<PAGE> 1
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30, 2000
------------------
Check here if Amendment [ ]; Amendment Number:_______
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings
entries.
Institutional Investment Manager Filing this Report:
Name: 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 the Report on Behalf of Reporting Manager:
Name: William F. Ledwin
-------------------------
Title: President
-------------------------
Phone: (513) 361-7610
-------------------------
Signature, Place, and Date of Signing:
/s/ William F. Ledwin Cincinnati, Oh 11-13-2000
-------------------- --------------- ------------
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
are reported in this report.)
<PAGE> 2
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all
holdings are reported by other reporting manager(s).)
[ ] 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-
<PAGE> 3
13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: None
Form 13F Information Table Entry Total: 55,767,207
Form 13F Information Table Value Total: 2,168,475,675
List of Other Included Managers:
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 no entries in this list, state "NONE" and omit the column headings
and list entries.)
No. Form 13F File Number Name
_______ 28-______________ ___________________
[Repeat as necessary.]
<PAGE> 4
Page 1 of 5
FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
9/30/2000
<TABLE>
<CAPTION>
Item 4: Item 5:
Item 2: Item 3: Fair Shares or
Item 1: Title of CUSIP Market Principal
Name of Issuer Class Number Value Amount
------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Global Crossing LTD com G3921A100 4,834,372 155,948
RSL Communications Ltd. Cl A G7702U102 103,600 51,800
Transocean Sedco Forex Inc ord G90078109 12,259,065 209,112
Check Point Software Tech ord M22465104 630,000 4,000
Aflac Inc. com 001055102 2,293,694 35,804
AES Corp com 00130H105 12,318,012 179,825
A T & T Corp com 001957109 1,012,689 34,475
AT&T Corp-Liberty Media com Lib Grp A 001957208 9,199,008 511,054
AXA Financial Inc. com 002451102 13,530,019 265,620
Abbott Labs, Inc. com 002824100 28,538,261 600,016
Agilent Technologies com 00846U101 3,837,105 78,409
Albertson's Inc. com 013104104 8,377,467 398,933
Alcoa Inc com 013817101 283,500 11,200
Alliant Energy Corp. com 018802108 13,769,531 468,750
Alltel Corp com 020039103 18,399,538 352,566
America Online com 02364J104 1,018,831 18,955
American Express com 025816109 1,389,049 22,865
AmericanHome Products com 026609107 1,558,297 27,550
American Intl. Group com 026874107 16,499,826 172,438
Amgen Inc com 031162100 7,700,226 110,274
Anheuser Busch Cos. Inc. com 035229103 440,050 10,400
Apache Corp. com 037411105 269,019 4,550
Applied Materials, Inc. com 038222105 5,650,702 95,270
Applied Micro Circuits Corp. com 03822W109 1,097,431 5,300
Avanex com 05348W109 344,600 3,200
B P Amoco P L C Sponsored ADR 055622104 260,654 4,918
Bank of America Corp. com 060505104 232,021 4,430
Bank of New York Inc. com 064057102 6,773,807 120,826
Bank of New York Inc. com 064057102 95,978,103 1,711,984
Banc One Corp. com 06423A103 928,468 24,038
Bank of Rhode Island com 064576101 1,998,562 153,000
Baxter International com 071813109 25,989,743 325,635
Bear Stearns Cos. Inc. com 073902108 362,250 5,750
Bellsouth Corp. com 079860102 2,875,098 71,431
Bristol Myers Squibb com 110122108 1,111,652 19,460
Broadcom Corp CL A com 111320107 1,109,062 4,550
Broadwing com 111620100 16,083,541 629,184
Broadwing com 111620100 37,671,814 1,473,714
Brocade Commun. Sys. com 111621108 826,000 3,500
Column Totals: 357,554,667 8,380,734
Item 6:
Investment Discretion
-------------------------------------------
(b) Shared (c) Item 7:
Item 1: (a) as Defined Shared Managers
Name of Issuer sole in Instr. V. Other See Instr. V.
-----------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Global Crossing LTD X
RSL Communications Ltd. X
Transocean Sedco Forex Inc X
Check Point Software Tech X
Aflac Inc. X
AES Corp X
A T & T Corp X
AT&T Corp-Liberty Media X
AXA Financial Inc. X
Abbott Labs, Inc. X
Agilent Technologies X
Albertson's Inc. X
Alcoa Inc X
Alliant Energy Corp. X
Alltel Corp X
America Online X
American Express X
AmericanHome Products X
American Intl. Group X
Amgen Inc X
Anheuser Busch Cos. Inc. X
Apache Corp. X
Applied Materials, Inc. X
Applied Micro Circuits Corp. X
Avanex X
B P Amoco P L C X
Bank of America Corp. X
Bank of New York Inc. X
Bank of New York Inc. X 1
Banc One Corp. X
Bank of Rhode Island X
Baxter International X
Bear Stearns Cos. Inc. X
Bellsouth Corp. X
Bristol Myers Squibb X
Broadcom Corp X
Broadwing X
Broadwing X 1
Brocade Commun. Sys. X
Column Totals:
Item 8:
Voting Authority
Shares
------------------------------------------
Item 1: (b) (c)
Name of Issuer (a) Sole Shared None
---------------------------------------------------------------------------------------
<S> <C> <C> <C>
Global Crossing LTD 155,948
RSL Communications Ltd. 51,800
Transocean Sedco Forex Inc 209,112
Check Point Software Tech 4,000
Aflac Inc. 35,804
AES Corp 179,825
A T & T Corp 34,475
AT&T Corp-Liberty Media 511,054
AXA Financial Inc. 265,620
Abbott Labs, Inc. 600,016
Agilent Technologies 78,409
Albertson's Inc. 398,933
Alcoa Inc 11,200
Alliant Energy Corp. 468,750
Alltel Corp 352,566
America Online 18,955
American Express 22,865
AmericanHome Products 27,550
American Intl. Group 172,438
Amgen Inc 110,274
Anheuser Busch Cos. Inc. 10,400
Apache Corp. 4,550
Applied Materials, Inc. 95,270
Applied Micro Circuits Corp. 5,300
Avanex 3,200
B P Amoco P L C 4,918
Bank of America Corp. 4,430
Bank of New York Inc. 120,826
Bank of New York Inc. 1,711,984
Banc One Corp. 24,038
Bank of Rhode Island 153,000
Baxter International 325,635
Bear Stearns Cos. Inc. 5,750
Bellsouth Corp. 71,431
Bristol Myers Squibb 19,460
Broadcom Corp 4,550
Broadwing 629,184
Broadwing 1,473,714
Brocade Commun. Sys. 3,500
Column Totals: 5,195,036 3,185,698 0
</TABLE>
<PAGE> 5
Page 2 of 5
FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
9/30/2000
<TABLE>
<CAPTION>
Item 4: Item 5:
Item 2: Item 3: Fair Shares or
Item 1: Title of CUSIP Market Principal
Name of Issuer Class Number Value Amount
---------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
CMGI Inc com 125750109 1,265,568 45,300
CMS Energy Corp. com 125896100 19,633,397 728,850
Cardinal Health com 14149Y108 17,686,003 200,550
Centennial Comms. Co. CL A New 15133V208 660,000 30,000
Ceridian Corporation com 15677T106 25,866,469 921,745
Charter Communications CL A com 16117M107 7,796,374 319,852
Chase Manhattan New com 16161A108 11,626,872 251,732
Checkfree Holdings Corp com 162816102 1,466,172 35,000
Chevron Corp. com 166751107 615,163 7,216
Cincinnati Financial sr cv db 5.5%02 172062AB7 8,121,750 3,400,000
Cincinnati Financial com 172062101 1,872,767 52,764
Cincinnati Financial com 172062101 122,855,595 3,460,721
Cinergy Corporation com 172474108 11,464,421 346,750
Cintas Corporation com 172908105 144,409 3,315
Cintas Corporation com 172908105 71,492,597 1,641,150
Cisco Systems Inc. com 17275R102 15,802,604 286,020
Citadel Communications Corp com 172853202 1,013,642 59,626
Citigroup com 172967101 45,479,855 841,249
Coastal Corp. com 190441105 1,186,000 16,000
Coca Cola Co. com 191216100 540,997 9,814
Compaq Computer Corp. com 204493100 409,563 14,850
Computer Assoc. Intl com 204912109 8,393,407 333,237
Compuware Corp. com 205638109 3,927,247 468,925
Conagra Inc. com 205887102 451,406 22,500
Conoco, Inc. - CL A CL A 208251306 21,734,041 831,925
Consellation Energy Group com 210371100 3,333,250 67,000
Convergys Corporation com 212485106 286,703 7,375
Convergys Corporation com 212485106 57,290,632 1,473,714
Corning Inc. com 219350105 8,709,525 29,325
Countrywide Credit Ind. Inc. com 222372104 815,060 21,591
DPL Inc com 233293109 2,224,824 74,784
Digex, Inc. - Class A com 253756100 281,250 6,000
Walt Disney Productions com Disney 254687106 1,904,773 49,798
Dominion Resources Inc/VA com 25746U109 5,306,912 91,400
Du Pont de Nemours Co. com 263534109 11,954,258 288,489
Duke Energy com 264399106 3,502,887 40,850
E M C Corp. com 268648102 15,472,420 156,090
El Paso Energy Corp. com 283905107 616,250 10,000
Elan Corp. PLC ADR 284131208 8,615,241 157,356
Emerson Electric Co. com 291011104 17,001,585 253,754
Column Totals: 538,821,889 17,056,617
Item 6:
Investment Discretion
-------------------------------------------
(b) Shared (c) Item 7:
Item 1: (a) as Defined Shared Managers
Name of Issuer sole in Instr. V. Other See Instr. V.
------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
CMGI Inc X
CMS Energy Corp. X
Cardinal Health X
Centennial Comms. Co. X
Ceridian Corporation X
Charter Communications X
Chase Manhattan New X
Checkfree Holdings Corp X 1
Chevron Corp. X
Cincinnati Financial X
Cincinnati Financial X
Cincinnati Financial X 1
Cinergy Corporation X
Cintas Corporation X
Cintas Corporation X 1
Cisco Systems Inc. X
Citadel Communications Corp X
Citigroup X
Coastal Corp. X
Coca Cola Co. X
Compaq Computer Corp. X
Computer Assoc. Intl X
Compuware Corp. X
Conagra Inc. X
Conoco, Inc. - CL A X
Consellation Energy Group X
Convergys Corporation X
Convergys Corporation X 1
Corning Inc. X
Countrywide Credit Ind. Inc. X
DPL Inc X
Digex, Inc. - Class A X
Walt Disney Productions X
Dominion Resources Inc/VA X
Du Pont de Nemours Co. X
Duke Energy X
E M C Corp. X
El Paso Energy Corp. X
Elan Corp. PLC X
Emerson Electric Co. X
Column Totals:
Item 8:
Voting Authority
Shares
------------------------------------------
Item 1: (b) (c)
Name of Issuer (a) Sole Shared None
---------------------------------------------------------------------------------------
<S> <C> <C> <C>
CMGI Inc 45,300
CMS Energy Corp. 728,850
Cardinal Health 200,550
Centennial Comms. Co. 30,000
Ceridian Corporation 921,745
Charter Communications 319,852
Chase Manhattan New 251,732
Checkfree Holdings Corp 35,000
Chevron Corp. 7,216
Cincinnati Financial 3,400,000
Cincinnati Financial 52,764
Cincinnati Financial 3,460,721
Cinergy Corporation 346,750
Cintas Corporation 3,315
Cintas Corporation 1,641,150
Cisco Systems Inc. 286,020
Citadel Communications Corp 59,626
Citigroup 841,249
Coastal Corp. 16,000
Coca Cola Co. 9,814
Compaq Computer Corp. 14,850
Computer Assoc. Intl 333,237
Compuware Corp. 468,925
Conagra Inc. 22,500
Conoco, Inc. - CL A 831,925
Consellation Energy Group 67,000
Convergys Corporation 7,375
Convergys Corporation 1,473,714
Corning Inc. 29,325
Countrywide Credit Ind. Inc. 21,591
DPL Inc 74,784
Digex, Inc. - Class A 6,000
Walt Disney Productions 49,798
Dominion Resources Inc/VA 91,400
Du Pont de Nemours Co. 288,489
Duke Energy 40,850
E M C Corp. 156,090
El Paso Energy Corp. 10,000
Elan Corp. PLC 157,356
Emerson Electric Co. 253,754
Column Totals: 10,446,032 6,610,585 0
</TABLE>
<PAGE> 6
Page 3 of 5
FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
9/30/2000
<TABLE>
<CAPTION>
Item 4: Item 5:
Item 2: Item 3: Fair Shares or
Item 1: Title of CUSIP Market Principal
Name of Issuer Class Number Value Amount
--------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Enron Corp. com 293561106 13,758,001 157,010
Exxon Mobil Corporation com 30231G102 22,857,001 256,461
FPL Group Inc. com 302571104 1,315,000 20,000
Federal Home Loan Mtg. com 313400301 2,037,994 37,697
Fed National Mtg Assoc. com 313586109 35,481,875 496,249
Federated Dept Stores com 31410H101 7,254,651 277,691
Fifth Third Bancorp com 316773100 8,099,838 150,347
Fifth Third Bancorp com 316773100 179,899,237 3,339,197
First Data Corp. com 319963104 6,436,523 164,775
Firstar Corp. new com 33763V109 1,906,909 85,725
Firstar Corp. new com 33763V109 75,263,034 3,363,711
Ford Motor Co. com 345370100 389,236 15,377
Gannett Co. com 364730101 286,200 5,400
Gap Inc. Del com 364760108 680,688 33,823
Gateway Inc. com 367626108 25,100,075 536,900
Genentech Inc. com 368710406 464,219 2,500
General Electric Co. com 369604103 30,970,399 536,865
H J Heinz Inc. com 423074103 281,860 7,605
Hewlett Packard com 428236103 20,392,795 210,235
Home Depot, Inc. com 437076102 12,137,569 228,741
Honeywell International com 438516106 28,696,650 805,520
Idec Pharmaceuticals com 449370105 263,039 1,500
Immunix Corp. com 452528102 435,000 10,000
Indymac Mortgage Hldgs. Inc com 456607100 1,857,925 90,355
Infospace Inc. com 45678T102 284,441 9,403
Ingersoll-Rand Co. com 456866102 14,005,449 413,445
Inktomi Corp. com 457277101 359,100 3,150
Intel Corp. com 458140100 32,986,785 793,667
Int'l. Bus. Mach. com 459200101 32,052,712 284,913
Interpublic Group Cos. com 460690100 18,595,400 545,920
JDS Uniphase Corporation com 46612J101 501,843 5,300
Johnson & Johnson com 478160104 9,316,251 99,175
Juniper Networks Inc. com 48203R104 6,858,217 31,325
Kansas City Power & Light com 485134100 1,547,875 58,000
Keycorp. New com 493267108 1,025,232 40,503
Kimberly Clark com 494368103 33,509,825 600,400
LSI Logic Corp. com 502161102 9,681,750 331,000
Lexmark International Grp com 529771107 17,540,062 467,736
Eli Lilly Co. com 532457108 791,861 9,761
Lowes Co. Inc. com 548661107 520,998 11,610
Column Totals: 655,843,519 14,538,992
Item 6:
Investment Discretion
-------------------------------------------
(b) Shared (c) Item 7:
Item 1: (a) as Defined Shared Managers
Name of Issuer sole in Instr. V. Other See Instr. V.
-----------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Enron Corp. X
Exxon Mobil Corporation X
FPL Group Inc. X
Federal Home Loan Mtg. X
Fed National Mtg Assoc. X
Federated Dept Stores X
Fifth Third Bancorp X
Fifth Third Bancorp X 1
First Data Corp. X
Firstar Corp. new X
Firstar Corp. new X 1
Ford Motor Co. X
Gannett Co. X
Gap Inc. Del X
Gateway Inc. X
Genentech Inc. X
General Electric Co. X
H J Heinz Inc. X
Hewlett Packard X
Home Depot, Inc. X
Honeywell International X
Idec Pharmaceuticals X
Immunix Corp. X
Indymac Mortgage Hldgs. Inc X
Infospace Inc. X
Ingersoll-Rand Co. X
Inktomi Corp. X
Intel Corp. X
Int'l. Bus. Mach. X
Interpublic Group Cos. X
JDS Uniphase Corporation X
Johnson & Johnson X
Juniper Networks Inc. X
Kansas City Power & Light X
Keycorp. New X
Kimberly Clark X
LSI Logic Corp. X
Lexmark International Grp X
Eli Lilly Co. X
Lowes Co. Inc. X
Column Totals:
Item 8:
Voting Authority
Shares
------------------------------------------
Item 1: (b) (c)
Name of Issuer (a) Sole Shared None
----------------------------------------------------------------------------------
<S> <C> <C> <C>
Enron Corp. 157,010
Exxon Mobil Corporation 256,461
FPL Group Inc. 20,000
Federal Home Loan Mtg. 37,697
Fed National Mtg Assoc. 496,249
Federated Dept Stores 277,691
Fifth Third Bancorp 150,347
Fifth Third Bancorp 3,339,197
First Data Corp. 164,775
Firstar Corp. new 85,725
Firstar Corp. new 3,363,711
Ford Motor Co. 15,377
Gannett Co. 5,400
Gap Inc. Del 33,823
Gateway Inc. 536,900
Genentech Inc. 2,500
General Electric Co. 536,865
H J Heinz Inc. 7,605
Hewlett Packard 210,235
Home Depot, Inc. 228,741
Honeywell International 805,520
Idec Pharmaceuticals 1,500
Immunix Corp. 10,000
Indymac Mortgage Hldgs. Inc 90,355
Infospace Inc. 9,403
Ingersoll-Rand Co. 413,445
Inktomi Corp. 3,150
Intel Corp. 793,667
Int'l. Bus. Mach. 284,913
Interpublic Group Cos. 545,920
JDS Uniphase Corporation 5,300
Johnson & Johnson 99,175
Juniper Networks Inc. 31,325
Kansas City Power & Light 58,000
Keycorp. New 40,503
Kimberly Clark 600,400
LSI Logic Corp. 331,000
Lexmark International Grp 467,736
Eli Lilly Co. 9,761
Lowes Co. Inc. 11,610
Column Totals: 7,836,084 6,702,908 0
</TABLE>
<PAGE> 7
Page 4 of 5
FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
9/30/2000
<TABLE>
<CAPTION>
Item 4: Item 5:
Item 2: Item 3: Fair Shares or
Item 1: Title of CUSIP Market Principal
Name of Issuer Class Number Value Amount
--------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Lucent Technologies Inc. com 549463107 2,410,923 78,885
Luxottica Grp SPA sponsored adr 55068R202 477,300 29,600
Lycos Inc. com 550818108 396,640 5,768
MGIC Investment Corp. com 552848103 21,100,350 345,200
Magna International cl a 559222401 17,915,015 414,220
Manor Care Inc. new com 564055101 2,606,870 166,175
Masco Corp com 574599106 18,964,906 1,018,250
McCormick & Co. com non vtg 579780206 13,811,437 464,250
McDonalds Corporation com 580135101 1,983,922 65,720
McLeod USA Inc CL A com 582266102 500,937 35,000
Mead Corporation com 582834107 15,050,578 643,875
Medimmune Inc. com 584699102 540,750 7,000
Medtronic, Inc. com 585055106 12,981,622 250,550
Mellon Financial Corp com 58551A108 528,675 11,400
Merck & Co., Inc. com 589331107 21,051,520 282,808
Metromedia Fiber Network-A com 591689104 389,000 16,000
Microsoft Corp. com 594918104 2,455,925 40,720
Motorola Inc com 620076109 1,131,554 40,055
Nextel Communications CL A 65332V103 233,750 5,000
Nextlink Communications-A CL A 65333H707 527,812 15,000
Nokia Corp. sponsored adr 654902204 7,970,462 200,200
North Fork Bancorp com 659424105 15,739,540 727,840
Nortel Networks Corp. com 656569100 30,612,266 513,952
Northern Trust com 665859104 10,782,759 121,325
Office Depot com 676220106 10,229,492 1,309,375
Ohio Casualty com 677240103 1,835,247 289,300
Ominicom Group com 681919106 8,761,617 120,125
Oracle Systems Corp. com 68389X105 15,530,288 197,210
PMC-Sierra Inc. com 69344F106 3,842,212 17,850
PepsiCo, Inc. com 713448108 22,834,952 496,413
Pfizer Inc. com 717081103 20,554,907 457,411
Philip Morris Cos. Inc. com 718154107 388,575 13,200
Column Totals: 284,141,803 8,399,677
Item 6:
Investment Discretion
-------------------------------------------
(b) Shared (c) Item 7:
Item 1: (a) as Defined Shared Managers
Name of Issuer sole in Instr. V. Other See Instr. V.
----------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Lucent Technologies Inc. X
Luxottica Grp SPA X
Lycos Inc. X
MGIC Investment Corp. X
Magna International X
Manor Care Inc. new X
Masco Corp X
McCormick & Co. X
McDonalds Corporation X
McLeod USA Inc X
Mead Corporation X
Medimmune Inc. X
Medtronic, Inc. X
Mellon Financial Corp X
Merck & Co., Inc. X
Metromedia Fiber Network-A X
Microsoft Corp. X
Motorola Inc X
Nextel Communications X
Nextlink Communications-A X
Nokia Corp. X
North Fork Bancorp X
Nortel Networks Corp. X
Northern Trust X
Office Depot X
Ohio Casualty X 1
Ominicom Group X
Oracle Systems Corp. X
PMC-Sierra Inc. X
PepsiCo, Inc. X
Pfizer Inc. X
Philip Morris Cos. Inc. X
Column Totals:
Item 8:
Voting Authority
Shares
------------------------------------------
Item 1: (b) (c)
Name of Issuer (a) Sole Shared None
------------------------------------------------------------------------------------
<S> <C> <C> <C>
Lucent Technologies Inc. 78,885
Luxottica Grp SPA 29,600
Lycos Inc. 5,768
MGIC Investment Corp. 345,200
Magna International 414,220
Manor Care Inc. new 166,175
Masco Corp 1,018,250
McCormick & Co. 464,250
McDonalds Corporation 65,720
McLeod USA Inc 35,000
Mead Corporation 643,875
Medimmune Inc. 7,000
Medtronic, Inc. 250,550
Mellon Financial Corp 11,400
Merck & Co., Inc. 282,808
Metromedia Fiber Network-A 16,000
Microsoft Corp. 40,720
Motorola Inc 40,055
Nextel Communications 5,000
Nextlink Communications-A 15,000
Nokia Corp. 200,200
North Fork Bancorp 727,840
Nortel Networks Corp. 513,952
Northern Trust 121,325
Office Depot 1,309,375
Ohio Casualty 289,300
Ominicom Group 120,125
Oracle Systems Corp. 197,210
PMC-Sierra Inc. 17,850
PepsiCo, Inc. 496,413
Pfizer Inc. 457,411
Philip Morris Cos. Inc. 13,200
Column Totals: 8,110,377 289,300 0
</TABLE>
<PAGE> 8
Page 5 of 5
FORM 13F Name of Reporting Manager: Fort Washington Investment Advisors, Inc.
9/30/2000
<TABLE>
<CAPTION>
Item 4: Item 5:
Item 2: Item 3: Fair Shares or
Item 1: Title of CUSIP Market Principal
Name of Issuer Class Number Value Amount
------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Pinnacle Holdings com 72346N101 1,756,824 65,984
Pitney Bowes Inc. com 724479100 283,950 7,200
Procter & Gamble com 742718109 4,702,663 70,189
Procter & Gamble com 742718109 79,517,878 1,186,834
Professional Bancorp Inc. com 743112104 910,218 122,383
Provident Financial Group com 743866105 413,336 14,071
Qwest Communications com 749121109 469,954 9,778
Ralston-Purina Group com Ral-Pur Grp 751277302 10,664,112 450,200
SBC Communications com 78387G103 23,041,750 460,835
SDL Inc. com 784076101 201,053 650
Sara Lee Corp. com 803111103 359,531 17,700
Schering Plough Corp. com 806605101 16,085,512 345,925
Schlumberger Ltd. com 806857108 22,368,998 271,757
Shell Trans & Trading PLC New York Shs New 822703609 234,900 4,800
Southern Co. com 842587107 1,829,474 56,400
Sprint Corp. com Fon Grp 852061100 697,491 23,795
Sprint Corp. -PCS Group PCS com Ser 1 852061506 2,490,033 71,017
Stifel Financial com 860630102 13,639,985 1,019,812
Sun MicroSystems com 866810104 32,374,074 277,295
Texas Instruments Inc. com 882508104 4,515,845 95,700
Tosco Corp. com new 891490302 16,704,025 535,600
Tyco International com 902124106 5,112,281 98,550
USA Education Inc. com 90390U102 30,551,453 634,013
UnionBancorp, Inc. com 908908106 357,975 33,300
Univision Communications CL A 914906102 8,316,124 222,505
U S Freightways com 916906100 5,446,134 240,050
Vectren Corporation com 92240G101 203,105 9,999
Veritas Software com 923436109 7,998,150 56,325
Verizon Communications com 92343V104 14,154,842 292,231
Vodafone Airtouch PLC com 92857T107 541,495 14,635
Wachovia Corp. com 929771103 448,908 7,919
Wal-Mart Stores Inc com 931142103 10,846,412 225,380
Wells Fargo & Co new com 949746101 1,465,406 31,900
Williams Companies Inc com 969457100 5,493,133 130,015
Worldcom Inc.New com 98157D106 7,789,273 256,440
Worldpages.Com Inc. com 981922107 127,500 30,000
Column Totals: 332,113,797 7,391,187
Grand Total: 2,168,475,675 55,767,207
Item 6:
Investment Discretion
-------------------------------------------
(b) Shared (c) Item 7:
Item 1: (a) as Defined Shared Managers
Name of Issuer sole in Instr. V. Other See Instr. V.
--------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C>
Pinnacle Holdings X
Pitney Bowes Inc. X
Procter & Gamble X
Procter & Gamble X 1
Professional Bancorp Inc. X
Provident Financial Group X
Qwest Communications X
Ralston-Purina Group X
SBC Communications X
SDL Inc. X
Sara Lee Corp. X
Schering Plough Corp. X
Schlumberger Ltd. X
Shell Trans & Trading PLC X
Southern Co. X
Sprint Corp. X
Sprint Corp. -PCS Group X
Stifel Financial X 1
Sun MicroSystems X
Texas Instruments Inc. X
Tosco Corp. X
Tyco International X
USA Education Inc. X
UnionBancorp, Inc. X
Univision Communications X
U S Freightways X
Vectren Corporation X
Veritas Software X
Verizon Communications X
Vodafone Airtouch PLC X
Wachovia Corp. X
Wal-Mart Stores Inc X
Wells Fargo & Co new X
Williams Companies Inc X
Worldcom Inc.New X
Worldpages.Com Inc. X
Column Totals:
Grand Total:
Item 8:
Voting Authority
Shares
------------------------------------------
Item 1: (b) (c)
Name of Issuer (a) Sole Shared None
-------------------------------------------------------------------------------------
<S> <C> <C> <C>
Pinnacle Holdings 65,984
Pitney Bowes Inc. 7,200
Procter & Gamble 70,189
Procter & Gamble 1,186,834
Professional Bancorp Inc. 122,383
Provident Financial Group 14,071
Qwest Communications 9,778
Ralston-Purina Group 450,200
SBC Communications 460,835
SDL Inc. 650
Sara Lee Corp. 17,700
Schering Plough Corp. 345,925
Schlumberger Ltd. 271,757
Shell Trans & Trading PLC 4,800
Southern Co. 56,400
Sprint Corp. 23,795
Sprint Corp. -PCS Group 71,017
Stifel Financial 1,019,812
Sun MicroSystems 277,295
Texas Instruments Inc. 95,700
Tosco Corp. 535,600
Tyco International 98,550
USA Education Inc. 634,013
UnionBancorp, Inc. 33,300
Univision Communications 222,505
U S Freightways 240,050
Vectren Corporation 9,999
Veritas Software 56,325
Verizon Communications 292,231
Vodafone Airtouch PLC 14,635
Wachovia Corp. 7,919
Wal-Mart Stores Inc 225,380
Wells Fargo & Co new 31,900
Williams Companies Inc 130,015
Worldcom Inc.New 256,440
Worldpages.Com Inc. 30,000
Column Totals: 5,184,541 2,206,646
Grand Total: 36,772,070 18,995,137
</TABLE>