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FORM INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT OMB APPROVAL
13F MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES -------------------------
EXCHANGE ACT OF 1934 AND RULES THEREUNDER OMB No. 3235-0005
Expires January 31, 1988
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SECURITIES AND EXCHANGE COMMISSION -------------------------
WASHINGTON, D.C. 20549 SEC USE ONLY
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-------------------------
Report for the Calendar Year or Quarter Ended June 30 1999
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(Please read instructions before preparing form.)
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If amended report check here: [ ]
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NAME OF INSTITUTIONAL INVESTMENT MANAGER:
Fort Washington Investment Advisors, Inc. 13F File Number: 28-5330
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BUSINESS ADDRESS:
420 East Fourth Street Cincinnati OH 45202
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Street City State Zip
Name, Phone No., and Title of Person Duly Authorized to Submit This Report.
William Francis Ledwin (513) 361-7610 President
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ATTENTION - Intentional misstatements or omissions of facts constitute Federal
Criminal Violations. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
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The institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information contained
therein is true, correct and complete. It is understood that all required items,
statements and schedules are considered integral parts of this Form and that the
submission of any amendment represents that all unamended items, statements and
schedules remain true, correct and complete as previously submitted.
Pursuant to the requirements of Securities Exchange Act of 1934, the undersigned
institutional manager has caused this report to be signed on its behalf in the City
of Cincinnati and State of Ohio
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on the 10th day of August , 1999
---- ------------------------- ----.
Fort Washington Investment Advisors, Inc.
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(Name of Institutional Investment Manager)
/s/ William F. Ledwin
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(Manual Signature of Person Duly Authorized
to Submit This Report
Name and 13F numbers of ALL Institutional Investment Managers with respect to which this schedule
is filed (other than the one filing this report): (List in alphabetical order).
13F File Numbers will be assigned to Institutional Investment Managers after they file their first report.
Name 13F File No.: Name: 13F File No.:
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1. The Western and Southern Life Insurance Co. 7.
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2. 8.
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3. 9.
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4. 10.
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5. 11.
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PAGE 1 OF 6 FORM 13F NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.
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(SEC Use Only)
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Item 6:
Investment Discretion
---------------------
(b)
Shared Item 8:
as Item 7: Voting Authority
Item 4: Item 5: Defined Managers Shares
Item 2: Item 3: Fair Shares or in (c) See -------------------------
Item 1: Title of CUSIP Market Principal (a) Instr. Shared Instr. (a) Sole (b) (c)
Name of Issuer Class Number Value Amount sole V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
A T & T Corp com 001957109 4,397,802 78,800 X 78,800
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AT&T Corp-Liberty Media com Lib Grp A 001957208 5,159,259 140,390 X 140,390
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Abbott Labs, Inc. com 002824100 12,487,563 275,208 X 275,208
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Aetna, Inc. com 008117103 15,858,163 177,310 X 177,310
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Albertson's Inc. com 013104104 24,721,942 479,466 X 479,466
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Alliant Energy Corp. com 018802108 1,054,245 37,154 X 37,154
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Allied signal com 019512102 13,799,205 219,035 X 219,035
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Allstate Corp. com 020002101 1,917,806 53,458 X 53,458
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Alltel Corp com 020039103 25,636,325 358,550 X 358,550
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American Express Co. com 025816109 201,564 1,549 X 1,549
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American Intl. Group com 026874107 2,861,369 24,405 X 24,405
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Amgen Inc. com 031162100 25,429,009 417,725 X 417,725
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Aon Corporation com 037389103 1,884,589 45,688 X 45,688
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Applied Materials, Inc. com 038222105 19,446,116 263,230 X 263,230
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At Home Corp. Ser A com ser a 045919107 444,376 8,239 X 8,239
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Bank of New York Inc. com 064057102 144,402 3,936 X 3,936
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Bank of New York Inc. com 064057102 63,762,288 1,737,984 X 1 1,737,984
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Bank One Corp. com 06423A103 29,246,260 491,023 X 491,023
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Bank of Rhode Island com 064576101 1,549,125 153,000 X 153,000
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Becton Dickinson & Co. com 075887109 16,549,200 551,640 X 551,640
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Bell Atlantic Corp. com 077853109 17,438,716 266,750 X 266,750
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Bristol Myers Squibb com 110122108 597,310 8,480 X 8,480
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CMGI Inc com 125750109 3,462,937 30,360 X 30,360
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CMS Energy Corp. com 125896100 9,310,529 222,341 X 222,341
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Cardinal Health com 14149Y108 517,809 8,075 X 8,075
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COLUMN TOTALS: 297,877,909
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PAGE 2 OF 6 FORM 13F NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.
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(SEC Use Only)
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Item 6:
Investment Discretion
---------------------
(b)
Shared Item 8:
as Item 7: Voting Authority
Item 4: Item 5: Defined Managers Shares
Item 2: Item 3: Fair Shares or in (c) See -------------------------
Item 1: Title of CUSIP Market Principal (a) Instr. Shared Instr. (a) Sole (b) (c)
Name of Issuer Class Number Value Amount sole V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Ceridian Corporation com 15677T106 19,839,351 606,941 X 606,941
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Charter One Financial com 160903100 835,432 30,038 X 30,038
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Checkfree Corporation com 162816102 964,687 35,000 X 1 35,000
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Chevron Corp. com 166751107 19,581,164 205,982 X 205,982
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Cincinnati Bell, Inc. com 171870108 587,278 23,550 X 23,550
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Cincinnati Bell, Inc. com 171870108 36,750,743 1,473,714 X 1 1,473,714
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Cincinnati Financial com 172062101 2,555,528 68,044 X 68,044
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Cincinnati Financial com 172062101 129,993,332 3,460,721 X 1 3,460,721
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Cincinnati Financial sr cv db 5.5%02 172062AB7 8,955,512 3,410,000 X 3,410,000
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Cinergy Corporation com 172474108 4,838,400 151,200 X 151,200
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Cisco Systems Inc. com 17275R102 235,197 3,650 X 3,650
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Cintas Corporation com 172908105 522,047 7,770 X 7,770
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Cintas Corporation com 172908105 73,509,844 1,094,100 X 1 1,094,100
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Citigroup com 172967101 23,212,704 488,696 X 488,696
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Columbia Energy Group com 197648108 888,595 14,175 X 14,175
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Compaq Computer Corp. com 204493100 555,235 23,441 X 23,441
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Computer Assoc. Int'l com 204912109 1,192,838 21,788 X 21,788
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Computer Sciences Corp com 205363104 404,747 5,850 X 5,850
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Conoco, Inc. - CL A cl a 208251306 11,517,950 413,200 X 413,200
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Consolidated Stores
Corp. com 210149100 6,740,820 249,661 X 249,661
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Convergys Corporation com 212485106 7,750 400 X 400
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Convergys Corporation com 212485106 28,553,209 1,473,714 X 1 1,473,714
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Costco Companies com 22160Q102 2,810,194 35,100 X 35,100
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Crompton & Knowles
Corp. com 227111101 351,056 17,775 X 17,775
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Dayton Hudson com 239753106 269,750 4,150 X 4,150
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Walt Disney Co. com 254687106 331,234 10,750 X 10,750
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COLUMN TOTALS: 376,004,597
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PAGE 3 OF 6 FORM 13F NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.
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(SEC Use Only)
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Item 6:
Investment Discretion
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(b)
Shared Item 8:
as Item 7: Voting Authority
Item 4: Item 5: Defined Managers Shares
Item 2: Item 3: Fair Shares or in (c) See -------------------------
Item 1: Title of CUSIP Market Principal (a) Instr. Shared Instr. (a) Sole (b) (c)
Name of Issuer Class Number Value Amount sole V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DuPont E I De Nemours com 263534109 13,516,994 198,870 X 198,870
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Elan Corp. PLC adr 284131208 3,233,652 116,528 X 116,528
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Emerson Electric Co. com 291011104 896,230 14,240 X 14,240
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Equitable Cos., Inc. com 29444G107 22,235,960 331,880 X 331,880
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Freddie Mac com 313400301 377,000 6,500 X 6,500
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Fed National Mtg Assoc. com 313586109 21,339,386 312,665 X 312,665
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Federated New Common com 31410H101 16,436,564 310,491 X 310,491
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Fifth Third Bancorp com 316773100 4,618,107 69,383 X 69,383
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Fifth Third Bancorp com 316773100 149,328,442 2,243,432 X 1 2,243,432
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First American Corp.
-Tenn com 318900107 24,096,898 579,775 X 579,775
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First Data Corp. com 319963104 11,490,525 234,800 X 234,800
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Firstar Corp. com 33763V109 316,512 11,304 X 11,304
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Firstar Corp. com 33763V109 190,775,508 6,813,411 X 1 6,813,411
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Frontier Corp. com 35906P105 34,776,643 593,205 X 593,205
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General Electric Co. com 369604103 26,506,410 234,570 X 234,570
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General Electric Co. com 369604103 13,334,000 118,000 X 1 118,000
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Gillette Co. com 375766102 1,980,546 48,307 X 48,307
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HCR Manor Care com 404134108 14,201,570 587,145 X 587,145
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Healthsouth Corp. com 421924101 11,493,912 772,700 X 772,700
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Home Depot, Inc. com 437076102 7,726,443 119,906 X 119,906
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Household
International com 441815107 1,762,445 37,202 X 37,202
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Hussmann International com 448110106 327,937 19,800 X 19,800
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Intel Corp. com 458140100 17,493,297 294,006 X 294,006
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Int'l. Bus. Mach. com 459200101 5,953,772 46,064 X 46,064
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Johnson & Johnson com 478160104 760,970 7,765 X 7,765
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KN Energy, Inc. com 482620101 767,872 57,411 X 57,411
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COLUMN TOTALS: 595,747,595
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PAGE 4 OF 6 FORM 13F NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.
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(SEC Use Only)
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Item 6:
Investment Discretion
---------------------
(b)
Shared Item 8:
as Item 7: Voting Authority
Item 4: Item 5: Defined Managers Shares
Item 2: Item 3: Fair Shares or in (c) See -------------------------
Item 1: Title of CUSIP Market Principal (a) Instr. Shared Instr. (a) Sole (b) (c)
Name of Issuer Class Number Value Amount sole V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Keycorp new com 493267108 237,725 7,400 X 7,400
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Kimberly Clark com 494368103 24,160,875 423,875 X 423,875
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Lilly Eli & Co com 532457108 2,247,091 31,373 X 31,373
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Lowe's Companies com 548661107 3,548,071 62,590 X 62,590
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Lucent Technologies com 549463107 326,397 4,840 X 4,840
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Luxottica Grp SPA sponsored adr 55068R202 2,363,010 151,840 X 151,840
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MCI Worldcom com 55268B106 28,008,955 325,450 X 325,450
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Magna International cl a 559222401 24,381,786 429,635 X 429,635
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McCormick & Co. com non vtg 579780206 1,164,656 36,900 X 36,900
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McDonalds Corporation com 580135101 14,562,527 354,104 X 354,104
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Mead Corporation com 582834107 20,415,750 489,000 X 489,000
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Mellon Bank com 585509102 261,900 7,200 X 7,200
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Merck & Co., Inc. com 589331107 22,297,626 302,854 X 302,854
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Metra BioSystems com 591591102 33,516 19,500 X 19,500
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Micron Technology com 595112103 14,272,200 352,400 X 352,400
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Mid-American Waste Sys com 59523F100 0 18,250 X 18,250
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Mobil Corporation com 607059102 29,279,869 296,505 X 296,505
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Morgan Stanley
Dean Witter com 617446448 13,666,469 133,169 X 133,169
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Newell Rubbermaid com 651229106 10,175,834 219,425 X 219,425
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Noble Affiliates com 654894104 1,670,504 59,264 X 59,264
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Nortel Networks Corp. com 656569100 40,585,278 467,505 X 467,505
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North Fork Bancorp com 659424105 12,152,542 568,540 X 568,540
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Office Depot com 676220106 15,983,509 724,465 X 724,465
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Office Max com 67622M108 921,180 76,765 X 76,765
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Ohio Casualty com 677240103 7,869,831 217,850 X 217,850
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Online Resources
& Comm com 68273#103 500,000 200,000 X 200,000
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COLUMN TOTALS: 291,087,101
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<PAGE> 6
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<CAPTION>
PAGE 5 OF 6 FORM 13F NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.
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(SEC Use Only)
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Item 6:
Investment Discretion
---------------------
(b)
Shared Item 8:
as Item 7: Voting Authority
Item 4: Item 5: Defined Managers Shares
Item 2: Item 3: Fair Shares or in (c) See -------------------------
Item 1: Title of CUSIP Market Principal (a) Instr. Shared Instr. (a) Sole (b) (c)
Name of Issuer Class Number Value Amount sole V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Oracle Systems Corp. com 68389X105 2,343,200 63,117 X 63,117
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PepsiCo, Inc. com 713448108 27,629,529 714,173 X 714,173
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Pfizer Inc. com 717081103 899,250 8,250 X 8,250
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Procter & Gamble com 742718109 8,411,634 94,248 X 94,248
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Procter & Gamble com 742718109 105,924,934 1,186,834 X 1 1,186,834
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Questar Corp com 748356102 376,762 19,700 X 19,700
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Reliastar Finl com 75952U103 22,678,906 518,375 X 518,375
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SBC Communications com 78387G103 25,451,850 438,825 X 438,825
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SLM Holding Corp. com 78442A109 20,276,017 442,588 X 442,588
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St. Paul Bancorp com 792848103 328,440 12,880 X 12,880
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Schlumberger Ltd. com 806857108 13,418,510 210,693 X 210,693
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Scripps E W Co. Ohio cl a 811054204 449,466 9,450 X 9,450
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Smithkline Beecham PLC adr rep ord 832378301 280,766 4,250 X 4,250
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Skytel Comm., Inc. pfd cv ex$2.25 83087Q302 1,460,000 40,000 X 40,000
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Staples, Inc. com 855030102 2,620,932 84,717 X 84,717
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Stewart Enterprises cl a 860370105 16,911,067 1,161,275 X 1,161,275
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Stifel Financial com 860630102 9,496,999 1,019,812 X 1 1,019,812
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Sun MicroSystems com 866810104 29,017,382 421,305 X 421,305
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Sun MicroSystems com 866810104 9,768,403 141,828 X 1 141,828
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Sysco com 871829107 13,460,344 451,500 X 451,500
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Telefonica de Espana sponsored adr 879382208 2,027,118 13,778 X 13,778
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Tenneco Inc New com 88037E101 7,837,566 328,275 X 328,275
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Thomas & Betts com 884315102 11,657,756 246,725 X 246,725
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3Com Corp. com 885535104 253,531 9,500 X 9,500
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Trinity Industries com 896522109 4,338,920 129,520 X 129,520
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Tyco International LTD com 902124106 208,450 2,200 X 2,200
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COLUMN TOTALS: 337,527,732
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<CAPTION>
PAGE 6 OF 6 FORM 13F NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.
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(SEC Use Only)
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Item 6:
Investment Discretion
---------------------
(b)
Shared Item 8:
as Item 7: Voting Authority
Item 4: Item 5: Defined Managers Shares
Item 2: Item 3: Fair Shares or in (c) See -------------------------
Item 1: Title of CUSIP Market Principal (a) Instr. Shared Instr. (a) Sole (b) (c)
Name of Issuer Class Number Value Amount sole V. Other V. Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
UnionBancorp, Inc. com 908908106 775,256 51,900 X 51,900
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U S Freightways com 916906100 13,298,634 287,150 X 287,150
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Wal-Mart Stores com 931142103 6,004,326 124,442 X 124,442
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Warner Lambert com 934488107 593,438 8,585 X 8,585
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Williams Companies com 969457100 26,483,026 622,215 X 622,215
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Wisconsin Central
Trans com 976592105 7,157,400 379,200 X 379,200
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Xilinx, Inc. com 983919101 15,861,112 277,050 X 277,050
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Xerox com 984121103 29,705,484 502,950 X 502,950
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COLUMN TOTALS: 99,878,676
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GRAND TOTAL: 1,998,123,610
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