<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>