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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 March 31 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 3rd day of May , 1999
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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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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Item 7: Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) Managers --------------------
Class Number Value Amount sole as Defined Shared See Instr. V. a) (b) (c)
(000) in Instr. V. Other Sole Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
A T & T Corp com 001957109 4122 51652 X 0 0 51652
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AT&T Corp-Liberty Media com Lib Grp A 001957208 3723 70793 X 0 0 70793
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Abbott Labs, Inc. com 002824100 12482 266648 X 0 0 266648
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Aetna, Inc. com 008117103 14849 178900 X 0 0 178900
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Alliedsignal com 019512102 11535 234515 X 0 0 234515
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Allstate Corp. com 020002101 1968 53108 X 0 0 53108
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Alltel Corp com 020039103 23130 370825 X 0 0 370825
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American Intl. Group com 026874107 2934 24327 X 0 0 24327
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American Stores Co New com 030096101 18520 561225 X 0 0 561225
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Amgen Inc. com 031162100 30781 411100 X 0 0 411100
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Aon Corporation com 037389103 1926 30458 X 0 0 30458
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Applied Materials, Inc. com 038222105 8187 132725 X 0 0 132725
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Automatic Data Proc. com 053015103 3840 92800 X 0 0 92800
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Bank of New York Inc. com 064057102 55 1536 X 0 0 1536
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Bank of New York Inc. com 064057102 62459 1737984 0 X 0 1 1737984
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Banc One Corp. com 06423A103 26967 489753 X 0 0 489753
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Bank of Rhode Island com 064576101 1587 153000 X 0 0 153000
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Bankamerica com 06605F102 279 3925 X 0 0 3925
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Becton Dickinson & Co. com 075887109 20189 526955 X 0 0 526955
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Bell Atlantic Corp. com 077853109 13851 267980 X 0 0 267980
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Belo A H Corp. Del com ser a 080555105 1699 93125 X 0 0 93125
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Boeing Co. com 097023105 423 12445 X 0 0 12445
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Bristol Myers Squibb com 110122108 1367 21320 X 0 0 21320
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CMG Information Services com 125750109 3145 17180 X 0 0 17180
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CMS Energy Corp. com 125896100 4732 117575 X 0 0 117575
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COLUMN TOTALS: 274750
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Page 2 of 6 FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Item 7: Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) Managers ----------------------
Class Number Value Amount sole as Defined Shared See Instr. V. (a) (b) (c)
(000) in Instr. V. Other Sole Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Ceridian Corporation com 15677T106 14456 395391 X 0 0 395391
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Charter One Financial com 160903100 867 30038 X 0 0 30038
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Checkfree Corporation com 162816102 1490 35000 0 X 0 1 35000
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Chevron Corp. com 166751107 18152 204527 X 0 0 204527
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Cincinnati Bell, Inc. com 171870108 22 1000 X 0 0 1000
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Cincinnati Bell, Inc. com 171870108 33066 1473714 0 X 0 1 1473714
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Cincinnati Financial com 172062101 2218 60887 X 0 0 60887
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Cincinnati Financial com 172062101 126100 3460721 0 X 0 1 3460721
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Cincinnati Financial sr cv db 5.5%02 172062AB7 8747 3410000 X 0 0 3410000
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Cinergy Corporation com 172474108 3949 143600 X 0 0 143600
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Cintas Corporation com 172908105 378 5780 X 0 0 5780
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Cintas Corporation com 172908105 71527 1094100 0 X 0 1 1094100
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Citigroup com 172967101 20885 326964 X 0 0 326964
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Clorox Company com 189054109 204 1745 X 0 0 1745
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Columbia Energy Group com 197648108 741 14175 X 0 0 14175
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Compaq Computer Corp. com 204493100 9625 303740 X 0 0 303740
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Computer Assoc. Int'l com 204912109 1006 28288 X 0 0 28288
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Computer Sciences Corp com 205363104 886 16050 X 0 0 16050
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Conoco, Inc. - CL A cl a 208251306 10236 416750 X 0 0 416750
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Consolidated Stores Corp com 210149100 7341 242186 X 0 0 242186
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Convergys Corporation com 212485106 25237 1473714 0 X 0 1 1473714
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Corning Inc. com 219350105 216 3600 X 0 0 3600
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Costco Companies com 22160Q102 3214 35100 X 0 0 35100
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Crompton & Knowles Corp. com 227111101 176 11200 X 0 0 11200
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DuPont E I De Nemours com 263534109 11678 201125 X 0 0 201125
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COLUMN TOTALS: 372417
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Page 3 of 6 FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ---------------------- Item 7: Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) Managers ---------------------
Class Number Value Amount sole as Defined Shared See Instr. V. (a) (b) (c)
(000) in Instr. V. Other Sole Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Elan Corp. PLC ADR 284131208 4076 58442 X 0 0 58442
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Emerson Electric Co. com 291011104 1308 24700 X 0 0 24700
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Equitable Cos., Inc. com 29444G107 9267 132390 X 0 0 132390
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Excite Inc. com 300904109 577 4120 X 0 0 4120
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Exxon com 302290101 528 7486 X 0 0 7486
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Fed National Mtg Assoc. com 313586109 20896 301745 X 0 0 301745
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Federated New Common com 31410H101 12688 316216 X 0 0 316216
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Fifth Third Bancorp com 316773100 4417 66983 X 0 0 66983
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Fifth Third Bancorp com 316773100 147926 2243432 0 X 0 1 2243432
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First American Corp.-Ten com 318900107 18246 494810 X 0 0 494810
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First Data Corp. com 319963104 10016 234300 0 0 0
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Firstar Corp. com 33763V109 337 3768 X 0 0 3768
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Firstar Corp. com 33763V109 203267 2271137 0 X 0 1 2271137
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Fort Bend Holding Co. com 346824105 810 46296 X 0 0 46296
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Frontier Corp. com 35906P105 30761 592980 X 0 0 592980
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General Electric Co. com 369604103 29425 265990 X 0 0 265990
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General Electric Co. com 369604103 13054 118000 0 X 0 1 118000
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General Mills Inc. com 370334104 317 4200 X 0 0 4200
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Gillette Co. com 375766102 2871 48307 X 0 0 48307
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HCR Manor Care com 404134108 13249 580770 X 0 0 580770
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Healthsouth Corp. com 421924101 8216 791950 X 0 0 791950
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Home Depot, Inc. com 437076102 13602 218506 X 0 0 218506
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Household International com 441815107 1713 37552 X 0 0 37552
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Hussmann International com 448110106 187 12700 X 0 0 12700
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Intel Corp. com 458140100 16938 142485 X 0 0 142485
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COLUMN TOTALS: 564692
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Page 4 of 6 FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Item 7: Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) Managers ----------------------
Class Number Value (000) Amount sole as Defined Shared See Instr. V. (a) (b) (c)
in Instr. V. Other Sole Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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Int'l. Bus. Mach. com 459200101 4082 23032 X 0 0 23032
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Interstate Energy Corp com 460845100 939 35250 X 0 0 35250
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Johnson & Johnson com 478160104 859 9190 X 0 0 9190
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Johnson Controls, Inc. com 478366107 235 3775 X 0 0 3775
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KN Energy, Inc. com 482620101 1200 60211 X 0 0 60211
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Keycorp new com 493267108 220 7250 X 0 0 7250
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Kimberly Clark com 494368103 16330 340650 X 0 0 340650
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LIS Logic Corp. com 502161102 218 7000 X 0 0 7000
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Lilly Eli & Co com 532457108 2646 31173 X 0 0 31173
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Lowe's Companies com 548661107 3802 62850 X 0 0 62850
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Luxottica Grp SPA sponsored adr 55068R202 1966 152690 X 0 0 152690
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MCI Worldcom com 55268B106 28550 322373 X 0 0 322373
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Magna International cl a 559222401 19152 329990 X 0 0 329990
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McCormick & Co. com non vtg 579780206 1022 35250 X 0 0 35250
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McDonalds Corporation com 580135101 16058 354404 X 0 0 354404
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Mead Corporation com 582834107 16547 538100 X 0 0 538100
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Mellon Bank com 585509102 14976 212810 X 0 0 212810
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Merck & Co., Inc. com 589331107 24017 299745 X 0 0 299745
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Metra BioSystems com 591591102 49 45000 X 0 0 45000
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Mobil Corporation com 607059102 24821 282055 X 0 0 282055
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Newell Rubbermaid new com 651229106 20870 439359 X 0 0 439359
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Noble Affiliates com 654894104 1637 56464 X 0 0 56464
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North Fork Bancorp com 659424105 11076 524300 X 0 0 524300
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Northern Telecom Ltd com 665815106 28937 465790 X 0 0 465790
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Office Max com 67622M108 662 76765 X 0 0 76765
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Ohio Casualty com 677240103 8480 217425 X 0 0 217425
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COLUMN TOTALS: 249351
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Page 5 of 6 FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Item 7: Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) Managers ------------------------
Class Number Value Amount sole as Defined Shared See Instr. V. (a) (b) (c)
(000) in Instr. V. Other Sole Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Online Resources & Comm com 68273#103 500 200000 X 0 0 200000
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Oracle Systems Corp. com 68389X105 1673 63417 X 0 0 63417
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PepsiCo, Inc. com 713448108 22511 574431 X 0 0 574431
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Pfizer Inc. com 717081103 1082 7800 X 0 0 7800
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Procter & Gamble com 742718109 8903 90913 X 0 0 90913
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Procter & Gamble com 742718109 116236 1186834 0 X 0 1 1186834
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Questar Corp com 748356102 334 19700 X 0 0 19700
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Qwest Communications com 749121109 350 4850 X 0 0 4850
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Reliastar Finl com 75952U103 13690 321180 X 0 0 321180
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SBC Communications com 78387G103 20392 432152 X 0 0 432152
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SLM Holding Corp. com 78442A109 18727 448558 X 0 0 448558
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St. Paul Bancorp com 792848103 6694 309093 X 0 0 309093
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Schlumberger Ltd. com 806857108 12586 209118 X 0 0 209118
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Scripps E W Co. Ohio Cl A 811054204 400 9050 X 0 0 9050
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Smithkline Beecham adr rep ord 832378301 304 4250 X 0 0 4250
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Skytel Comm., Inc. pfd cv ex$2.25 83087Q302 1135 40000 X 0 0 40000
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Staples, Inc. com 855030102 2792 84917 X 0 0 84917
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Stewart Enterprises Cl A 860370105 13615 847600 X 0 0 847600
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Stifel Financial com 860630102 9178 1019812 0 X 0 1 1019812
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Sun MicroSystems com 866810104 26252 209915 X 0 0 209915
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Sun MicroSystems com 866810104 8869 70914 0 X 0 1 70914
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Sysco com 871829107 11753 446675 X 0 0 446675
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Telefonica de Espana sponsored adr 879382208 1726 13509 X 0 0 13509
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Tenneco Inc New com 88037E101 8811 315375 X 0 0 315375
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Texaco Inc. com 881694103 539 9500 X 0 0 9500
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COLUMN TOTALS: 309052
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Page 6 of 6 FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
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Item 6: Item 8:
Item 4: Item 5: Investment Discretion Voting Authority
Item 1: Item 2: Item 3: Fair Shares or ----------------------- Item 7: Shares
Name of Issuer Title of CUSIP Market Principal (a) (b) Shared (c) Managers ---------------------
Class Number Value Amount sole as Defined Shared See Instr. V. (a) (b) (c)
(000) in Instr. V. Other Sole Shared None
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<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Thomas & Betts com 884315102 9233 245800 X 0 0 245800
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3Com Corp. com 885535104 205 8800 X 0 0 8800
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Trinity Industries com 896522109 3806 129570 X 0 0 129570
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UnionBancorp, Inc. com 908908106 727 51900 X 0 0 51900
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U S Freightways com 916906100 10730 326400 X 0 0 326400
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Wal-Mart Stores com 931142103 16294 176746 X 0 0 176746
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Warner Lambert com 934488107 582 8785 X 0 0 8785
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Williams Companies com 969457100 28953 732980 X 0 0 732980
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Wisconsin Central Trans com 976592105 5026 379300 X 0 0 379300
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Xilinx, Inc. com 983919101 11205 276250 X 0 0 276250
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Xerox com 984121103 21287 398825 X 0 0 398825
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COLUMN TOTALS: 108048
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GRAND TOTAL: 1878310
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