSOCEAN SEDCO FOREX IN Com  G90078109            6,199         116     SH     Sole               0     4,270         0      6,355
TRANSOCEAN SEDCO FOREX IN Com  G90078109          213,750       4,000     SH     Defined            0         0         0          0
TRANSOCEAN SEDCO FOREX IN Com  G90078109          347,825       6,509     SH     Other              0         0         0          0
MILLICOM INTL CELLULAR SA Com  L6388F102          518,000      14,800     SH     Other              0    14,600         0        200
FLEXTRONICS INTL LTD      Com  Y2573F102        1,495,327      21,770     SH     Other              0    21,300         0        470
PACIFIC CENTURY CYBERWORK Com  Y6801N100           20,000      10,000     SH     Other              0         0         0     10,000
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