FORT WASHINGTON INVESTMENT ADVISORS INC /HO/
13F-HR/A, 2000-11-27
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<PAGE>   1




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


                              Form 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2000



Check here if Amendment [X];  Amendment Number: 1
This Amendment (Check only one): [X] is a restatement
                                 [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Fort Washington Investment Advisors, Inc.
Address: 420 East Fourth Street
         Cincinnati, OH 45202



Form 13F File Number 28-5330
                        ----

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:  William F. Ledwin
       --------------------
Title: President
       --------------------
Phone: (513) 361-7610
       --------------------


Signature, Place, and Date of Signing:


William F. Ledwin             Cincinnati, OH                11/22/00
----------------------        --------------                ---------
[Signature]                    [City, State]                [Date]


Report Type (Check only one):

[ ]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
     are reported in this report.)

[ ]  13F NOTICE. (Check here if no holdings reported are in this report, and all
     holdings are reported by other reporting manager(s).

[X]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]


     Form 13F File Number               Name
     28-4774                            Fort Washington Brokerage Services, Inc.


<PAGE>   2
                                13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:        None

Form 13F Information Table Entry Total:   53,012,966

Form 13F Information Table Value Total:   4,255,687,701

List of Other Included Managers:          None

Provide a numbered list of the name(s) and form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

(If there are not entries in this list, state "NONE" and omit the column
headings and list entries.)


No.                           Form 13F File Number         None

                                                           Ft. Washington
                                                           Brokerage Services,
     1                        28-4774                      Inc.
---------------------         ------------------           -------------------
(Repeat as necessary)

<PAGE>   3
<TABLE>
<CAPTION>


PAGE 1 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000
------------------------------------------------------------------------------------------------------------
                                                                           ITEM 4:             ITEM 5:
      ITEM 1:                           ITEM 2:        ITEM 3:             FAIR                SHARES OR
  NAME OF ISSUER                        TITLE OF       CUSIP               MARKET              PRINCIPAL
                                        CLASS          NUMBER              VALUE                AMOUNT
------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>               <C>                  <C>
Global Crossing LTD                       com         G3921A100           3,617,903            137,498

RSL Communications Ltd.                   Cl A        G7702U102             500,962             43,800

Transocean Sedco Forex Inc                ord         G90078109          13,784,807            257,969

Check Point Software Tech                 ord         M22465104             423,500              2,000

Aflac Inc.                                com         001055102           1,746,000             38,004

AES Corp                                  com         00130H105           5,324,437            116,700

A T & T Corp                              com         001957109           2,179,153             68,906

AT&T Corp-Liberty Media              com Lib Grp A    001957208          11,655,908            480,654

AXA Financial Inc.                        com         002451102           8,985,180            264,270

Abbott Labs, Inc.                         com         002824100          21,679,255            486,491

Agilent Technologies                      com         00846U101           5,964,709             80,876

Albertson's Inc.                          com         013104104          13,385,186            402,570

Alcoa Inc                                 com         013817101             324,800             11,200

Alliant Energy Corp.                      com         018802108          12,426,700            477,950

Alltel Corp                               com         020039103          22,237,545            359,032

America Online                            com         02364J104             528,192             10,025

American Express                          com         025816109           1,181,413             22,665

AmericanHome Products                     com         026609107           1,683,187             28,650

American Intl. Group                      com         026874107          12,944,740            110,168

American Tower Corp.                    CL A com      029912201             312,656              7,500

Amgen Inc                                 com         031162100             342,398              4,874

Anheuser Busch Cos. Inc.                  com         035229103             388,374              5,200

Apache Corp.                              com         037411105             367,578              6,250

Applied Materials, Inc.                   com         038222105           8,289,468             91,470

Applied Micro Circuits Corp.              com         03822W109             454,250              4,600

Azurix Corp.                              com         05501M104             140,000             20,000

B P Amoco P L C                      Sponsored ADR    055622104             278,174              4,918

Bank of America Corp.                     com         060505104             684,990             15,930

Bank of New York Inc.                     com         064057102           5,925,309            127,426

Bank of New York Inc.                     com         064057102          79,607,256          1,711,984

Banc One Corp.                            com         06423A103             811,192             30,539

Bank of Rhode Island                      com         064576101           1,644,750            153,000

Baxter International                      com         071813109          22,629,023            321,835

Bell Atlantic Corp.                       com         077853109          12,642,608            248,811

Bellsouth Corp.                           com         079860102           3,397,212             79,700

Bristol Myers Squibb                      com         110122108           1,570,420             26,960

Broadcom Corp                           CL A com      111320107             864,803              3,950

Broadwing                                 com         111620100          11,906,869            459,060

Broadwing                                 com         111620100          38,224,457          1,473,714

Brocade Commun. Sys.                      com         111621108             550,453              3,000

Column Totals:                                                          331,605,817
</TABLE>


<TABLE>

PAGE 1 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000                                                                         [(SEC USE ONLY)]
-----------------------------------------------------------------------------------------------------------------------------------
                                               ITEM 6:                                                   ITEM 8:
                                       INVESTMENT DISCRETION                 ITEM 7:                 VOTING AUTHORITY
                                    ----------------------------------       MANAGERS                    SHARES
                                    (a)        (b) SHARED       (c)       SEE INSTR. V.    ----------------------------------------
                                    SOLE       AS DEFINED       SHARED                     (a) SOLE      (b)           (c)
                                               IN INSTR. V.     OTHER                                    SHARED        NONE
-----------------------------------------------------------------------------------------------------------------------------------
<S>                  <S>              <C>      <C>               <C>       <C>             <C>           <C>           <C>
Global Crossing LTD                   X                                                     137,498

RSL Communications Ltd.               X                                                      43,800

Transocean Sedco Forex Inc            X                                                     257,969

Check Point Software Tech             X                                                       2,000

Aflac Inc.                            X                                                      38,004

AES Corp                              X                                                     116,700

A T & T Corp                          X                                                      68,906

AT&T Corp-Liberty Media               X                                                     480,654

AXA Financial Inc.                    X                                                     264,270

Abbott Labs, Inc.                     X                                                     486,491

Agilent Technologies                  X                                                      80,876

Albertson's Inc.                      X                                                     402,570

Alcoa Inc                             X                                                      11,200

Alliant Energy Corp.                  X                                                     477,950

Alltel Corp                           X                                                     359,032

America Online                        X                                                      10,025

American Express                      X                                                      22,665

AmericanHome Products                 X                                                      28,650

American Intl. Group                  X                                                     110,168

American Tower Corp.                  X                                                       7,500

Amgen Inc                             X                                                       4,874

Anheuser Busch Cos. Inc.              X                                                       5,200

Apache Corp.                          X                                                       6,250

Applied Materials, Inc.               X                                                      91,470

Applied Micro Circuits Corp.          X                                                       4,600

Azurix Corp.                          X                                                      20,000

B P Amoco P L C                       X                                                       4,918

Bank of America Corp.                 X                                                      15,930

Bank of New York Inc.                 X                                                     127,426

Bank of New York Inc.                                      X                  1                          1,711,984

Banc One Corp.                        X                                                      30,539

Bank of Rhode Island                  X                                                     153,000

Baxter International                  X                                                     321,835

Bell Atlantic Corp.                   X                                                     248,811

Bellsouth Corp.                       X                                                      79,700

Bristol Myers Squibb                  X                                                      26,960

Broadcom Corp                         X                                                       3,950

Broadwing                             X                                                     459,060

Broadwing                                                  X                  1                          1,473,714

Brocade Commun. Sys.                  X                                                       3,000

Column Totals:
</TABLE>

<PAGE>   4


<TABLE>

PAGE 2 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000
--------------------------------------------------------------------------------------------------------------
                                                                           ITEM 4:             ITEM 5:
      ITEM 1:                           ITEM 2:        ITEM 3:             FAIR                SHARES OR
  NAME OF ISSUER                        TITLE OF       CUSIP               MARKET              PRINCIPAL
                                        CLASS          NUMBER              VALUE                AMOUNT
--------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>               <C>                  <C>
CMGI Inc                                  com         125750109           2,061,562             45,000

CMS Energy Corp.                          com         125896100          15,902,344            718,750

Cardinal Health                           com         14149Y108          19,780,200            267,300

Centennial Comms. Co.                   CL A New      15133V208             206,250             15,000

Ceridian Corporation                      com         15677T106          21,827,575            907,120

Charter Communications                  CL A com      16117M107             164,375             10,000

Chase Manhattan New                       com         16161A108          11,752,617            255,145

Checkfree Holdings Corp                   com         162816102           1,804,687             35,000

Chevron Corp.                             com         166751107             432,544              5,100

Cincinnati Financial                sr cv db 5.5%02   172062AB7           7,199,500          3,400,000

Cincinnati Financial                      com         172062101           1,658,453             52,764

Cincinnati Financial                      com         172062101         108,796,417          3,460,721

Cinergy Corporation                       com         172474108           4,419,765            173,750

Cintas Corporation                        com         172908105             132,625              3,615

Cintas Corporation                        com         172908105          60,209,691          1,641,150

Cisco Systems Inc.                        com         17275R102          15,698,031            246,970

Citigroup                                 com         172967101          36,414,528            604,396

Coastal Corp.                             com         190441105             426,125              7,000

Coca Cola Co.                             com         191216100             563,692              9,814

Compaq Computer Corp.                     com         204493100             870,403             34,050

Computer Assoc. Intl                      com         204912109          17,551,528            342,887

Compuware Corp.                           com         205638109           4,992,502            481,205

Conagra Inc.                              com         205887102             428,906             22,500

Conoco, Inc. - CL A                       CL A        208251306          18,339,750            833,625

Consellation Energy Group                 com         210371100           2,181,688             67,000

Convergys Corporation                     com         212485106             323,077              6,228

Convergys Corporation                     com         212485106          76,448,914          1,473,714

Corning Inc.                              com         219350105           6,402,784             23,725

Costco Wholesale  New                     com         22160K105           3,125,925             94,725

Countrywide Credit Ind. Inc.              com         222372104             441,047             14,550

Crown Castle Intl. Corp.                  com         228227104             219,000              6,000

DPL Inc                                   com         233293109           1,765,618             80,484

Dell Computer Corp.                       com         247025109           5,859,558            118,825

Walt Disney Productions                com Disney     254687106           2,069,948             53,332

Du Pont de Nemours Co.                    com         263534109          12,870,808            294,190

Duke Energy                               com         264399106           2,298,521             40,772

E M C Corp.                               com         268648102          10,600,064            137,775

El Paso Energy Corp.                      com         283905107             509,375             10,000

Elan Corp. PLC                            ADR         284131208           6,737,947            139,106

Emerson Electric Co.                      com         291011104          15,257,668            252,714

Column Totals:                                                        1,019,973,063
</TABLE>


<TABLE>

PAGE 2 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000                                                                         [(SEC USE ONLY)]
-----------------------------------------------------------------------------------------------------------------------------------
                                                ITEM 6:                                                       ITEM 8:
                                         INVESTMENT DISCRETION               ITEM 7:                     VOTING AUTHORITY
                                ---------------------------------------      MANAGERS                         SHARES
                                    (a)        (b) SHARED       (c)         SEE INSTR. V.      ------------------------------------
                                    SOLE       AS DEFINED       SHARED                         (a) SOLE        (b)           (c)
                                               IN INSTR. V.     OTHER                                         SHARED        NONE
-----------------------------------------------------------------------------------------------------------------------------------
  <S>                               <C>        <C>             <C>          <C>                <C>            <C>          <C>
CMGI Inc                              X                                                           45,000

CMS Energy Corp.                      X                                                          718,750

Cardinal Health                       X                                                          267,300

Centennial Comms. Co.                 X                                                           15,000

Ceridian Corporation                  X                                                          907,120

Charter Communications                X                                                           10,000

Chase Manhattan New                   X                                                          255,145

Checkfree Holdings Corp                                  X                     1                                   35,000

Chevron Corp.                         X                                                            5,100

Cincinnati Financial                  X                                                        3,400,000

Cincinnati Financial                  X                                                           52,764

Cincinnati Financial                                     X                     1                                3,460,721

Cinergy Corporation                   X                                                          173,750

Cintas Corporation                    X                                                            3,615

Cintas Corporation                                       X                     1                                1,641,150

Cisco Systems Inc.                    X                                                          246,970

Citigroup                             X                                                          604,396

Coastal Corp.                         X                                                            7,000

Coca Cola Co.                         X                                                            9,814

Compaq Computer Corp.                 X                                                           34,050

Computer Assoc. Intl                  X                                                          342,887

Compuware Corp.                       X                                                          481,205

Conagra Inc.                          X                                                           22,500

Conoco, Inc. - CL A                   X                                                          833,625

Consellation Energy Group             X                                                           67,000

Convergys Corporation                 X                                                            6,228

Convergys Corporation                                    X                     1                                1,473,714

Corning Inc.                          X                                                           23,725

Costco Wholesale  New                 X                                                           94,725

Countrywide Credit Ind. Inc.          X                                                           14,550

Crown Castle Intl. Corp.              X                                                            6,000

DPL Inc                               X                                                           80,484

Dell Computer Corp.                   X                                                          118,825

Walt Disney Productions               X                                                           53,332

Du Pont de Nemours Co.                X                                                          294,190

Duke Energy                           X                                                           40,772

E M C Corp.                           X                                                          137,775

El Paso Energy Corp.                  X                                                           10,000

Elan Corp. PLC                        X                                                          139,106

Emerson Electric Co.                  X                                                          252,714

Column Totals:
</TABLE>

<PAGE>   5


<TABLE>

PAGE 3 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000
--------------------------------------------------------------------------------------------------------------
                                                                           ITEM 4:             ITEM 5:
      ITEM 1:                           ITEM 2:        ITEM 3:             FAIR                SHARES OR
  NAME OF ISSUER                        TITLE OF       CUSIP               MARKET              PRINCIPAL
                                        CLASS          NUMBER              VALUE                AMOUNT

--------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>               <C>                  <C>
Enron Corp.                               com         293561106          10,169,069            157,660

Exodus Communications Inc                 com         302088109             934,977             20,298

Exxon Mobil Corporation                   com         30231G102          20,702,965            263,733

FPL Group Inc.                            com         302571104           1,237,500             25,000

Federal Home Loan Mtg.                    com         313400301           1,841,373             45,466

Fed National Mtg Assoc.                   com         313586109          20,975,461            401,924

Federated Dept Stores                     com         31410H101           9,338,287            276,691

Fifth Third Bancorp                       com         316773100           6,576,039            103,972

Fifth Third Bancorp                       com         316773100         140,802,849          2,226,132

First Data Corp.                          com         319963104           8,038,009            161,975

Firstar Corp. new                         com         33763V109           1,805,583             85,725

Firstar Corp. new                         com         33763V109          70,848,163          3,363,711

Ford Motor Co.                            com         345370100             604,408             14,056

GTE Corp.                                 com         362320103           4,054,654             65,135

Gannett Co.                               com         364730101             322,987              5,400

Gap Inc. Del                              com         364760108           1,292,906             41,373

Gateway Inc.                              com         367626108          30,088,850            530,200

General Electric Co.                      com         369604103          27,694,885            522,545

Getty Images Inc.                         com         374276103             234,643              6,331

HJ Heinz                                  com         423074103             332,719              7,605

Hewlett Packard                           com         428236103          25,975,249            208,010

Home Depot, Inc.                          com         437076102          10,878,435            217,841

Honeywell International                   com         438516106          15,603,376            463,180

Indymac Mortgage Hldgs. Inc               com         456607100           1,225,440             90,355

Infospace Inc.                            com         45678T102             519,516              9,403

Ingersoll-Rand Co.                        com         456866102          10,756,611            267,245

Inktomi Corp.                             com         457277101             372,487              3,150

Intel Corp.                               com         458140100          52,900,278            395,702

Intermedia Communications                 com         458801107           1,084,387             36,450

Int'l. Bus. Mach.                         com         459200101          25,732,178            234,863

Interpublic Group Cos.                    com         460690100          14,353,185            333,795

JDS Uniphase Corporation                  com         46612J101             599,375              5,000

Johnson & Johnson                         com         478160104          10,027,047             98,425

Juniper Networks Inc.                     com         48203R104           2,940,362             20,200

Kansas City Power & Light                 com         485134100           1,012,500             45,000

Keycorp. New                              com         493267108             713,865             40,503

Kimberly Clark                            com         494368103          34,003,294            592,650

Lexmark International Grp                 com         529771107          27,442,035            408,060

Eli Lilly Co.                             com         532457108           1,174,630             11,761

Lowes Co. Inc.                            com         548661107             513,691             12,510

Column Totals:                                                          585,555,199
</TABLE>



<TABLE>

PAGE 3 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000                                                                         [(SEC USE ONLY)]
-----------------------------------------------------------------------------------------------------------------------------------
                                                  ITEM 6:                                                  ITEM 8:
                                          INVESTMENT DISCRETION                ITEM 7:                VOTING AUTHORITY
                                -----------------------------------------     MANAGERS                     SHARES
                                 (a)         (b) SHARED       (c)           SEE INSTR. V.    --------------------------------------
                                 SOLE        AS DEFINED       SHARED                         (a) SOLE        (b)          (c)
                                             IN INSTR. V.     OTHER                                        SHARED         NONE
-----------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>          <C>              <C>           <C>              <C>           <C>            <C>
Enron Corp.                        X                                                          157,660

Exodus Communications Inc          X                                                           20,298

Exxon Mobil Corporation            X                                                          263,733

FPL Group Inc.                     X                                                           25,000

Federal Home Loan Mtg.             X                                                           45,466

Fed National Mtg Assoc.            X                                                          401,924

Federated Dept Stores              X                                                          276,691

Fifth Third Bancorp                X                                                          103,972

Fifth Third Bancorp                               X                             1                          2,226,132

First Data Corp.                   X                                                          161,975

Firstar Corp. new                  X                                                           85,725

Firstar Corp. new                                 X                             1                          3,363,711

Ford Motor Co.                     X                                                           14,056

GTE Corp.                          X                                                           65,135

Gannett Co.                        X                                                            5,400

Gap Inc. Del                       X                                                           41,373

Gateway Inc.                       X                                                          530,200

General Electric Co.               X                                                          522,545

Getty Images Inc.                  X                                                            6,331

HJ Heinz                           X                                                            7,605

Hewlett Packard                    X                                                          208,010

Home Depot, Inc.                   X                                                          217,841

Honeywell International            X                                                          463,180

Indymac Mortgage Hldgs. Inc        X                                                           90,355

Infospace Inc.                     X                                                            9,403

Ingersoll-Rand Co.                 X                                                          267,245

Inktomi Corp.                      X                                                            3,150

Intel Corp.                        X                                                          395,702

Intermedia Communications          X                                                           36,450

Int'l. Bus. Mach.                  X                                                          234,863

Interpublic Group Cos.             X                                                          333,795

JDS Uniphase Corporation           X                                                            5,000

Johnson & Johnson                  X                                                           98,425

Juniper Networks Inc.              X                                                           20,200

Kansas City Power & Light          X                                                           45,000

Keycorp. New                       X                                                           40,503

Kimberly Clark                     X                                                          592,650

Lexmark International Grp          X                                                          408,060

Eli Lilly Co.                      X                                                           11,761

Lowes Co. Inc.                     X                                                           12,510

Column Totals:
</TABLE>

<PAGE>   6



<TABLE>

PAGE 4 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000
------------------------------------------------------------------------------------------------------------
                                                                           ITEM 4:             ITEM 5:
      ITEM 1:                           ITEM 2:        ITEM 3:             FAIR                SHARES OR
  NAME OF ISSUER                        TITLE OF       CUSIP               MARKET              PRINCIPAL
                                        CLASS          NUMBER              VALUE                AMOUNT
------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>               <C>                  <C>
Lucent Technologies Inc.                  com         549463107           5,769,469             97,375

Luxottica Grp SPA                    sponsored adr    55068R202             390,000             32,000

Lycos Inc.                                com         550818108             311,472              5,768

MGIC Investment Corp.                     com         552848103           7,696,325            169,150

Magna International                       cl a        559222401          19,217,047            406,710

Manor Care Inc. new                       com         564055101           1,163,225            166,175

Masco Corp                                com         574599106          18,118,494          1,003,100

McCormick & Co.                       com non vtg     579780206          14,808,625            455,650

McDonalds Corporation                     com         580135101           2,372,159             72,020

McLeod USA Inc                          CL A com      582266102             744,750             36,000

Mead Corporation                          com         582834107          16,025,544            634,675

Mediaone Group Inc.                       com         58440J104             301,970              4,535

Medimmune Inc.                            com         584699102             444,000              6,000

Medtronic, Inc.                           com         585055106          10,921,391            219,250

Mellon Financial Corp                     com         58551A108             415,387             11,400

Merck & Co., Inc.                         com         589331107          25,223,494            329,181

Metromedia Fiber Network-A                com         591689104             464,344             11,700

Microsoft Corp.                           com         594918104           5,899,600             73,745

Micron Technology                         com         595112103             264,187              3,000

Morgan Stanley Dean Witter              com new       617446448             357,975              4,300

Motorola Inc                              com         620076109           1,137,942             39,155

Network Appliance Inc.                    com         64120L104             563,500              7,000

News Corp Ltd.                     sponsored adr pfd  652487802             370,500              7,800

Nextel Communications                     CL A        65332V103             305,937              5,000

Nextlink Communications-A                 CL A        65333H707             546,299             14,400

Nokia Corp.                          sponsored adr    654902204          10,288,373            206,025

North Fork Bancorp                        com         659424105          10,706,836            707,890

Nortel Networks Corp.                     com         656569100          34,299,720            502,560

Northern Trust                            com         665859104           6,950,301            106,825

Northwestern Corp.                        com         668074107             416,250             18,000

Office Depot                              com         676220106           7,866,344          1,258,615

Ohio Casualty                             com         677240103           3,073,813            289,300

Ominicom Group                            com         681919106           8,819,414             99,025

Online Resources & Comm                   com         68273G101             383,031             59,500

Oracle Systems Corp.                      com         68389X105          15,363,683            182,765

PMC-Sierra Inc.                           com         69344F106             266,531              1,500

Paine Webber Group                        com         695629105             318,500              7,000

PepsiCo, Inc.                             com         713448108          29,089,321            654,613

Pfizer Inc.                               com         717081103          21,787,440            453,905

Philip Morris Cos. Inc.                   com         718154107             355,539             13,385

Column Totals:                                                          947,201,355
</TABLE>



<TABLE>

PAGE 4 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000                                                                               [(SEC USE ONLY)]
-----------------------------------------------------------------------------------------------------------------------------------
                                               ITEM 6:                                                       ITEM 8:
                                        INVESTMENT DISCRETION                ITEM 7:                    VOTING AUTHORITY
                                -------------------------------------       MANAGERS                         SHARES
                                   (a)       (b) SHARED       (c)         SEE INSTR. V.      --------------------------------------
                                   SOLE      AS DEFINED       SHARED                         (a) SOLE      (b)            (c)
                                             IN INSTR. V.     OTHER                                        SHARED         NONE
-----------------------------------------------------------------------------------------------------------------------------------
<S>                               <C>        <C>              <C>          <C>               <C>           <C>            <C>
Lucent Technologies Inc.           X                                                           97,375

Luxottica Grp SPA                  X                                                           32,000

Lycos Inc.                         X                                                            5,768

MGIC Investment Corp.              X                                                          169,150

Magna International                X                                                          406,710

Manor Care Inc. new                X                                                          166,175

Masco Corp                         X                                                        1,003,100

McCormick & Co.                    X                                                          455,650

McDonalds Corporation              X                                                           72,020

McLeod USA Inc                     X                                                           36,000

Mead Corporation                   X                                                          634,675

Mediaone Group Inc.                X                                                            4,535

Medimmune Inc.                     X                                                            6,000

Medtronic, Inc.                    X                                                          219,250

Mellon Financial Corp              X                                                           11,400

Merck & Co., Inc.                  X                                                          329,181

Metromedia Fiber Network-A         X                                                           11,700

Microsoft Corp.                    X                                                           73,745

Micron Technology                  X                                                            3,000

Morgan Stanley Dean Witter         X                                                            4,300

Motorola Inc                       X                                                           39,155

Network Appliance Inc.             X                                                            7,000

News Corp Ltd.                     X                                                            7,800

Nextel Communications              X                                                            5,000

Nextlink Communications-A          X                                                           14,400

Nokia Corp.                        X                                                          206,025

North Fork Bancorp                 X                                                          707,890

Nortel Networks Corp.              X                                                          502,560

Northern Trust                     X                                                          106,825

Northwestern Corp.                 X                                                           18,000

Office Depot                       X                                                        1,258,615

Ohio Casualty                                      X                          1                             289,300

Ominicom Group                     X                                                           99,025

Online Resources & Comm            X                                                           59,500

Oracle Systems Corp.               X                                                          182,765

PMC-Sierra Inc.                    X                                                            1,500

Paine Webber Group                 X                                                            7,000

PepsiCo, Inc.                      X                                                          654,613

Pfizer Inc.                        X                                                          453,905

Philip Morris Cos. Inc.            X                                                           13,385

Column Totals:
</TABLE>

<PAGE>   7


<TABLE>

PAGE 5 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000
-----------------------------------------------------------------------------------------------------------
                                                                           ITEM 4:             ITEM 5:
      ITEM 1:                           ITEM 2:        ITEM 3:             FAIR                SHARES OR
  NAME OF ISSUER                        TITLE OF       CUSIP               MARKET              PRINCIPAL
                                        CLASS          NUMBER              VALUE                AMOUNT

------------------------------------------------------------------------------------------------------------
<S>                                  <C>              <C>               <C>                  <C>
Pinnacle Holdings                         com         72346N101             448,200              8,300

Pitney Bowes Inc.                         com         724479100             308,000              7,700

Procter & Gamble                          com         742718109           4,240,564             74,071

Procter & Gamble                          com         742718109          67,946,247          1,186,834

Professional Bancorp Inc.                 com         743112104             398,536            122,627

Provident Financial Group                 com         743866105             343,400             14,421

PSINet Inc.                               com         74437C101             351,750             14,000

RF Micro Devices Inc.                     com         749941100             350,500              4,000

Ralston-Purina Group                com Ral-Pur Grp   751277302           8,781,472            440,450

Reliastar Finl                            com         75952U103          12,356,897            235,651

SBC Communications                        com         78387G103          21,089,997            487,630

SLM Holding Corp.                         com         78442A109          24,201,921            646,463

Sara Lee Corp.                            com         803111103             231,750             12,000

Schering Plough Corp.                     com         806605101          18,251,962            361,425

Schlumberger Ltd.                         com         806857108          23,386,207            313,383

Shell Trans & Trading PLC           New York Shs New  822703609             239,700              4,800

Southern Co.                              com         842587107             708,699             30,400

Sprint Corp.                          com Fon Grp     852061100          13,203,645            258,895

Sprint Corp. -PCS Group              PCS com Ser 1    852061506           3,922,061             65,917

Stifel Financial                          com         860630102          10,708,026          1,019,812

Sun MicroSystems                          com         866810104          32,582,361            358,293

Sycamore Networks Inc.                    com         871206108             364,237              3,300

Texas Instruments Inc.                    com         882508104           6,635,213             96,600

Tosco Corp.                             com new       891490302          14,961,741            528,450

U S Bancorp.                              com         902973106           9,612,487            499,350

UnionBancorp, Inc.                        com         908908106             366,300             33,300

Univision Communications                  CL A        914906102           7,298,302             70,515

U S Freightways                           com         916906100           5,773,416            235,050

Verisign Inc.                             com         92343E102             229,450              1,300

Veritas Software                          com         923436109             542,475              4,800

Vodafone Airtouch PLC                     com         92857T107           4,664,205            112,560

Wachovia Corp.                            com         929771103             429,606              7,919

Wal-Mart Stores Inc                       com         931142103          11,944,509            207,280

Wells Fargo & Co new                      com         949746101           1,288,437             33,250

Williams Companies Inc                    com         969457100          14,701,513            352,660

Worldcom Inc.New                          com         98157D106          11,117,210            242,340

Worldpages.Com Inc.                       com         981922107             180,000             30,000

Xilinx                                    com         983919101           5,201,437             63,000

Yahoo Inc                                 com         984332106           5,331,208             43,037

Column Totals:                                                        1,371,352,268

Grand Total:                                                          4,255,687,701         53,012,966
</TABLE>




<TABLE>

PAGE 5 OF 5     FORM 13F        NAME OF REPORTING MANAGER: FORT WASHINGTON INVESTMENT ADVISORS, INC.

                6/30/2000                                                                                [(SEC USE ONLY)]
-----------------------------------------------------------------------------------------------------------------------------------
                                                ITEM 6:                                                          ITEM 8:
                                        INVESTMENT DISCRETION                  ITEM 7:                     VOTING AUTHORITY
                                 ----------------------------------------     MANAGERS                         SHARES
                                 (a)         (b) SHARED       (c)           SEE INSTR. V.    --------------------------------------
                                 SOLE         AS DEFINED      SHARED                         (a) SOLE          (b)         (c)
                                             IN INSTR. V.     OTHER                                            SHARED      NONE
-----------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>          <C>              <C>            <C>             <C>              <C>           <C>
Pinnacle Holdings                 X                                                                8,300

Pitney Bowes Inc.                 X                                                                7,700

Procter & Gamble                  X                                                               74,071

Procter & Gamble                                     X                           1                             1,186,834

Professional Bancorp Inc.         X                                                              122,627

Provident Financial Group         X                                                               14,421

PSINet Inc.                       X                                                               14,000

RF Micro Devices Inc.             X                                                                4,000

Ralston-Purina Group              X                                                              440,450

Reliastar Finl                    X                                                              235,651

SBC Communications                X                                                              487,630

SLM Holding Corp.                 X                                                              646,463

Sara Lee Corp.                    X                                                               12,000

Schering Plough Corp.             X                                                              361,425

Schlumberger Ltd.                 X                                                              313,383

Shell Trans & Trading PLC         X                                                                4,800

Southern Co.                      X                                                               30,400

Sprint Corp.                      X                                                              258,895

Sprint Corp. -PCS Group           X                                                               65,917

Stifel Financial                                     X                           1                             1,019,812

Sun MicroSystems                  X                                                              358,293

Sycamore Networks Inc.            X                                                                3,300

Texas Instruments Inc.            X                                                               96,600

Tosco Corp.                       X                                                              528,450

U S Bancorp.                      X                                                              499,350

UnionBancorp, Inc.                X                                                               33,300

Univision Communications          X                                                               70,515

U S Freightways                   X                                                              235,050

Verisign Inc.                     X                                                                1,300

Veritas Software                  X                                                                4,800

Vodafone Airtouch PLC             X                                                              112,560

Wachovia Corp.                    X                                                                7,919

Wal-Mart Stores Inc               X                                                              207,280

Wells Fargo & Co new              X                                                               33,250

Williams Companies Inc            X                                                              352,660

Worldcom Inc.New                  X                                                              242,340

Worldpages.Com Inc.               X                                                               30,000

Xilinx                            X                                                               63,000

Yahoo Inc                         X                                                               43,037

Column Totals:

Grand Total:                                                                                  35,130,894      17,882,072
</TABLE>


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