TRUST CO OF TOLEDO NA /OH/
13F-HR, 2001-01-17
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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: December 31, 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, N.A.
Address: 6135 Trust Dr.

         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 December 31, 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:    225

Form 13F Information Table Value Total:   $229,527,881



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>
AFLAC INC COMMON STOCK    Com  001055102          267,094       3,700     SH     Other              0     1,500         0      2,200
AT & T CORP COMMON        Com  001957109           46,575       2,700     SH     Defined            0    20,929         0     32,614
AT & T CORP COMMON        Com  001957109          877,025      50,842     SH     Other              0         0         0          0
AT&T CORP-LIBERTY MEDIA G Com  001957208        2,667,554     196,686     SH     Other              0   140,746         0     55,940
ABBOTT LABORATORIES       Com  002824109          155,000       3,200     SH     Sole               0    10,300         0     23,900
ABBOTT LABORATORIES       Com  002824109          343,906       7,100     SH     Defined            0         0         0          0
ABBOTT LABORATORIES       Com  002824109        1,157,656      23,900     SH     Other              0         0         0          0
A C NIELSEN CORP COMMON   Com  004833109              725          20     SH     Defined            0    30,820         0        500
A C NIELSEN CORP COMMON   Com  004833109        1,134,625      31,300     SH     Other              0         0         0          0
AETNA INC                 Com  00817Y108            8,213         200     SH     Defined            0       200         0     12,000
AETNA INC                 Com  00817Y108          492,750      12,000     SH     Other              0         0         0          0
AGILENT TECHNOLOGIES INC  Com  00846U101           65,700       1,200     SH     Sole               0     3,087         0     14,796
AGILENT TECHNOLOGIES INC  Com  00846U101          103,313       1,887     SH     Defined            0         0         0          0
AGILENT TECHNOLOGIES INC  Com  00846U101          810,081      14,796     SH     Other              0         0         0          0
ALBERTSONS INC            Com  013104104          662,500      25,000     SH     Other              0         0         0     25,000
ALCOA INC.                Com  013817101           26,800         800     SH     Defined            0       800         0     20,000
ALCOA INC.                Com  013817101          670,000      20,000     SH     Other              0         0         0          0
ALLTEL CORP               Com  020039103           24,975         400     SH     Sole               0     1,200         0      9,200
ALLTEL CORP               Com  020039103           49,950         800     SH     Defined            0         0         0          0
ALLTEL CORP               Com  020039103          574,425       9,200     SH     Other              0         0         0          0
ALTERA CORP               Com  021441100          368,375      14,000     SH     Other              0         0         0     14,000
AMERICAN ON-LINE          Com  02364J104            3,480         100     SH     Sole               0    11,350         0     22,120
AMERICAN ON-LINE          Com  02364J104           29,580         850     SH     Defined            0         0         0          0
AMERICAN ON-LINE          Com  02364J104        1,131,696      32,520     SH     Other              0         0         0          0
AMERICAN EXPRESS CO       Com  025816108          565,856      10,300     SH     Other              0     1,200         0      9,100
AMERICAN GENERAL CORP     Com  026351106          326,000       4,000     SH     Other              0         0         0      4,000
AMERICAN HOME PRODUCTS    Com  026609106          978,670      15,400     SH     Sole               0    22,625         0     19,700
AMERICAN HOME PRODUCTS    Com  026609106          578,305       9,100     SH     Defined            0         0         0          0
AMERICAN HOME PRODUCTS    Com  026609106        1,132,779      17,825     SH     Other              0         0         0          0
AMERICAN INTL GROUP INC   Com  026874106           39,031         396     SH     Sole               0    13,679         0     14,949
AMERICAN INTL GROUP INC   Com  026874106           69,782         708     SH     Defined            0         0         0          0
AMERICAN INTL GROUP INC   Com  026874106        2,712,834      27,524     SH     Other              0         0         0          0
ANHEUSER-BUSCH COS        Com  035229102          182,000       4,000     SH     Sole               0     4,400         0      5,000
ANHEUSER-BUSCH COS        Com  035229102           18,200         400     SH     Defined            0         0         0          0
ANHEUSER-BUSCH COS        Com  035229102          227,500       5,000     SH     Other              0         0         0          0
APACHE CORP               Com  037411105          798,713      11,400     SH     Other              0     6,300         0      5,100
APPLERA CORP-APPLIED BIOS Com  038020103        1,523,813      16,200     SH     Other              0    16,200         0          0
APPLIED MATLS INC W/RTS   Com  038222105           30,550         800     SH     Sole               0       800         0      7,100
APPLIED MATLS INC W/RTS   Com  038222105          271,131       7,100     SH     Other              0         0         0          0
AUTOMATIC DATA PROCESSING Com  053015103          925,249      14,614     SH     Sole               0    14,614         0        200
AUTOMATIC DATA PROCESSING Com  053015103           12,663         200     SH     Other              0         0         0          0
BJ SERVICES CO            Com  055482103          647,425       9,400     SH     Other              0     9,400         0          0
BP AMOCO PLC SPONSORED AD Com  055622104          450,408       9,408     SH     Sole               0    22,052         0      1,460
BP AMOCO PLC SPONSORED AD Com  055622104          487,559      10,184     SH     Defined            0         0         0          0
BP AMOCO PLC SPONSORED AD Com  055622104          187,670       3,920     SH     Other              0         0         0          0
BAKER HUGHES INC          Com  057224107          290,938       7,000     SH     Other              0         0         0      7,000
BANKAMERICA CORPORATION   Com  060505104        1,025,994      22,365     SH     Other              0         0         0     22,365
BANK NEW YORK, INC.       Com  064057102          441,500       8,000     SH     Other              0         0         0      8,000
BANK ONE CORPORATION      Com  06423A103          198,947       5,432     SH     Sole               0    11,978         0        977
BANK ONE CORPORATION      Com  06423A103          239,747       6,546     SH     Defined            0         0         0          0
BANK ONE CORPORATION      Com  06423A103           35,783         977     SH     Other              0         0         0          0
BAXTER INTL               Com  071813108            8,831         100     SH     Defined            0       100         0      5,800
BAXTER INTL               Com  071813108          512,213       5,800     SH     Other              0         0         0          0
BEAR STEARNS              Com  073902108          243,300       4,800     SH     Other              0         0         0      4,800
BELLSOUTH CORP            Com  079860101          114,625       2,800     SH     Sole               0     4,800         0      1,800
BELLSOUTH CORP            Com  079860101           32,750         800     SH     Defined            0         0         0          0
BELLSOUTH CORP            Com  079860101          122,813       3,000     SH     Other              0         0         0          0
BIOMET INC.               Com  090613100          396,875      10,000     SH     Other              0         0         0     10,000
BOB EVANS FARMS           Com  096761101        1,187,788      55,732     SH     Sole               0    55,732         0          0
BOEING CO                 Com  097023104           39,600         600     SH     Sole               0     1,900         0      5,000
BOEING CO                 Com  097023104           19,800         300     SH     Defined            0         0         0          0
BOEING CO                 Com  097023104          396,000       6,000     SH     Other              0         0         0          0
BOWATER INC               Com  102183100          225,500       4,000     SH     Other              0         0         0      4,000
BRISTOL MYERS SQUIBB      Com  110122108        9,474,056     128,136     SH     Sole               0   132,586         0      3,200
BRISTOL MYERS SQUIBB      Com  110122108          136,784       1,850     SH     Defined            0         0         0          0
BRISTOL MYERS SQUIBB      Com  110122108          428,838       5,800     SH     Other              0         0         0          0
BURLINGTON RES W/PFD STK  Com  122014103          484,800       9,600     SH     Other              0         0         0      9,600
CAPITAL HOLDINGS INC COMM Com  14018R101        2,119,390      56,992     SH     Sole               0   538,120         0      5,431
CAPITAL HOLDINGS INC COMM Com  14018R101       17,822,779     479,268     SH     Defined            0         0         0          0
CAPITAL HOLDINGS INC COMM Com  14018R101          271,134       7,291     SH     Other              0         0         0          0
CARNIVAL CORP COMMON      Com  143658102          847,344      27,500     SH     Other              0       600         0     26,900
CATERPILLAR INC           Com  149123101          141,938       3,000     SH     Sole               0     3,400         0     10,000
CATERPILLAR INC           Com  149123101          492,050      10,400     SH     Other              0         0         0          0
CEDAR FAIR L.P. DEPOSITOR Com  150185106          183,500      10,000     SH     Defined            0    10,000         0      1,500
CEDAR FAIR L.P. DEPOSITOR Com  150185106           27,525       1,500     SH     Other              0         0         0          0
CELGENE CORP              Com  151020104          276,250       8,500     SH     Other              0     7,300         0      1,200
CENTRUM INDUSTRIES        Com  15640H106              260       2,000     SH     Sole               0     2,000         0    174,653
CENTRUM INDUSTRIES        Com  15640H106           22,705     174,653     SH     Other              0         0         0          0
CHASE MANHATTAN CORP NEW  Com  16161A108          132,314       2,912     SH     Defined            0     2,912         0     16,000
CHASE MANHATTAN CORP NEW  Com  16161A108          727,000      16,000     SH     Other              0         0         0          0
CHEVRON CORP              Com  166751107          230,852       2,734     SH     Sole               0     3,084         0      2,900
CHEVRON CORP              Com  166751107           29,553         350     SH     Defined            0         0         0          0
CHEVRON CORP              Com  166751107          244,869       2,900     SH     Other              0         0         0          0
CISCO SYSTEMS, INC.       Com  17275R102          237,915       6,220     SH     Sole               0    16,690         0     25,588
CISCO SYSTEMS, INC.       Com  17275R102            2,678          70     SH     Defined            0         0         0          0
CISCO SYSTEMS, INC.       Com  17275R102        1,376,541      35,988     SH     Other              0         0         0          0
CITIGROUP INC             Com  172967101            2,094          41     SH     Sole               0    17,052         0     32,672
CITIGROUP INC             Com  172967101          102,125       2,000     SH     Defined            0         0         0          0
CITIGROUP INC             Com  172967101        2,434,813      47,683     SH     Other              0         0         0          0
COCA COLA CO              Com  191216109          149,602       2,455     SH     Sole               0    15,705         0        200
COCA COLA CO              Com  191216109          807,422      13,250     SH     Defined            0         0         0          0
COCA COLA CO              Com  191216109           12,188         200     SH     Other              0         0         0          0
COGNIZANT TECH SOLUTIONS  Com  192446102          363,125      10,000     SH     Defined            0    10,000         0          0
COLGATE PALMOLIVE CO      Com  194162102           18,397         285     SH     Sole               0     2,385         0      5,600
COLGATE PALMOLIVE CO      Com  194162102          497,035       7,700     SH     Other              0         0         0          0
COMPAQ COMPUTER CORP      Com  204493100          158,025      10,500     SH     Defined            0    10,500         0      9,600
COMPAQ COMPUTER CORP      Com  204493100          144,480       9,600     SH     Other              0         0         0          0
COMPUTER SCIENCES CORP    Com  205363104           18,038         300     SH     Sole               0     3,600         0          0
COMPUTER SCIENCES CORP    Com  205363104          198,413       3,300     SH     Defined            0         0         0          0
CONOCO INC.               Com  208251306          286,250      10,000     SH     Other              0         0         0     10,000
CONOCO INC CL B           Com  208251405          664,694      22,970     SH     Other              0         0         0     22,970
CORECOMM LIMITED NEW      Com  21869Q108          142,650      28,800     SH     Other              0         0         0     28,800
CORNING INC.              Com  21935010           279,906       5,300     SH     Other              0       800         0      4,500
COSTCO WHOLESALE CORP     Com  22160K105          339,469       8,500     SH     Other              0         0         0      8,500
COUNTRYWIDE CREDIT IND    Com  222372104           20,100         400     SH     Defined            0       400         0     18,700
COUNTRYWIDE CREDIT IND    Com  222372104          939,675      18,700     SH     Other              0         0         0          0
DTE ENGERY CO             Com  233331107          303,713       7,800     SH     Other              0         0         0      7,800
DEERE & CO                Com  244199104          371,081       8,100     SH     Other              0       600         0      7,500
DELL COMPUTER CORP        Com  247025109           13,950         800     SH     Sole               0     1,600         0     11,550
DELL COMPUTER CORP        Com  247025109           13,950         800     SH     Defined            0         0         0          0
DELL COMPUTER CORP        Com  247025109          201,403      11,550     SH     Other              0         0         0          0
DELPHI AUTOMOTIVE SYSTEMS Com  247126105            1,125         100     SH     Defined            0       100         0     34,549
DELPHI AUTOMOTIVE SYSTEMS Com  247126105          388,676      34,549     SH     Other              0         0         0          0
DELTA AIR LINES INC       Com  247361108          853,188      17,000     SH     Other              0         0         0     17,000
DILLARDS INC. CL A        Com  254067101          368,550      31,200     SH     Other              0         0         0     31,200
DISNEY COMPANY COMMON     Com  254687106          104,609       3,615     SH     Sole               0     9,665         0      7,285
DISNEY COMPANY COMMON     Com  254687106          175,072       6,050     SH     Defined            0         0         0          0
DISNEY COMPANY COMMON     Com  254687106          210,810       7,285     SH     Other              0         0         0          0
DU PONT DE NEMOURS EI CO  Com  263534109            8,551         177     SH     Sole               0       667         0      5,710
DU PONT DE NEMOURS EI CO  Com  263534109           23,673         490     SH     Defined            0         0         0          0
DU PONT DE NEMOURS EI CO  Com  263534109          275,864       5,710     SH     Other              0         0         0          0
DUKE ENERGY CORP          Com  264399105           93,775       1,100     SH     Sole               0     1,100         0      7,800
DUKE ENERGY CORP          Com  264399105          664,950       7,800     SH     Other              0         0         0          0
EMC CORPORATION           Com  268648102           26,201         394     SH     Sole               0     6,094         0      9,820
EMC CORPORATION           Com  268648102        1,032,080      15,520     SH     Other              0         0         0          0
EL PASO ENERGY CORPORATIO Com  283905107          446,940       6,240     SH     Defined            0     9,040         0        200
EL PASO ENERGY CORPORATIO Com  283905107          214,875       3,000     SH     Other              0         0         0          0
ELECTRONIC DATA SYSTEMS C Com  285661104           25,410         440     SH     Sole               0       540         0      4,100
ELECTRONIC DATA SYSTEMS C Com  285661104            5,775         100     SH     Defined            0         0         0          0
ELECTRONIC DATA SYSTEMS C Com  285661104          236,775       4,100     SH     Other              0         0         0          0
EMERSON ELEC CO           Com  291011103           98,673       1,252     SH     Sole               0     5,894         0      7,300
EMERSON ELEC CO           Com  291011103          365,848       4,642     SH     Defined            0         0         0          0
EMERSON ELEC CO           Com  291011103          575,331       7,300     SH     Other              0         0         0          0
ENCOMPASS SERVICES INC    Com  29255U104        1,904,199     376,138     SH     Defined            0   376,138         0        200
ENCOMPASS SERVICES INC    Com  29255U104            1,013         200     SH     Other              0         0         0          0
ENRON CORP                Com  293561105          124,688       1,500     SH     Defined            0     4,300         0      4,500
ENRON CORP                Com  293561105          606,813       7,300     SH     Other              0         0         0          0
ENZON INC.                Com  293904108          515,119       8,300     SH     Other              0     8,300         0          0
EXXON-MOBIL CORPORATION   Com  30231G102        2,259,853      25,994     SH     Sole               0    37,997         0      7,394
EXXON-MOBIL CORPORATION   Com  30231G102          955,878      10,995     SH     Defined            0         0         0          0
EXXON-MOBIL CORPORATION   Com  30231G102          730,449       8,402     SH     Other              0         0         0          0
FEDERAL HOME LOAN MORTGAG Com  313400301           13,431         195     SH     Sole               0       195         0      8,200
FEDERAL HOME LOAN MORTGAG Com  313400301          564,775       8,200     SH     Other              0         0         0          0
FEDERAL NATIONAL MORTGAGE Com  313586109           15,615         180     SH     Sole               0     7,880         0      3,000
FEDERAL NATIONAL MORTGAGE Com  313586109          667,975       7,700     SH     Defined            0         0         0          0
FEDERAL NATIONAL MORTGAGE Com  313586109          260,250       3,000     SH     Other              0         0         0          0
FIFTH THIRD BANCORP, COMM Com  316773100          724,947      12,133     SH     Sole               0    94,348         0          0
FIFTH THIRD BANCORP, COMM Com  316773100        4,598,659      76,965     SH     Defined            0         0         0          0
FIFTH THIRD BANCORP, COMM Com  316773100          313,688       5,250     SH     Other              0         0         0          0
FIRST UNION CORP          Com  33735810             5,563         200     SH     Defined            0       200         0     33,050
FIRST UNION CORP          Com  33735810           919,203      33,050     SH     Other              0         0         0          0
FIRSTAR CORP - NEW        Com  33763V109          209,250       9,000     SH     Sole               0    31,077         0          0
FIRSTAR CORP - NEW        Com  33763V109          304,040      13,077     SH     Defined            0         0         0          0
FIRSTAR CORP - NEW        Com  33763V109          209,250       9,000     SH     Other              0         0         0          0
FLEETBOSTON FINANCIAL COR Com  339030108          312,708       8,325     SH     Sole               0     8,325         0     20,600
FLEETBOSTON FINANCIAL COR Com  339030108          773,788      20,600     SH     Other              0         0         0          0
FORD MOTOR COMPANY        Com  345370860            4,500         192     SH     Sole               0     1,764         0     26,747
FORD MOTOR COMPANY        Com  345370860           12,281         524     SH     Defined            0         0         0          0
FORD MOTOR COMPANY        Com  345370860          651,445      27,795     SH     Other              0         0         0          0
FORTUNE BRANDS INC. (FKA  Com  349631101          519,000      17,300     SH     Other              0         0         0     17,300
FUTURA BANC CORP          Com  36113R108          199,462      11,563     SH     Defined            0    11,563         0          0
GENENTECH INC             Com  368710406        1,735,950      21,300     SH     Other              0    20,900         0        400
GENERAL ELECTRIC CO       Com  369604103        1,962,034      40,929     SH     Sole               0    84,829         0     27,834
GENERAL ELECTRIC CO       Com  369604103        2,046,931      42,700     SH     Defined            0         0         0          0
GENERAL ELECTRIC CO       Com  369604103        1,391,817      29,034     SH     Other              0         0         0          0
GENERAL MOTORS CLASS H    Com  370442832          264,500      11,500     SH     Other              0         0         0     11,500
HCA - THE HEALTHCARE CO.  Com  404119109          330,075       7,500     SH     Other              0         0         0      7,500
HALLIBURTON CO            Com  406216101          859,125      23,700     SH     Other              0         0         0     23,700
JOHN HANCOCK FINANCIAL SE Com  41014S106          379,448      10,085     SH     Defined            0    10,085         0          0
HARTFORD FINANCIAL SERVIC Com  416515104           28,250         400     SH     Defined            0       400         0     14,000
HARTFORD FINANCIAL SERVIC Com  416515104          988,750      14,000     SH     Other              0         0         0          0
HASBRO INC                Com  418056107          478,125      45,000     SH     Other              0         0         0     45,000
HEALTH CARE REIT          Com  42217K106          418,096      25,729     SH     Sole               0    48,729         0        125
HEALTH CARE REIT          Com  42217K106           43,063       2,650     SH     Defined            0         0         0          0
HEALTH CARE REIT          Com  42217K106          332,719      20,475     SH     Other              0         0         0          0
HEINZ H J CO              Com  423074103           21,347         450     SH     Sole               0       450         0      7,750
HEINZ H J CO              Com  423074103          367,641       7,750     SH     Other              0         0         0          0
HELLER FINANCIAL INC CL A Com  423328103          880,731      28,700     SH     Other              0         0         0     28,700
HEWLETT PACKARD CO        Com  428236103          546,189      17,305     SH     Sole               0    27,085         0     13,000
HEWLETT PACKARD CO        Com  428236103          308,681       9,780     SH     Defined            0         0         0          0
HEWLETT PACKARD CO        Com  428236103          410,313      13,000     SH     Other              0         0         0          0
HOME DEPOT INC            Com  437076102           12,473         273     SH     Sole               0     8,653         0     10,022
HOME DEPOT INC            Com  437076102           31,068         680     SH     Defined            0         0         0          0
HOME DEPOT INC            Com  437076102          809,674      17,722     SH     Other              0         0         0          0
HONEYWELL INTERNATIONAL I Com  438516106          176,618       3,733     SH     Defined            0     3,733         0      6,000
HONEYWELL INTERNATIONAL I Com  438516106          283,875       6,000     SH     Other              0         0         0          0
HOUSEHOLD INTL INC        Com  441815106          132,000       2,400     SH     Sole               0    14,100         0          0
HOUSEHOLD INTL INC        Com  441815106          643,500      11,700     SH     Other              0         0         0          0
HUMAN GENOME SCIENCES INC Com  444903108          304,975       4,400     SH     Other              0     4,400         0          0
HUNTINGTON BANCSHARES INC Com  446150104          135,328       8,360     SH     Sole               0     9,970         0        779
HUNTINGTON BANCSHARES INC Com  446150104           26,062       1,610     SH     Defined            0         0         0          0
HUNTINGTON BANCSHARES INC Com  446150104           12,610         779     SH     Other              0         0         0          0
IDEC PHARMACEUTICALS CORP Com  449370105          649,252       3,425     SH     Other              0     3,100         0        325
IMS HEALTH INCORPORATED   Com  449934108          335,340      12,420     SH     Defined            0    23,920         0     12,200
IMS HEALTH INCORPORATED   Com  449934108          639,900      23,700     SH     Other              0         0         0          0
ILLINOIS TOOL WORKS INC   Com  452308108           93,275       1,566     SH     Sole               0     1,566         0      5,000
ILLINOIS TOOL WORKS INC   Com  452308108          297,813       5,000     SH     Other              0         0         0          0
INDYMAC MORTGAGE HOLDINGS Com  456607100        1,180,000      40,000     SH     Other              0         0         0     40,000
INGERSOLL RAND CO         Com  456866101        1,046,875      25,000     SH     Other              0         0         0     25,000
INTEL CORP                Com  458140100          441,318      14,680     SH     Sole               0    82,100         0     29,200
INTEL CORP                Com  458140100        1,494,106      49,700     SH     Defined            0         0         0          0
INTEL CORP                Com  458140100        1,410,533      46,920     SH     Other              0         0         0          0
INTL BUSINESS MACHINES CO Com  459200101          170,000       2,000     SH     Sole               0    15,600         0     16,100
INTL BUSINESS MACHINES CO Com  459200101          357,000       4,200     SH     Defined            0         0         0          0
INTL BUSINESS MACHINES CO Com  459200101        2,167,500      25,500     SH     Other              0         0         0          0
INTL PAPER CO             Com  460146103          550,969      13,500     SH     Other              0         0         0     13,500
INTERNET SECURITY SYSTEMS Com  46060X107        1,741,313      22,200     SH     Other              0    22,200         0          0
I2 TECHNOLOGIES INC.      Com  465754109          565,500      10,400     SH     Other              0    10,400         0          0
JOHNSON & JOHNSON         Com  478160104          710,117       6,759     SH     Sole               0     9,784         0      4,674
JOHNSON & JOHNSON         Com  478160104          202,245       1,925     SH     Defined            0         0         0          0
JOHNSON & JOHNSON         Com  478160104          606,631       5,774     SH     Other              0         0         0          0
JUNIPER NETWORKS INC.     Com  48203R104          453,825       3,600     SH     Other              0     3,100         0        500
KEYCORP NEW COMMON STOCK  Com  493267108        1,615,040      57,680     SH     Sole               0    84,762         0     65,813
KEYCORP NEW COMMON STOCK  Com  493267108          618,296      22,082     SH     Defined            0         0         0          0
KEYCORP NEW COMMON STOCK  Com  493267108        1,982,764      70,813     SH     Other              0         0         0          0
KIMBERLY CLARK CORP       Com  494368101           84,828       1,200     SH     Sole               0     2,300         0      5,100
KIMBERLY CLARK CORP       Com  494368101          438,278       6,200     SH     Other              0         0         0          0
LSI LOGIC CORP            Com  502161102          358,890      21,000     SH     Other              0         0         0     21,000
LEAR CORP                 Com  521865105          372,188      15,000     SH     Other              0         0         0     15,000
LILLY ELI & CO            Com  532457108          493,231       5,300     SH     Sole               0     7,000         0      3,800
LILLY ELI & CO            Com  532457108           74,450         800     SH     Defined            0         0         0          0
LILLY ELI & CO            Com  532457108          437,394       4,700     SH     Other              0         0         0          0
LINCOLN NATIONAL CORP IND Com  534187109            9,463         200     SH     Defined            0       200         0     15,500
LINCOLN NATIONAL CORP IND Com  534187109          733,344      15,500     SH     Other              0         0         0          0
LOWES COMPANIES INC       Com  548661107          287,381       6,458     SH     Other              0         0         0      6,458
MBNA CORP COMMON          Com  55262L100          369,375      10,000     SH     Other              0         0         0     10,000
MGIC INVESTMENT CORP      Com  552848103        1,281,313      19,000     SH     Other              0     5,900         0     13,100
MANDALAY RESORT GROUP     Com  562567107          236,925      10,800     SH     Other              0         0         0     10,800
MANOR CARE INC            Com  564055101           24,585       1,192     SH     Sole               0    14,592         0      2,500
MANOR CARE INC            Com  564055101          255,750      12,400     SH     Defined            0         0         0          0
MANOR CARE INC            Com  564055101           72,188       3,500     SH     Other              0         0         0          0
MARSH & MCLENNAN CO INC   Com  571748101          380,250       3,250     SH     Other              0         0         0      3,250
MCDONALDS CORP            Com  580135100          265,200       7,800     SH     Sole               0    13,000         0      8,400
MCDONALDS CORP            Com  580135100          176,800       5,200     SH     Defined            0         0         0          0
MCDONALDS CORP            Com  580135100          285,600       8,400     SH     Other              0         0         0          0
MEAD CORPORATION          Com  582834105        3,578,852     114,067     SH     Defined            0         0         0    115,567
MEAD CORPORATION          Com  582834105           47,063       1,500     SH     Other              0         0         0          0
MEDTRONIC INC             Com  585055105          109,279       1,810     SH     Sole               0     1,810         0      8,700
MEDTRONIC INC             Com  585055105          525,263       8,700     SH     Other              0         0         0          0
MELLON FINANCIAL CORPORAT Com  58551A108          147,563       3,000     SH     Defined            0     3,000         0      7,400
MELLON FINANCIAL CORPORAT Com  58551A108          363,988       7,400     SH     Other              0         0         0          0
MERCK & CO INC            Com  589331106        1,149,060      12,273     SH     Sole               0    23,199         0     12,850
MERCK & CO INC            Com  589331106          859,103       9,176     SH     Defined            0         0         0          0
MERCK & CO INC            Com  589331106        1,366,925      14,600     SH     Other              0         0         0          0
MICROSOFT CORP COMMON     Com  594918104          514,514      11,862     SH     Sole               0    65,485         0     29,461
MICROSOFT CORP COMMON     Com  594918104          895,043      20,635     SH     Defined            0         0         0          0
MICROSOFT CORP COMMON     Com  594918104        2,708,725      62,449     SH     Other              0         0         0          0
MILLENNIUM PHARMACEUTICAL Com  599902103          347,119       5,610     SH     Other              0     4,700         0        910
MINNESOTA MINING & MFG    Com  604059104          192,800       1,600     SH     Sole               0     2,125         0        400
MINNESOTA MINING & MFG    Com  604059104          111,463         925     SH     Defined            0         0         0          0
MOODY'S CORPORATION       Com  615369105          213,694       8,319     SH     Defined            0     9,519         0          0
MOODY'S CORPORATION       Com  615369105           30,825       1,200     SH     Other              0         0         0          0
MORGAN STANLEY, DEAN WITT Com  617446448          209,220       2,640     SH     Defined            0     2,640         0          0
MOTOROLA INC              Com  620076109            6,318         312     SH     Sole               0       312         0     63,600
MOTOROLA INC              Com  620076109        1,287,900      63,600     SH     Other              0         0         0          0
NTL INC.                  Com  629407107          330,338      13,800     SH     Other              0         0         0     13,800
NABORS INDUSTRIES INC     Com  629568106          483,256       8,170     SH     Other              0     6,800         0      1,370
NATIONAL CITY CORP        Com  635405103        4,783,195     166,372     SH     Sole               0   170,740         0     40,240
NATIONAL CITY CORP        Com  635405103           96,830       3,368     SH     Defined            0         0         0          0
NATIONAL CITY CORP        Com  635405103        1,185,650      41,240     SH     Other              0         0         0          0
NEWELL RUBBERMAID INC     Com  651229106          260,374      11,445     SH     Sole               0    11,445         0        236
NEWELL RUBBERMAID INC     Com  651229106            5,369         236     SH     Other              0         0         0          0
NEXTEL COMMUNICATIONS INC Com  65332V103        1,081,575      43,700     SH     Other              0    43,300         0        400
NOBLE AFFILIATES INC      Com  654894104          690,000      15,000     SH     Other              0         0         0     15,000
NOKIA CORPORATION ADR     Com  654902204            8,700         200     SH     Defined            0       200         0      7,800
NOKIA CORPORATION ADR     Com  654902204          339,300       7,800     SH     Other              0         0         0          0
NORTEL NETWORKS CORP NEW  Com  656568102            6,413         200     SH     Sole               0     5,200         0     20,050
NORTEL NETWORKS CORP NEW  Com  656568102          160,313       5,000     SH     Defined            0         0         0          0
NORTEL NETWORKS CORP NEW  Com  656568102          642,853      20,050     SH     Other              0         0         0          0
NORTHERN TRUST            Com  665859104           48,938         600     SH     Sole               0     2,600         0          0
NORTHERN TRUST            Com  665859104          163,125       2,000     SH     Defined            0         0         0          0
ORACLE CORPORATION        Com  68389X10             8,719         300     SH     Sole               0     1,300         0     23,100
ORACLE CORPORATION        Com  68389X10            29,063       1,000     SH     Defined            0         0         0          0
ORACLE CORPORATION        Com  68389X10           671,344      23,100     SH     Other              0         0         0          0
OWENS-ILLINOIS, INC. COMM Com  690768403           23,888       4,200     SH     Sole               0     7,600         0    280,078
OWENS-ILLINOIS, INC. COMM Com  690768403        1,584,981     278,678     SH     Defined            0         0         0          0
OWENS-ILLINOIS, INC. COMM Com  690768403           27,300       4,800     SH     Other              0         0         0          0
PMC SIERRA INC            Com  69344F106          393,125       5,000     SH     Sole               0     5,000         0        300
PMC SIERRA INC            Com  69344F106           23,588         300     SH     Other              0         0         0          0
PMI GROUP, INC.           Com  69344M101          673,491       9,950     SH     Other              0     8,000         0      1,950
PACKAGING CORP AMERICA    Com  695156109          661,125      41,000     SH     Other              0         0         0     41,000
PARAMETRIC TECHNOLOGY COR Com  699173100          322,500      24,000     SH     Other              0         0         0     24,000
PARKER HANNIFIN CORP      Com  701094104          926,625      21,000     SH     Other              0         0         0     21,000
PEPSICO INC               Com  713448107          713,700      14,400     SH     Defined            0     9,900         0     10,550
PEPSICO INC               Com  713448107          299,853       6,050     SH     Other              0         0         0          0
PERKINELMER INC.          Com  714046109          708,750       6,750     SH     Other              0     6,000         0        750
PFIZER INC                Com  717081103        1,129,714      24,559     SH     Sole               0    40,095         0     36,945
PFIZER INC                Com  717081103          721,556      15,686     SH     Defined            0         0         0          0
PFIZER INC                Com  717081103        1,692,570      36,795     SH     Other              0         0         0          0
PHARMACIA CORP            Com  71713U102           12,200         200     SH     Defined            0       200         0      5,355
PHARMACIA CORP            Com  71713U102          326,655       5,355     SH     Other              0         0         0          0
PHILIP MORRIS COS INC     Com  718154107           26,400         600     SH     Sole               0     1,100         0     39,400
PHILIP MORRIS COS INC     Com  718154107           22,000         500     SH     Defined            0         0         0          0
PHILIP MORRIS COS INC     Com  718154107        1,733,600      39,400     SH     Other              0         0         0          0
PRAXAIR INC               Com  74005P104          843,125      19,000     SH     Other              0         0         0     19,000
PROCTER & GAMBLE CO       Com  742718108           94,125       1,200     SH     Sole               0     2,200         0     11,085
PROCTER & GAMBLE CO       Com  742718108           78,438       1,000     SH     Defined            0         0         0          0
PROCTER & GAMBLE CO       Com  742718108          869,480      11,085     SH     Other              0         0         0          0
PROTEIN DESIGN LABS INC.  Com  74369L103          495,188       5,700     SH     Other              0     5,700         0          0
QLOGIC CORP               Com  747277101          802,725      10,425     SH     Other              0     9,400         0      1,025
QUANTUM CORP DSSG         Com  747906204          551,200      41,600     SH     Other              0         0         0     41,600
QUEST DIAGNOSTICS INC COM Com  74834L100        1,476,800      10,400     SH     Other              0    10,400         0          0
R & B FALCON CORP         Com  74912E101          371,588      16,200     SH     Other              0    16,200         0          0
RESEARCH IN MOTION LTD    Com  760975102        1,208,000      15,100     SH     Other              0    15,100         0          0
ROHM & HAAS CO            Com  775371107          748,038      20,600     SH     Other              0         0         0     20,600
ROWAN CO INC              Com  779382100          372,600      13,800     SH     Other              0    13,800         0          0
ROYAL DUTCH PETROLEUM  1. Com  780257804          145,350       2,400     SH     Sole               0     7,700         0          0
ROYAL DUTCH PETROLEUM  1. Com  780257804          272,531       4,500     SH     Defined            0         0         0          0
ROYAL DUTCH PETROLEUM  1. Com  780257804           48,450         800     SH     Other              0         0         0          0
SBC COMMUNICATIONS INC.   Com  78387G103          405,684       8,496     SH     Sole               0    11,263         0      7,300
SBC COMMUNICATIONS INC.   Com  78387G103          132,124       2,767     SH     Defined            0         0         0          0
SBC COMMUNICATIONS INC.   Com  78387G103          348,575       7,300     SH     Other              0         0         0          0
SSBH CAPITAL I TRUST ORIG Pfd  784646200          205,489       8,675     SH     Other              0     8,675         0          0
SANMINA CORPORATION       Com  800907107        1,555,488      20,300     SH     Other              0    20,300         0          0
SARA LEE CORP             Com  803111103            9,825         400     SH     Sole               0       400         0     24,700
SARA LEE CORP             Com  803111103          606,694      24,700     SH     Other              0         0         0          0
SCHERING-PLOUGH CORP      Com  806605101          514,042       9,058     SH     Sole               0    22,317         0      7,000
SCHERING-PLOUGH CORP      Com  806605101          722,655      12,734     SH     Defined            0         0         0          0
SCHERING-PLOUGH CORP      Com  806605101          427,044       7,525     SH     Other              0         0         0          0
SCHLUMBERGER LTD          Com  806857107           47,963         600     SH     Sole               0     1,100         0      6,000
SCHLUMBERGER LTD          Com  806857107          519,594       6,500     SH     Other              0         0         0          0
SCHWAB CHARLES CORP       Com  808513105           28,375       1,000     SH     Defined            0     1,000         0      7,650
SCHWAB CHARLES CORP       Com  808513105          217,069       7,650     SH     Other              0         0         0          0
SCRIPPS E.W. INC. NEW CL  Com  811054204        1,081,450      17,200     SH     Other              0         0         0     17,200
ADR SERONO S A            Com  81752M101          213,044       8,900     SH     Other              0         0         0      8,900
SIEBEL SYS INC.           Com  826170102          669,488       9,900     SH     Other              0     9,400         0        500
SKY FINANCIAL GROUP INC   Com  83080P103          479,921      28,652     SH     Defined            0    28,652         0      1,193
SKY FINANCIAL GROUP INC   Com  83080P103           19,983       1,193     SH     Other              0         0         0          0
SMITHKLINE BEECHAM ADR UT Com  832378301          402,760       6,500     SH     Other              0         0         0      6,500
SNAP-ON TOOLS CORP        Com  833034101          557,500      20,000     SH     Other              0         0         0     20,000
SONUS NETWORKS INC.       Com  835916107          315,625      12,500     SH     Other              0    12,500         0          0
SPARTAN STORES INC        Com  846822104           21,384       3,564     SH     Sole               0   336,897         0      1,600
SPARTAN STORES INC        Com  846822104        1,999,998     333,333     SH     Defined            0         0         0          0
SPARTAN STORES INC        Com  846822104            9,600       1,600     SH     Other              0         0         0          0
SUN MICROSYSTEMS W/RTS EX Com  866810104           22,300         800     SH     Sole               0       840         0     14,300
SUN MICROSYSTEMS W/RTS EX Com  866810104            1,115          40     SH     Defined            0         0         0          0
SUN MICROSYSTEMS W/RTS EX Com  866810104          398,613      14,300     SH     Other              0         0         0          0
SUNDANCE RESOURCES INC PR Pfd  867264913                0      12,500     SH     Other              0         0         0     12,500
SUNTRUST BKS INC          Com  867914102           63,000       1,000     SH     Defined            0     1,000         0      4,900
SUNTRUST BKS INC          Com  867914102          308,700       4,900     SH     Other              0         0         0          0
SYCAMORE NETWORKS INC.    Com  871206108        1,430,400      38,400     SH     Other              0    38,400         0          0
TECO ENERGY INC           Com  872375100          339,938      10,500     SH     Sole               0    10,500         0          0
TRW INC                   Com  872649107          290,625       7,500     SH     Other              0         0         0      7,500
TARGET CORPORATION        Com  87612E106           38,700       1,200     SH     Defined            0     1,200         0     25,800
TARGET CORPORATION        Com  87612E106          832,050      25,800     SH     Other              0         0         0          0
TEL & DATA SYS INC        Com  879433100          801,000       8,900     SH     Other              0         0         0      8,900
TELLABS INC COM           Com  879664100          474,600       8,400     SH     Other              0         0         0      8,400
TENET HEALTHCARE CORP     Com  88033G100          807,652      18,175     SH     Other              0         0         0     18,175
TERADYNE INC.             Com  880770102          447,000      12,000     SH     Other              0         0         0     12,000
TEXACO INC                Com  881694102          186,375       3,000     SH     Defined            0     3,910         0      4,500
TEXACO INC                Com  881694102          336,096       5,410     SH     Other              0         0         0          0
TEXAS INSTRUMENTS INC     Com  882508102        1,525,475      32,200     SH     Other              0    16,800         0     15,400
TIME WARNER INC COM       Com  887315109          323,888       6,200     SH     Other              0       700         0      5,500
TORCHMARK CORP            Com  89102710         1,068,563      27,800     SH     Other              0         0         0     27,800
TOSCO CORP                Com  891490302          678,750      20,000     SH     Other              0         0         0     20,000
TRIBUNE CO                Com  896047106          295,750       7,000     SH     Other              0         0         0      7,000
TYCO INTNERNATIONAL       Com  902124106          921,300      16,600     SH     Other              0       600         0     16,000
UNITEDHEALTH GROUP INC.   Com  91324P102        1,313,425      21,400     SH     Other              0    21,400         0          0
UNOCAL CORP               Com  915289101          290,156       7,500     SH     Other              0         0         0      7,500
VERITAS SOFTWARE CORP     Com  923436109        1,233,750      14,100     SH     Other              0    14,100         0          0
VERISIGN INC              Com  92343E102        1,943,713      26,200     SH     Other              0    26,200         0          0
VERIZON COMMUNICATIONS IN Com  92343V104          300,399       5,993     SH     Sole               0     6,695         0        178
VERIZON COMMUNICATIONS IN Com  92343V104           35,188         702     SH     Defined            0         0         0          0
VERIZON COMMUNICATIONS IN Com  92343V104            8,922         178     SH     Other              0         0         0          0
VIACOM INC CLASS B COMMON Com  925524308          253,292       5,418     SH     Other              0       600         0      4,818
VODAFONE GROUP PLC        Com  92857W100           35,813       1,000     SH     Sole               0    62,829         0        742
VODAFONE GROUP PLC        Com  92857W100          160,619       4,485     SH     Defined            0         0         0          0
VODAFONE GROUP PLC        Com  92857W100        2,080,205      58,086     SH     Other              0         0         0          0
WAL-MART STORES INC       Com  931142103          238,213       4,484     SH     Sole               0     4,984         0      1,600
WAL-MART STORES INC       Com  931142103           15,938         300     SH     Defined            0         0         0          0
WAL-MART STORES INC       Com  931142103           95,625       1,800     SH     Other              0         0         0          0
WALGREEN CO               Com  931422109          267,600       6,400     SH     Sole               0     6,600         0      6,100
WALGREEN CO               Com  931422109            8,363         200     SH     Defined            0         0         0          0
WALGREEN CO               Com  931422109          255,056       6,100     SH     Other              0         0         0          0
WASHINGTON MUTUAL INC.    Com  939322103           13,372         252     SH     Defined            0       252         0      9,300
WASHINGTON MUTUAL INC.    Com  939322103          493,481       9,300     SH     Other              0         0         0          0
WATSON PHARMACEUTICALS IN Com  942683103          245,700       4,800     SH     Other              0         0         0      4,800
WELLPOINT HEALTH NETWORKS Com  94973H108          437,950       3,800     SH     Other              0     3,800         0          0
WELLS FARGO & CO NEW      Com  949746101          139,219       2,500     SH     Defined            0     2,500         0     10,100
WELLS FARGO & CO NEW      Com  949746101          562,444      10,100     SH     Other              0         0         0          0
WILLIAMS COMPANIES        Com  969457100          303,525       7,600     SH     Other              0         0         0      7,600
WORLDCOM INC.             Com  98157D106           21,150       1,504     SH     Sole               0     2,158         0     33,220
WORLDCOM INC.             Com  98157D106            9,197         654     SH     Defined            0         0         0          0
WORLDCOM INC.             Com  98157D106          467,156      33,220     SH     Other              0         0         0          0
CATAWBA INVESTMENT COMPAN Com  9M013900         6,166,422       1,022     SH     Sole               0     1,022         0          0
PRO AIR INC SERIES A PREF Pfd  9M02410A           150,000      50,000     SH     Defined            0         0         0     50,000
PRO AIR INC. SERIES B PRE Pfd  9M02410B            50,001      16,667     SH     Defined            0         0         0     16,667
CAVISTA CORP. PFD. SERIES Pfd  9M025900           150,000         150     SH     Defined            0       110         0        150
CAVISTA CORP. PFD. SERIES Pfd  9M025900           110,000         110     SH     Other              0         0         0          0
VIRXSYS CORPORATION SERIE Pfd  9M029800            50,000      80,000     SH     Defined            0    80,000         0          0
CORA HEALTH SERVICES CONV Pfd  9M032700            93,148      93,148     SH     Defined            0    93,148         0          0
DAIMLER CHRYSLER AG       Com  D1668R123           10,630         258     SH     Sole               0       258         0     19,292
DAIMLER CHRYSLER AG       Com  D1668R123          794,830      19,292     SH     Defined            0         0         0          0
TRANSOCEAN SEDCO FOREX IN Com  G90078109            5,336         116     SH     Sole               0     4,270         0      6,355
TRANSOCEAN SEDCO FOREX IN Com  G90078109          184,000       4,000     SH     Defined            0         0         0          0
TRANSOCEAN SEDCO FOREX IN Com  G90078109          299,414       6,509     SH     Other              0         0         0          0
FLEXTRONICS INTL LTD      Com  Y2573F102          595,650      20,900     SH     Other              0    20,900         0          0
PACIFIC CENTURY CYBERWORK Com  Y6801N134            6,000      10,000     SH     Other              0         0         0     10,000


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