WELLS FARGO BANK WEST NATIONAL ASSOCIATION
13F-HR, 2000-11-13
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<PAGE>

                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549


                                    FORM 13F
                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  09/30/00

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:  Wells Fargo Bank West, N.A.

Address:  1740 Broadway, MAC #C7301-018

          Denver, CO  80274

Form 13F File Number:  28-714

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:  Brooks J. Rarden

Title:     Senior Regional Investment Manager

Phone:  303-863-4774

Signature, Place, and Date of signing:

/s/ Brooks J. Rarden              Denver, Colorado              10/25/00
----------------------------   ----------------------       ----------------
[Signature]                         [City/Sate]                  [Date]

Report Type (Check only one):

[X]      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 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:

None.
<PAGE>

                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:

Form 13F Information Table Entry Total:  808

Form 13F Information Table Value Total:  $894,292
                                    (Thousands)

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.

None.
<PAGE>

WELLS FARGO BANK WEST, N.A.

<TABLE>
<CAPTION>
                                 TITLE                          VALUE  SHARES/    SH/  INVSTMT   OTHER       VOTING AUTHORITY
NAME OF ISSUER                   OF CLASS         CUSIP      (X $1000) PRN AMOUNT PRN  DISCRTN  MANAGERS  SOLE    SHARED     NONE
<S>                              <C>              <C>         <C>      <C>        <C>  <C>      <C>       <C>     <C>        <C>
ADC TELECOMMUNICATIONS INC       COMMON STOCK     000886101     532      19795    SH   SOLE                18520
ADC TELECOMMUNICATIONS INC                        000886101                            SOLE                                    1275
ADC TELECOMMUNICATIONS INC       COMMON STOCK     000886101     161       6000    SH   OTHER                6000
AIM                              MUTUAL FUNDS -   001413301    1119      36129    SH   SOLE                36129
AK STEEL HOLDING CORP            COMMON STOCK     001547108     113      12000    SH   SOLE                12000
AT&T                             COMMON STOCK     001957109    3958     134718    SH   SOLE               130518
AT&T                                              001957109                            SOLE                                    4200
AT&T                             COMMON STOCK     001957109      61       2067    SH   DEFINED               927
AT&T                                              001957109                            DEFINED                                 1140
AT&T                             COMMON STOCK     001957109    1079      36720    SH   OTHER               33440
AT&T                                              001957109                            OTHER                                   3280
AT&T                             COMMON STOCK     001957109      13        449    SH   DEF/OTH               449
ABBOTT LABORATORIES              COMMON STOCK     002824100    1361      28610    SH   SOLE                28610
ABBOTT LABORATORIES              COMMON STOCK     002824100    1058      22243    SH   OTHER               22243
ADAPTEC INC                      COMMON STOCK     00651F108       2        100    SH   SOLE                  100
ADAPTEC INC                      COMMON STOCK     00651F108     198       9900    SH   OTHER                9900
AEGON N V ORD SH                 FOREIGN STOCK    007924103     680      18328    SH   SOLE                17676
AEGON N V ORD SH                                  007924103                            SOLE                                     652
AEGON N V ORD SH                 FOREIGN STOCK    007924103     280       7552    SH   OTHER                7120
AEGON N V ORD SH                                  007924103                            OTHER                                    432
AGILENT TECHNOLOGIES INC         COMMON STOCK     00846U101    1893      38680    SH   SOLE                37492
AGILENT TECHNOLOGIES INC                          00846U101                            SOLE                                    1188
AGILENT TECHNOLOGIES INC         COMMON STOCK     00846U101     398       8137    SH   OTHER                7143
AGILENT TECHNOLOGIES INC                          00846U101                            OTHER                                    994
ALCOA INC                        COMMON STOCK     013817101     139       5500    SH   SOLE                 5500
ALCOA INC                        COMMON STOCK     013817101      81       3200    SH   OTHER                3200
ALLERGAN INC                     COMMON STOCK     018490102      27        320    SH   SOLE                  320
ALLERGAN INC                     COMMON STOCK     018490102     456       5400    SH   OTHER                5400
ALLSTATE CORP                    COMMON STOCK     020002101     301       8654    SH   SOLE                 8654
ALLSTATE CORP                    COMMON STOCK     020002101     204       5880    SH   OTHER                5510
ALLSTATE CORP                                     020002101                            OTHER                                    370
ALPNET INC                       COMMON STOCK     021089107      79      45000    SH   SOLE                45000
AMAZON.COM INC                   COMMON STOCK     023135106     353       9172    SH   SOLE                 9172
AMAZON.COM INC                   COMMON STOCK     023135106      16        420    SH   OTHER                 420
AMCAP AMERICAN                   MUTUAL FUNDS -   023375108     755      39738    SH   SOLE                39738
AMERICA ONLINE INC               COMMON STOCK     02364J104    3718      69175    SH   SOLE                67875
AMERICA ONLINE INC                                02364J104                            SOLE                                    1300
AMERICA ONLINE INC               COMMON STOCK     02364J104     125       2325    SH   OTHER                2225
AMERICA ONLINE INC                                02364J104                            OTHER                                    100
AMERICA ONLINE INC               COMMON STOCK     02364J104      51        950    SH   DEF/OTH               950
AMERICAN EXPRESS CO              COMMON STOCK     025816109    2087      34352    SH   SOLE                33602
AMERICAN EXPRESS CO                               025816109                            SOLE                                     750
AMERICAN EXPRESS CO              COMMON STOCK     025816109    1239      20400    SH   OTHER               19800
AMERICAN EXPRESS CO                               025816109                            OTHER                                    600
AMERICAN GENERAL CORP            COMMON STOCK     026351106    7483      95940    SH   SOLE                94490
AMERICAN GENERAL CORP                             026351106                            SOLE                                    1450
AMERICAN GENERAL CORP            COMMON STOCK     026351106       3         38    SH   DEFINED                38
AMERICAN GENERAL CORP            COMMON STOCK     026351106     606       7765    SH   OTHER                7665
AMERICAN GENERAL CORP                             026351106                            OTHER                                    100
AMERICAN GENERAL CORP            COMMON STOCK     026351106      70        900    SH   DEF/OTH               900
AMERICAN FUNDS HIGH INCOME       MUTUAL FUNDS -   026547109     139      10783    SH   SOLE                10783
AMERICAN HOME PRODUCTS CORP      COMMON STOCK     026609107    7685     136170    SH   SOLE               124929
AMERICAN HOME PRODUCTS CORP                       026609107                            SOLE                                   11241
AMERICAN HOME PRODUCTS CORP      COMMON STOCK     026609107     181       3200    SH   DEFINED                                 3200
AMERICAN HOME PRODUCTS CORP      COMMON STOCK     026609107    3018      53481    SH   OTHER               50681
AMERICAN HOME PRODUCTS CORP                       026609107                            OTHER                                   2800
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK     026874107   13052     136402    SH   SOLE               135503
AMERICAN INTERNATIONAL GROUP INC                  026874107                            SOLE                                     899
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK     026874107       4         37    SH   DEFINED                37
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK     026874107    2278      23804    SH   OTHER               22484
AMERICAN INTERNATIONAL GROUP INC                  026874107                            OTHER                                   1320
AMERICAN INTERNATIONAL GROUP INC COMMON STOCK     026874107     101       1049    SH   DEF/OTH              1049
AMERICAN                         COMMON STOCK     029066107    2132     111125    SH   SOLE               109525
AMERICAN                                          029066107                            SOLE                                    1600
AMERICAN                         COMMON STOCK     029066107     317      16500    SH   OTHER               15350
AMERICAN                                          029066107                            OTHER                                   1150
AMGEN INC                        COMMON STOCK     031162100    5797      83016    SH   SOLE                81357
AMGEN INC                                         031162100                            SOLE                                    1659
AMGEN INC                        COMMON STOCK     031162100       0         12    SH   DEFINED                12
AMGEN INC                        COMMON STOCK     031162100     278       3980    SH   OTHER                3980
AMGEN INC                        COMMON STOCK     031162100      24        350    SH   DEF/OTH               350
ANADARKO PETE CORP               COMMON STOCK     032511107     193       2904    SH   SOLE                 2904
ANADARKO PETE CORP               COMMON STOCK     032511107      75       1134    SH   OTHER                1134
ANHEUSER BUSCH COS               COMMON STOCK     035229103     427      10100    SH   SOLE                10100
ANHEUSER BUSCH COS               COMMON STOCK     035229103     196       4644    SH   DEFINED                                 4644
ANHEUSER BUSCH COS               COMMON STOCK     035229103    2420      57200    SH   OTHER               57200
APPLIED MATERIALS INC            COMMON STOCK     038222105      46        780    SH   SOLE                  150
APPLIED MATERIALS INC                             038222105                            SOLE                                     630
APPLIED MATERIALS INC            COMMON STOCK     038222105      12        200    SH   OTHER                 200
ATRIX LABS INC                   COMMON STOCK     04962L101      17       1131    SH   SOLE                 1131
ATRIX LABS INC                   COMMON STOCK     04962L101     456      31156    SH   OTHER                                  31156
AUTOMATED SCANNING INC           COMMON STOCK     052875101       0      24000    SH   SOLE                24000
AUTOMATIC DATA PROCESSING INC    COMMON STOCK     053015103    1170      17500    SH   SOLE                16850
AUTOMATIC DATA PROCESSING INC                     053015103                            SOLE                                     650
AUTOMATIC DATA PROCESSING INC    COMMON STOCK     053015103    3059      45742    SH   DEFINED                                45742
AUTOMATIC DATA PROCESSING INC    COMMON STOCK     053015103     468       7000    SH   OTHER                7000
AUTOMATIC DATA PROCESSING INC    COMMON STOCK     053015103      13        200    SH   DEF/OTH               200
BP AMOCO                         FOREIGN STOCK    055622104    9826     185399    SH   SOLE               113759
BP AMOCO                                          055622104                            SOLE                                   71640
BP AMOCO                         FOREIGN STOCK    055622104     232       4382    SH   DEFINED              3070
BP AMOCO                                          055622104                            DEFINED                                 1312
BP AMOCO                         FOREIGN STOCK    055622104    5356     101049    SH   OTHER               98871
BP AMOCO                                          055622104                            OTHER                                   2178
BANK OF AMERICA CORP             COMMON STOCK     060505104     863      16478    SH   SOLE                 9752
BANK OF AMERICA CORP                              060505104                            SOLE                                    6726
BANK OF AMERICA CORP             COMMON STOCK     060505104       1         25    SH   DEFINED                25
BANK OF AMERICA CORP             COMMON STOCK     060505104     232       4435    SH   OTHER                3491
BANK OF AMERICA CORP                              060505104                            OTHER                                    944
BANK OF AMERICA CORP             COMMON STOCK     060505104      25        475    SH   DEF/OTH               475
BANK ONE CORP                    COMMON STOCK     06423A103     704      18487    SH   SOLE                16461
BANK ONE CORP                                     06423A103                            SOLE                                    2026
BANK ONE CORP                    COMMON STOCK     06423A103     676      17760    SH   OTHER               17041
BANK ONE CORP                                     06423A103                            OTHER                                    719
BELLSOUTH CORP                   COMMON STOCK     079860102    2252      55605    SH   SOLE                53805
BELLSOUTH CORP                                    079860102                            SOLE                                    1800
BELLSOUTH CORP                   COMMON STOCK     079860102     188       4640    SH   DEFINED              1040
BELLSOUTH CORP                                    079860102                            DEFINED                                 3600
BELLSOUTH CORP                   COMMON STOCK     079860102     539      13319    SH   OTHER               12019
BELLSOUTH CORP                                    079860102                            OTHER                                   1300
BELLSOUTH CORP                   COMMON STOCK     079860102      23        576    SH   DEF/OTH               576
BERKSHIRE HATHAWAY INC           COMMON STOCK     084670108    7986        124    SH   SOLE                  123
BERKSHIRE HATHAWAY INC                            084670108                            SOLE                                       1
BERKSHIRE HATHAWAY INC           COMMON STOCK     084670108     129          2    SH   DEFINED                                    2
BERKSHIRE HATHAWAY INC           COMMON STOCK     084670108     322          5    SH   OTHER                                      5
BERKSHIRE HATHAWAY INC           COMMON STOCK     084670207     406        196    SH   SOLE                  182
BERKSHIRE HATHAWAY INC                            084670207                            SOLE                                      14
BERKSHIRE HATHAWAY INC           COMMON STOCK     084670207      87         42    SH   DEFINED                                   42
BERKSHIRE HATHAWAY INC           COMMON STOCK     084670207     205         99    SH   OTHER                  84
BERKSHIRE HATHAWAY INC                            084670207                            OTHER                                     15
BESTFOODS INC                    COMMON STOCK     08658U101    1105      15187    SH   SOLE                15187
BESTFOODS INC                    COMMON STOCK     08658U101     276       3800    SH   OTHER                3800
BIOCONTROL TECHNOLOGY INC        COMMON STOCK     090586108       6      50000    SH   SOLE                50000
BOEING CO                        COMMON STOCK     097023105     451       7195    SH   SOLE                 7195
BOEING CO                        COMMON STOCK     097023105      50        800    SH   OTHER                                    800
BRISTOL MYERS SQUIBB CO          COMMON STOCK     110122108    9064     157638    SH   SOLE               155538
BRISTOL MYERS SQUIBB CO                           110122108                            SOLE                                    2100
BRISTOL MYERS SQUIBB CO          COMMON STOCK     110122108       3         57    SH   DEFINED                57
BRISTOL MYERS SQUIBB CO          COMMON STOCK     110122108    1621      28185    SH   OTHER               27785
BRISTOL MYERS SQUIBB CO                           110122108                            OTHER                                    400
BRISTOL MYERS SQUIBB CO          COMMON STOCK     110122108      79       1375    SH   DEF/OTH              1375
C.H. ROBINSON WORLDWIDE INC      COMMON STOCK     12541W100     564      10000    SH   SOLE                10000
CIGNA CORP                       COMMON STOCK     125509109     707       6769    SH   SOLE                 5269
CIGNA CORP                                        125509109                            SOLE                                    1500
CIGNA CORP                       COMMON STOCK     125509109     217       2075    SH   OTHER                 800
CIGNA CORP                                        125509109                            OTHER                                   1275
CNA FINANCIAL                    COMMON STOCK     126117100      18        480    SH   OTHER                                    480
CVS CORPORATION                  COMMON STOCK     126650100    1781      38450    SH   DEFINED                                38450
CVS CORPORATION                  COMMON STOCK     126650100      37        800    SH   DEF/OTH               800
CALPINE CORP                     COMMON STOCK     131347106     356       3410    SH   SOLE                 3410
CARDINAL HEALTH INC              COMMON STOCK     14149Y108     630       7140    SH   SOLE                 7140
CARDINAL HEALTH INC              COMMON STOCK     14149Y108     825       9350    SH   OTHER                9350
CATERPILLAR INC                  COMMON STOCK     149123101     407      13122    SH   SOLE                13122
CATERPILLAR INC                  COMMON STOCK     149123101     302       9732    SH   OTHER                7552
CATERPILLAR INC                                   149123101                            OTHER                                   2180
CHASE MANHATTAN CORPORATION      COMMON STOCK     16161A108    5998     129872    SH   SOLE               127647
CHASE MANHATTAN CORPORATION                       16161A108                            SOLE                                    2225
CHASE MANHATTAN CORPORATION      COMMON STOCK     16161A108      65       1405    SH   DEFINED               505
CHASE MANHATTAN CORPORATION                       16161A108                            DEFINED                                  900
CHASE MANHATTAN CORPORATION      COMMON STOCK     16161A108     601      13006    SH   OTHER               11589
CHASE MANHATTAN CORPORATION                       16161A108                            OTHER                                   1417
CHASE MANHATTAN CORPORATION      COMMON STOCK     16161A108      54       1162    SH   DEF/OTH              1162
CHEVRON CORP                     COMMON STOCK     166751107    6074      71252    SH   SOLE                70327
CHEVRON CORP                                      166751107                            SOLE                                     925
CHEVRON CORP                     COMMON STOCK     166751107     140       1640    SH   DEFINED              1640
CHEVRON CORP                     COMMON STOCK     166751107    2003      23496    SH   OTHER               22396
CHEVRON CORP                                      166751107                            OTHER                                   1100
CHEVRON CORP                     COMMON STOCK     166751107      34        400    SH   DEF/OTH               400
CISCO SYSTEMS INC                COMMON STOCK     17275R102   16063     290727    SH   SOLE               282952
CISCO SYSTEMS INC                                 17275R102                            SOLE                                    7775
CISCO SYSTEMS INC                COMMON STOCK     17275R102     322       5820    SH   DEFINED               300
CISCO SYSTEMS INC                                 17275R102                            DEFINED                                 5520
CISCO SYSTEMS INC                COMMON STOCK     17275R102     948      17150    SH   OTHER               14050
CISCO SYSTEMS INC                                 17275R102                            OTHER                                   3100
CISCO SYSTEMS INC                COMMON STOCK     17275R102      59       1075    SH   DEF/OTH              1075
CITIGROUP INC                    COMMON STOCK     172967101    4228      78200    SH   SOLE                77835
CITIGROUP INC                                     172967101                            SOLE                                     365
CITIGROUP INC                    COMMON STOCK     172967101     765      14152    SH   OTHER               13539
CITIGROUP INC                                     172967101                            OTHER                                    613
CITIGROUP INC                    COMMON STOCK     172967101      61       1133    SH   DEF/OTH              1133
CLEAR CHANNEL COMMUNICATIONS INC COMMON STOCK     184502102      36        632    SH   SOLE                  350
CLEAR CHANNEL COMMUNICATIONS INC                  184502102                            SOLE                                     282
CLOROX CO                        COMMON STOCK     189054109     117       2968    SH   SOLE                 2968
CLOROX CO                        COMMON STOCK     189054109     542      13700    SH   OTHER               13700
COASTAL CORPORATION              COMMON STOCK     190441105      64        860    SH   SOLE                  860
COASTAL CORPORATION              COMMON STOCK     190441105     121       1636    SH   DEFINED              1636
COASTAL CORPORATION              COMMON STOCK     190441105     147       1978    SH   OTHER                1978
COCA COLA CO                     COMMON STOCK     191216100     865      15688    SH   SOLE                15688
COCA COLA CO                     COMMON STOCK     191216100     457       8300    SH   OTHER                7900
COCA COLA CO                                      191216100                            OTHER                                    400
COLGATE PALMOLIVE CO             COMMON STOCK     194162103     345       7304    SH   SOLE                 6650
COLGATE PALMOLIVE CO                              194162103                            SOLE                                     654
COLGATE PALMOLIVE CO             COMMON STOCK     194162103      94       2000    SH   DEFINED                                 2000
COLGATE PALMOLIVE CO             COMMON STOCK     194162103     406       8600    SH   OTHER                6600
COLGATE PALMOLIVE CO                              194162103                            OTHER                                   2000
COMERICA INC                     COMMON STOCK     200340107     146       2500    SH   SOLE                 2500
COMERICA INC                     COMMON STOCK     200340107      88       1500    SH   OTHER                1500
COMMERCE BANCSHARES INC          COMMON STOCK     200525103     337       9150    SH   SOLE                 9150
COMPAQ COMPUTER CORP             COMMON STOCK     204493100     251       9125    SH   SOLE                 9125
COMPAQ COMPUTER CORP             COMMON STOCK     204493100     427      15500    SH   OTHER               15500
COMPUTER ASSOCIATES INT'L INC    COMMON STOCK     204912109     218       8625    SH   SOLE                 8625
CONAGRA FOODS INC                COMMON STOCK     205887102     215      10700    SH   SOLE                10700
CONAGRA FOODS INC                COMMON STOCK     205887102      88       4400    SH   OTHER                4400
CONCORD EFS INC                  COMMON STOCK     206197105     236       6640    SH   SOLE                                    6640
CONOCO INC                       COMMON STOCK     208251405     501      18582    SH   SOLE                18582
CONOCO INC                       COMMON STOCK     208251405      50       1842    SH   OTHER                1842
CONVERGENT COMMUNICATION INC     COMMON STOCK     211914403      57      17959    SH   SOLE                17709
CONVERGENT COMMUNICATION INC                      211914403                            SOLE                                     250
CORNING INCORPORATED             COMMON STOCK     219350105     282        948    SH   SOLE                  948
COSTCO WHOLESALE CORP            COMMON STOCK     22160K105     117       3350    SH   SOLE                 3350
COSTCO WHOLESALE CORP            COMMON STOCK     22160K105     166       4750    SH   DEFINED                                 4750
COX COMMUNICATIONS INC           COMMON STOCK     224044107     250       6524    SH   OTHER                                   6524
CROMPTON CORP                    COMMON STOCK     227116100       2        250    SH   SOLE                  250
CROMPTON CORP                    COMMON STOCK     227116100     183      23300    SH   OTHER               23300
DELL COMPUTER CORP               COMMON STOCK     247025109     155       5035    SH   SOLE                 5035
DELL COMPUTER CORP               COMMON STOCK     247025109    1313      42600    SH   DEFINED                                42600
DELL COMPUTER CORP               COMMON STOCK     247025109     133       4300    SH   OTHER                4300
WALT DISNEY                      COMMON STOCK     254687106    2274      59453    SH   SOLE                59185
WALT DISNEY                                       254687106                            SOLE                                     268
WALT DISNEY                      COMMON STOCK     254687106     440      11514    SH   OTHER               10864
WALT DISNEY                                       254687106                            OTHER                                    650
DOLLAR GENERAL                   COMMON STOCK     256669102     491      29295    SH   DEFINED                                29295
DOMINION RESOURCES               COMMON STOCK     25746U109     604      10402    SH   SOLE                 9410
DOMINION RESOURCES                                25746U109                            SOLE                                     992
DOMINION RESOURCES               COMMON STOCK     25746U109      84       1452    SH   DEFINED                                 1452
DOMINION RESOURCES               COMMON STOCK     25746U109     102       1748    SH   OTHER                1149
DOMINION RESOURCES                                25746U109                            OTHER                                    599
DOW CHEMICAL CO                  COMMON STOCK     260543103     207       8319    SH   SOLE                 8319
DOW CHEMICAL CO                  COMMON STOCK     260543103      71       2850    SH   DEFINED              2850
DOW CHEMICAL CO                  COMMON STOCK     260543103     152       6105    SH   OTHER                6105
DREYFUS                          MUTUAL FUNDS -   262003106      32       2516    SH   SOLE                 2516
DREYFUS                          MUTUAL FUNDS -   262003106     225      17967    SH   DEFINED             17967
DREYFUS                          MUTUAL FUNDS -   262003106      41       3264    SH   OTHER                3264
DU PONT E I DE NEMOURS & CO      COMMON STOCK     263534109    6693     163724    SH   SOLE               158604
DU PONT E I DE NEMOURS & CO                       263534109                            SOLE                                    5120
DU PONT E I DE NEMOURS & CO      COMMON STOCK     263534109      18        437    SH   DEFINED                37
DU PONT E I DE NEMOURS & CO                       263534109                            DEFINED                                  400
DU PONT E I DE NEMOURS & CO      COMMON STOCK     263534109    1266      30988    SH   OTHER               29938
DU PONT E I DE NEMOURS & CO                       263534109                            OTHER                                   1050
DU PONT E I DE NEMOURS & CO      COMMON STOCK     263534109      40        975    SH   DEF/OTH               975
DUKE ENERGY CORP                 COMMON STOCK     264399106     352       4101    SH   SOLE                 4101
DUKE ENERGY CORP                 COMMON STOCK     264399106      60        700    SH   OTHER                 500
DUKE ENERGY CORP                                  264399106                            OTHER                                    200
EMC CORPORATION                  COMMON STOCK     268648102   16305     163872    SH   SOLE               161372
EMC CORPORATION                                   268648102                            SOLE                                    2500
EMC CORPORATION                  COMMON STOCK     268648102     761       7645    SH   DEFINED                25
EMC CORPORATION                                   268648102                            DEFINED                                 7620
EMC CORPORATION                  COMMON STOCK     268648102    1582      15895    SH   OTHER               14095
EMC CORPORATION                                   268648102                            OTHER                                   1800
EMC CORPORATION                  COMMON STOCK     268648102     105       1050    SH   DEF/OTH              1050
EASTMAN KODAK CO                 COMMON STOCK     277461109     413      10099    SH   SOLE                 9749
EASTMAN KODAK CO                                  277461109                            SOLE                                     350
EASTMAN KODAK CO                 COMMON STOCK     277461109     121       2950    SH   OTHER                2800
EASTMAN KODAK CO                                  277461109                            OTHER                                    150
ECONOMETRICS INC                 COMMON STOCK     278923107      13      20000    SH   SOLE                20000
EDISON INTERNATIONAL             COMMON STOCK     281020107     814      42107    SH   SOLE                41007
EDISON INTERNATIONAL                              281020107                            SOLE                                    1100
EDISON INTERNATIONAL             COMMON STOCK     281020107       0         50    SH   DEFINED                50
EDISON INTERNATIONAL             COMMON STOCK     281020107      35       1800    SH   OTHER                1800
EDISON INTERNATIONAL             COMMON STOCK     281020107      13        650    SH   DEF/OTH               650
EL PASO ENERGY CORP              COMMON STOCK     283905107     416       6755    SH   SOLE                 6755
EL PASO ENERGY CORP              COMMON STOCK     283905107     210       3400    SH   OTHER                3400
EMERSON ELECTRIC CO              COMMON STOCK     291011104    7795     116348    SH   SOLE               114123
EMERSON ELECTRIC CO                               291011104                            SOLE                                    2225
EMERSON ELECTRIC CO              COMMON STOCK     291011104       0         13    SH   DEFINED                13
EMERSON ELECTRIC CO              COMMON STOCK     291011104    1444      21550    SH   OTHER               20850
EMERSON ELECTRIC CO                               291011104                            OTHER                                    700
EMERSON ELECTRIC CO              COMMON STOCK     291011104      49        725    SH   DEF/OTH               725
ENRON CORP                       COMMON STOCK     293561106     913      10413    SH   SOLE                10413
ENRON CORP                       COMMON STOCK     293561106     254       2896    SH   OTHER                2700
ENRON CORP                                        293561106                            OTHER                                    196
EQUITY RESIDENTIAL PROPERTIES TR COMMON STOCK     29476L107     202       4200    SH   SOLE                 4200
EQUITY RESIDENTIAL PROPERTIES TR COMMON STOCK     29476L107      11        225    SH   OTHER                 225
ERICSSON (LM) TEL                FOREIGN STOCK    294821400    1035      69900    SH   SOLE                69900
ERICSSON (LM) TEL                FOREIGN STOCK    294821400     542      36600    SH   OTHER               36600
AMERICAN EURO PAC GROWTH FD      MUTUAL FUNDS -   298706102    2373      62333    SH   SOLE                61698
AMERICAN EURO PAC GROWTH FD                       298706102                            SOLE                                     635
EXXON MOBIL CORP                 COMMON STOCK     30231G102   18680     209632    SH   SOLE               179626
EXXON MOBIL CORP                                  30231G102                            SOLE                                   30006
EXXON MOBIL CORP                 COMMON STOCK     30231G102     715       8029    SH   DEFINED              5954
EXXON MOBIL CORP                                  30231G102                            DEFINED                                 2075
EXXON MOBIL CORP                 COMMON STOCK     30231G102   10591     118867    SH   OTHER              115185
EXXON MOBIL CORP                                  30231G102                            OTHER                                   3682
EXXON MOBIL CORP                 COMMON STOCK     30231G102      74        825    SH   DEF/OTH               825
FANNY RAWLINGS MINING CO         COMMON STOCK     307207100       0      14000    SH   SOLE                14000
FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCK     313400301    3594      66485    SH   SOLE                66060
FEDERAL HOME LOAN MORTGAGE CORP                   313400301                            SOLE                                     425
FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCK     313400301       3         62    SH   DEFINED                62
FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCK     313400301    1275      23575    SH   OTHER               23275
FEDERAL HOME LOAN MORTGAGE CORP                   313400301                            OTHER                                    300
FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCK     313400301      25        475    SH   DEF/OTH               475
FANNIE MAE                       COMMON STOCK     313586109    1208      16900    SH   SOLE                16900
FANNIE MAE                       COMMON STOCK     313586109     272       3800    SH   OTHER                3800
FANNIE MAE                       COMMON STOCK     313586109     114       1600    SH   DEF/OTH              1600
FIDELITY                         MUTUAL FUNDS -   316153105     316       8243    SH   SOLE                 8243
FIDELITY                         MUTUAL FUNDS -   316153105     186       4862    SH   OTHER                4862
FIDELITY                         MUTUAL FUNDS -   316184100    2857      21349    SH   SOLE                21349
FIDELITY                         MUTUAL FUNDS -   316200104     562       6023    SH   SOLE                 6023
FIFTH THIRD BANCORP              COMMON STOCK     316773100     110       2051    SH   SOLE                 1912
FIFTH THIRD BANCORP                               316773100                            SOLE                                     139
FIRST DATA CORP.                 COMMON STOCK     319963104      73       1860    SH   SOLE                 1860
FIRST DATA CORP.                 COMMON STOCK     319963104    1449      37100    SH   DEFINED                                37100
FIRST DATA CORP.                 COMMON STOCK     319963104      74       1900    SH   DEF/OTH              1900
FIRST SECURITY CORP              COMMON STOCK     336294103     269      16510    SH   OTHER               16510
FIRST UNION CORP                 COMMON STOCK     337358105     188       5855    SH   SOLE                 5855
FIRST UNION CORP                 COMMON STOCK     337358105     266       8267    SH   OTHER                5572
FIRST UNION CORP                                  337358105                            OTHER                                   2695
FLOORING AMERICA INC             COMMON STOCK     339756108       0      18529    SH   SOLE                18529
FLUOR CORP                       COMMON STOCK     343861100     469      15639    SH   SOLE                15639
FORD MOTOR CO                    COMMON STOCK     345370860     153       6012    SH   SOLE                 5563
FORD MOTOR CO                                     345370860                            SOLE                                     449
FORD MOTOR CO                    COMMON STOCK     345370860      56       2197    SH   OTHER                2197
FORTUNE BRANDS, INC.             COMMON STOCK     349631101     325      12265    SH   SOLE                 9865
FORTUNE BRANDS, INC.                              349631101                            SOLE                                    2400
FORTUNE BRANDS, INC.             COMMON STOCK     349631101     291      10975    SH   OTHER               10375
FORTUNE BRANDS, INC.                              349631101                            OTHER                                    600
FRANKLIN                         MUTUAL FUNDS -   353496300      39      16417    SH   SOLE                16417
FRANKLIN ELECTRIC CO INC         COMMON STOCK     353514102     479       6940    SH   SOLE                 6940
FRANKLIN RESOURCES INC           COMMON STOCK     354613101     169       3800    SH   SOLE                 3800
FRANKLIN RESOURCES INC           COMMON STOCK     354613101      40        900    SH   OTHER                 900
FUNDAMENTAL INVESTORS INC        MUTUAL FUNDS -   360802102     194       5706    SH   SOLE                 5706
FUNDAMENTAL INVESTORS INC        MUTUAL FUNDS -   360802102      89       2633    SH   OTHER                2633
FUNDAMENTAL INVESTORS INC        MUTUAL FUNDS -   360802102     236       6966    SH   DEF/OTH              6966
GANNETT INC                      COMMON STOCK     364730101      74       1400    SH   SOLE                 1400
GANNETT INC                      COMMON STOCK     364730101     138       2600    SH   OTHER                2600
GAP INC                          COMMON STOCK     364760108      11        550    SH   SOLE                  300
GAP INC                                           364760108                            SOLE                                     250
GAP INC                          COMMON STOCK     364760108     628      31200    SH   DEFINED                                31200
GAP INC                          COMMON STOCK     364760108     207      10300    SH   OTHER               10300
GATEWAY INC                      COMMON STOCK     367626108      31        635    SH   SOLE                  500
GATEWAY INC                                       367626108                            SOLE                                     135
GATEWAY INC                      COMMON STOCK     367626108     357       7400    SH   DEFINED                                 7400
GENERAL DYNAMICS CORP            COMMON STOCK     369550108      58        920    SH   SOLE                  920
GENERAL ELECTRIC CO              COMMON STOCK     369604103   34909     603838    SH   SOLE               584363
GENERAL ELECTRIC CO                               369604103                            SOLE                                   19475
GENERAL ELECTRIC CO              COMMON STOCK     369604103    1732      29955    SH   DEFINED                75
GENERAL ELECTRIC CO                               369604103                            DEFINED                                29880
GENERAL ELECTRIC CO              COMMON STOCK     369604103   13432     232326    SH   OTHER              228776
GENERAL ELECTRIC CO                               369604103                            OTHER                                   3550
GENERAL ELECTRIC CO              COMMON STOCK     369604103     112       1950    SH   DEF/OTH              1950
GENERAL MILLS INC                COMMON STOCK     370334104     432      12160    SH   SOLE                12160
GENERAL MILLS INC                COMMON STOCK     370334104      92       2600    SH   OTHER                2600
GENERAL MOTORS CORP              COMMON STOCK     370442105     281       4322    SH   SOLE                 4322
GENERAL MOTORS CORP              COMMON STOCK     370442105       7        112    SH   DEFINED               112
GENERAL MOTORS CORP              COMMON STOCK     370442105     131       2012    SH   OTHER                2012
GILLETTE CO                      COMMON STOCK     375766102    1756      56867    SH   SOLE                56867
GILLETTE CO                      COMMON STOCK     375766102      43       1400    SH   DEFINED                                 1400
GILLETTE CO                      COMMON STOCK     375766102     508      16458    SH   OTHER               15858
GILLETTE CO                                       375766102                            OTHER                                    600
GOLDMAN SACHS GROUP INC          COMMON STOCK     38141G104     268       2350    SH   SOLE                 2350
GROWTH FUND OF AMERICA INC       MUTUAL FUNDS -   399874106     664      19270    SH   SOLE                19270
GRUPO TELEVISA                   FOREIGN STOCK    40049J206       8        140    SH   OTHER                                    140
GUIDANT CORP                     COMMON STOCK     401698105     337       4774    SH   SOLE                 4174
GUIDANT CORP                                      401698105                            SOLE                                     600
HAIN CELESTIAL GROUP INC         COMMON STOCK     405217100    2368      67419    SH   SOLE                                   67419
HALLIBURTON CO                   COMMON STOCK     406216101     176       3600    SH   SOLE                 3600
HALLIBURTON CO                   COMMON STOCK     406216101     176       3600    SH   OTHER                3600
HARLEY DAVIDSON INC              COMMON STOCK     412822108    1067      22285    SH   SOLE                22285
HARLEY DAVIDSON INC              COMMON STOCK     412822108     103       2150    SH   OTHER                2150
HARSCO CORP                      COMMON STOCK     415864107     890      40352    SH   SOLE                40352
HEILIG MEYERS CO                 COMMON STOCK     422893107       3      20000    SH   SOLE                20000
HEWLETT PACKARD CO               COMMON STOCK     428236103   10102     103607    SH   SOLE               100482
HEWLETT PACKARD CO                                428236103                            SOLE                                    3125
HEWLETT PACKARD CO               COMMON STOCK     428236103    1906      19550    SH   OTHER               17750
HEWLETT PACKARD CO                                428236103                            OTHER                                   1800
HOME DEPOT INC                   COMMON STOCK     437076102   11822     223325    SH   SOLE               218216
HOME DEPOT INC                                    437076102                            SOLE                                    5109
HOME DEPOT INC                   COMMON STOCK     437076102      71       1350    SH   DEFINED                                 1350
HOME DEPOT INC                   COMMON STOCK     437076102    1305      24649    SH   OTHER               23837
HOME DEPOT INC                                    437076102                            OTHER                                    812
HOME DEPOT INC                   COMMON STOCK     437076102      30        550    SH   DEF/OTH               550
HONEYWELL INTERNATIONAL INC.     COMMON STOCK     438516106    7011     196789    SH   SOLE               193177
HONEYWELL INTERNATIONAL INC.                      438516106                            SOLE                                    3612
HONEYWELL INTERNATIONAL INC.     COMMON STOCK     438516106       0         20    SH   DEFINED                20
HONEYWELL INTERNATIONAL INC.     COMMON STOCK     438516106    1230      34547    SH   OTHER               33885
HONEYWELL INTERNATIONAL INC.                      438516106                            OTHER                                    662
HONEYWELL INTERNATIONAL INC.     COMMON STOCK     438516106      42       1200    SH   DEF/OTH              1200
HOUSEHOLD INTERNATIONAL INC      COMMON STOCK     441815107     911      16090    SH   SOLE                16090
HOUSEHOLD INTERNATIONAL INC      COMMON STOCK     441815107      20        350    SH   OTHER                 350
IMS HEALTH INC                   COMMON STOCK     449934108     395      19025    SH   SOLE                18225
IMS HEALTH INC                                    449934108                            SOLE                                     800
IMS HEALTH INC                   COMMON STOCK     449934108     106       5100    SH   OTHER                4800
IMS HEALTH INC                                    449934108                            OTHER                                    300
IMS HEALTH INC                   COMMON STOCK     449934108      91       4400    SH   DEF/OTH              4400
IMMUNEX CORP                     COMMON STOCK     452528102     239       5500    SH   SOLE                 5500
INCOME FUND OF AMERICA           MUTUAL FUNDS -   453320103     169      10765    SH   SOLE                10765
INMET MINING CORPORATION         COMMON STOCK     457983104      47      22000    SH   SOLE                22000
INTEL CORP                       COMMON STOCK     458140100   13768     331274    SH   SOLE               324574
INTEL CORP                                        458140100                            SOLE                                    6700
INTEL CORP                       COMMON STOCK     458140100    1600      38500    SH   DEFINED               500
INTEL CORP                                        458140100                            DEFINED                                38000
INTEL CORP                       COMMON STOCK     458140100    1617      38890    SH   OTHER               37590
INTEL CORP                                        458140100                            OTHER                                   1300
INTEL CORP                       COMMON STOCK     458140100      35        850    SH   DEF/OTH               850
INTERNATIONAL BUSINESS MACHINES  COMMON STOCK     459200101    7098      63027    SH   SOLE                61277
INTERNATIONAL BUSINESS MACHINES                   459200101                            SOLE                                    1750
INTERNATIONAL BUSINESS MACHINES  COMMON STOCK     459200101     137       1213    SH   DEFINED                13
INTERNATIONAL BUSINESS MACHINES                   459200101                            DEFINED                                 1200
INTERNATIONAL BUSINESS MACHINES  COMMON STOCK     459200101    2748      24399    SH   OTHER               23924
INTERNATIONAL BUSINESS MACHINES                   459200101                            OTHER                                    475
INTERNATIONAL BUSINESS MACHINES  COMMON STOCK     459200101      82        725    SH   DEF/OTH               725
INTERPRETER INC                  COMMON STOCK     460630106       0      17500    SH   SOLE                17500
INTERPUBLIC GROUP CO INC         COMMON STOCK     460690100     215       6300    SH   DEFINED                                 6300
INTERPUBLIC GROUP CO INC         COMMON STOCK     460690100     204       6000    SH   OTHER                6000
INVESTMENT CO                    MUTUAL FUNDS -   461308108    2257      69145    SH   SOLE                69145
INVESTMENT CO                    MUTUAL FUNDS -   461308108      20        610    SH   OTHER                 610
IONICS INC                       COMMON STOCK     462218108     311      14600    SH   SOLE                14600
IPALCO ENTERPRISES INC           COMMON STOCK     462613100     295      12872    SH   SOLE                12872
IPALCO ENTERPRISES INC           COMMON STOCK     462613100      45       1964    SH   OTHER                1964
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
<S>                              <C>              <C>         <C>      <C>        <C>  <C>      <C>       <C>     <C>        <C>
JANUS                            MUTUAL FUNDS -   471023101     876      19158    SH   SOLE                19158
JANUS                            MUTUAL FUNDS -   471023101     283       6198    SH   OTHER                6198
JANUS                            MUTUAL FUNDS -   471023309    6112      82863    SH   SOLE                80614
JANUS                                             471023309                            SOLE                                    2249
JANUS                            MUTUAL FUNDS -   471023309     109       1471    SH   OTHER                 638
JANUS                                             471023309                            OTHER                                    833
JOHNSON & JOHNSON                COMMON STOCK     478160104    8832      94027    SH   SOLE                92079
JOHNSON & JOHNSON                                 478160104                            SOLE                                    1948
JOHNSON & JOHNSON                COMMON STOCK     478160104     122       1300    SH   DEFINED                50
JOHNSON & JOHNSON                                 478160104                            DEFINED                                 1250
JOHNSON & JOHNSON                COMMON STOCK     478160104    2632      28015    SH   OTHER               25915
JOHNSON & JOHNSON                                 478160104                            OTHER                                   2100
JOHNSON & JOHNSON                COMMON STOCK     478160104      58        615    SH   DEF/OTH               615
KEYCORP                          COMMON STOCK     493267108     601      23730    SH   SOLE                23056
KEYCORP                                           493267108                            SOLE                                     674
KIMBERLY CLARK CORP              COMMON STOCK     494368103     792      14189    SH   SOLE                13339
KIMBERLY CLARK CORP                               494368103                            SOLE                                     850
KIMBERLY CLARK CORP              COMMON STOCK     494368103     818      14664    SH   OTHER               14664
KONINKLIJKE PHILIPS EL           COMMON STOCK     500472303      25        584    SH   SOLE                  584
KROGER CO                        COMMON STOCK     501044101    2221      98416    SH   SOLE                98416
KROGER CO                        COMMON STOCK     501044101      33       1456    SH   OTHER                1456
LILLY ELI & CO                   COMMON STOCK     532457108    1863      22962    SH   SOLE                22962
LILLY ELI & CO                   COMMON STOCK     532457108     119       1464    SH   OTHER                1464
LIZ CLAIBORNE INC                COMMON STOCK     539320101      31        812    SH   SOLE                  812
LIZ CLAIBORNE INC                COMMON STOCK     539320101     485      12600    SH   OTHER               12600
LOWES COMPANY INC                COMMON STOCK     548661107      90       2000    SH   SOLE                  400
LOWES COMPANY INC                                 548661107                            SOLE                                    1600
LUCENT TECHNOLOGIES INC          COMMON STOCK     549463107    8389     275042    SH   SOLE               269150
LUCENT TECHNOLOGIES INC                           549463107                            SOLE                                    5892
LUCENT TECHNOLOGIES INC          COMMON STOCK     549463107      34       1112    SH   DEFINED               112
LUCENT TECHNOLOGIES INC                           549463107                            DEFINED                                 1000
LUCENT TECHNOLOGIES INC          COMMON STOCK     549463107    1680      55069    SH   OTHER               50343
LUCENT TECHNOLOGIES INC                           549463107                            OTHER                                   4726
LUCENT TECHNOLOGIES INC          COMMON STOCK     549463107      54       1792    SH   DEF/OTH              1792
MBNA CORP                        COMMON STOCK     55262L100      68       1762    SH   SOLE                  750
MBNA CORP                                         55262L100                            SOLE                                    1012
MBNA CORP                        COMMON STOCK     55262L100     173       4500    SH   DEFINED                                 4500
MANULIFE FINANCIAL CORP          COMMON STOCK     56501R106     524      25268    SH   SOLE                25268
MARSH & MCLENNAN INC             COMMON STOCK     571748102    1054       7941    SH   SOLE                 7041
MARSH & MCLENNAN INC                              571748102                            SOLE                                     900
MARSH & MCLENNAN INC             COMMON STOCK     571748102     239       1800    SH   OTHER                1800
MARRIOT INTERNATIONAL INC        COMMON STOCK     571903202      44       1204    SH   SOLE                 1204
MARRIOT INTERNATIONAL INC        COMMON STOCK     571903202     233       6400    SH   DEFINED                                 6400
MFS INVESTOR TRUST               MUTUAL FUNDS -   575736103     318      14919    SH   SOLE                14919
MAY DEPARTMENT STORES CO         COMMON STOCK     577778103     694      33853    SH   SOLE                33253
MAY DEPARTMENT STORES CO                          577778103                            SOLE                                     600
MAY DEPARTMENT STORES CO         COMMON STOCK     577778103     158       7721    SH   OTHER                7421
MAY DEPARTMENT STORES CO                          577778103                            OTHER                                    300
MAYTAG CORP                      COMMON STOCK     578592107      22        715    SH   SOLE                  715
MAYTAG CORP                      COMMON STOCK     578592107     411      13100    SH   OTHER               12500
MAYTAG CORP                                       578592107                            OTHER                                    600
MCDONALDS CORP                   COMMON STOCK     580135101    1030      34120    SH   SOLE                33620
MCDONALDS CORP                                    580135101                            SOLE                                     500
MCDONALDS CORP                   COMMON STOCK     580135101     203       6750    SH   OTHER                6750
MEDTRONIC INC                    COMMON STOCK     585055106   10789     208240    SH   SOLE               203240
MEDTRONIC INC                                     585055106                            SOLE                                    5000
MEDTRONIC INC                    COMMON STOCK     585055106      52       1000    SH   DEFINED                                 1000
MEDTRONIC INC                    COMMON STOCK     585055106    1781      34375    SH   OTHER               33675
MEDTRONIC INC                                     585055106                            OTHER                                    700
MEDTRONIC INC                    COMMON STOCK     585055106      40        765    SH   DEF/OTH               765
MELLON FINANCIAL CORP            COMMON STOCK     58551A108     170       3668    SH   SOLE                 3668
MELLON FINANCIAL CORP            COMMON STOCK     58551A108     104       2250    SH   DEF/OTH              2250
MERCK & CO                       COMMON STOCK     589331107   12921     173581    SH   SOLE               169031
MERCK & CO                                        589331107                            SOLE                                    4550
MERCK & CO                       COMMON STOCK     589331107    1897      25480    SH   DEFINED                30
MERCK & CO                                        589331107                            DEFINED                                25450
MERCK & CO                       COMMON STOCK     589331107    3249      43650    SH   OTHER               41950
MERCK & CO                                        589331107                            OTHER                                   1700
MERCK & CO                       COMMON STOCK     589331107      24        320    SH   DEF/OTH               320
MEREDITH CORPORATION             COMMON STOCK     589433101      70       2400    SH   SOLE                 2400
MICROSOFT CORP                   COMMON STOCK     594918104   13221     219198    SH   SOLE               216098
MICROSOFT CORP                                    594918104                            SOLE                                    3100
MICROSOFT CORP                   COMMON STOCK     594918104    1095      18151    SH   DEFINED                25
MICROSOFT CORP                                    594918104                            DEFINED                                18126
MICROSOFT CORP                   COMMON STOCK     594918104    1554      25770    SH   OTHER               22150
MICROSOFT CORP                                    594918104                            OTHER                                   3620
MICROSOFT CORP                   COMMON STOCK     594918104      56        925    SH   DEF/OTH               925
MILLIPORE CORP                   COMMON STOCK     601073109      21        425    SH   SOLE                  425
MILLIPORE CORP                   COMMON STOCK     601073109     262       5400    SH   OTHER                5400
MINNESOTA MINING & MANUFACTURING COMMON STOCK     604059105    1844      20235    SH   SOLE                19485
MINNESOTA MINING & MANUFACTURING                  604059105                            SOLE                                     750
MINNESOTA MINING & MANUFACTURING COMMON STOCK     604059105     974      10690    SH   OTHER               10540
MINNESOTA MINING & MANUFACTURING                  604059105                            OTHER                                    150
MINNESOTA MINING & MANUFACTURING COMMON STOCK     604059105      73        800    SH   DEF/OTH               800
MOLEX INC                        COMMON STOCK     608554200     135       3250    SH   SOLE                 3250
MORGAN J P & CO INC              COMMON STOCK     616880100    7805      47776    SH   SOLE                46076
MORGAN J P & CO INC                               616880100                            SOLE                                    1700
MORGAN J P & CO INC              COMMON STOCK     616880100    2142      13111    SH   OTHER               12611
MORGAN J P & CO INC                               616880100                            OTHER                                    500
MORGAN J P & CO INC              COMMON STOCK     616880100      74        450    SH   DEF/OTH               450
MORGAN STANLEY                   COMMON STOCK     617446448     927      10140    SH   SOLE                10140
MORGAN STANLEY                   COMMON STOCK     617446448     185       2024    SH   OTHER                2024
MORGAN STANLEY                   COMMON STOCK     617446448      55        600    SH   DEF/OTH               600
MOTOROLA INC                     COMMON STOCK     620076109    2012      68184    SH   SOLE                67944
MOTOROLA INC                                      620076109                            SOLE                                     240
MOTOROLA INC                     COMMON STOCK     620076109     233       7900    SH   OTHER                6100
MOTOROLA INC                                      620076109                            OTHER                                   1800
FRANKLIN MUTUAL                  MUTUAL FUNDS -   628380107    2038      99289    SH   SOLE                99289
NATIONAL CITY CORPORATION        COMMON STOCK     635405103     251      11400    SH   SOLE                11400
NESTLE S A SPONSORED ADR REPRES  FOREIGN STOCK    641069406      83        795    SH   SOLE                  795
NESTLE S A SPONSORED ADR REPRES  FOREIGN STOCK    641069406      16        153    SH   OTHER                                    153
NEW PERSPECTIVE FUND,INC         MUTUAL FUNDS -   648018109    1535      53542    SH   SOLE                53542
NEW PERSPECTIVE FUND,INC         MUTUAL FUNDS -   648018109      56       1952    SH   OTHER                1952
NEW YORK TIMES CO                COMMON STOCK     650111107     586      14900    SH   DEFINED                                14900
NEWELL RUBBERMAID                COMMON STOCK     651229106     162       7092    SH   SOLE                 7092
NEWELL RUBBERMAID                COMMON STOCK     651229106      91       4000    SH   DEFINED                                 4000
NEWELL RUBBERMAID                COMMON STOCK     651229106      50       2176    SH   OTHER                2176
NOKIA                            FOREIGN STOCK    654902204    4979     124467    SH   SOLE               122567
NOKIA                                             654902204                            SOLE                                    1900
NOKIA                            FOREIGN STOCK    654902204     700      17500    SH   DEFINED                                17500
NOKIA                            FOREIGN STOCK    654902204     637      15925    SH   OTHER               15925
NOKIA                            FOREIGN STOCK    654902204       6        160    SH   DEF/OTH               160
NORTEL NETWORKS CORP             COMMON STOCK     656568102     121       2036    SH   SOLE                 1950
NORTEL NETWORKS CORP                              656568102                            SOLE                                      86
NORTEL NETWORKS CORP             COMMON STOCK     656568102      30        500    SH   OTHER                 500
NORTHERN TRUST CORP              COMMON STOCK     665859104    3555      40000    SH   OTHER               40000
OPPENHEIMER CAPITAL INCOME       MUTUAL FUNDS -   683793103      13       1004    SH   SOLE                 1004
OPPENHEIMER CAPITAL INCOME       MUTUAL FUNDS -   683793103     147      11500    SH   OTHER               11500
ORACLE CORP                      COMMON STOCK     68389X105    4308      54699    SH   SOLE                52925
ORACLE CORP                                       68389X105                            SOLE                                    1774
ORACLE CORP                      COMMON STOCK     68389X105     199       2525    SH   OTHER                2425
ORACLE CORP                                       68389X105                            OTHER                                    100
ORACLE CORP                      COMMON STOCK     68389X105       8        100    SH   DEF/OTH               100
PECO ENERGY COMPANY              COMMON STOCK     693304107     277       4567    SH   SOLE                 4567
PECO ENERGY COMPANY              COMMON STOCK     693304107      79       1300    SH   OTHER                 900
PECO ENERGY COMPANY                               693304107                            OTHER                                    400
PPG INDUSTRIES INC               COMMON STOCK     693506107     508      12806    SH   SOLE                12806
PPG INDUSTRIES INC               COMMON STOCK     693506107     100       2524    SH   OTHER                2524
PEPSICO INC                      COMMON STOCK     713448108    9278     201704    SH   SOLE               199229
PEPSICO INC                                       713448108                            SOLE                                    2475
PEPSICO INC                      COMMON STOCK     713448108       2         37    SH   DEFINED                37
PEPSICO INC                      COMMON STOCK     713448108     987      21460    SH   OTHER               21060
PEPSICO INC                                       713448108                            OTHER                                    400
PEPSICO INC                      COMMON STOCK     713448108      51       1100    SH   DEF/OTH              1100
PFIZER INC                       COMMON STOCK     717081103   14529     323427    SH   SOLE               316293
PFIZER INC                                        717081103                            SOLE                                    7134
PFIZER INC                       COMMON STOCK     717081103    1778      39575    SH   DEFINED                25
PFIZER INC                                        717081103                            DEFINED                                39550
PFIZER INC                       COMMON STOCK     717081103    2875      64012    SH   OTHER               61762
PFIZER INC                                        717081103                            OTHER                                   2250
PFIZER INC                       COMMON STOCK     717081103      99       2200    SH   DEF/OTH              2200
PHARMACIA CORP                   COMMON STOCK     71713U102    1156      19214    SH   SOLE                17840
PHARMACIA CORP                                    71713U102                            SOLE                                    1374
PHARMACIA CORP                   COMMON STOCK     71713U102     512       8500    SH   OTHER                8400
PHARMACIA CORP                                    71713U102                            OTHER                                    100
PHILIP MORRIS CO INC             COMMON STOCK     718154107     804      27327    SH   SOLE                26427
PHILIP MORRIS CO INC                              718154107                            SOLE                                     900
PHILIP MORRIS CO INC             COMMON STOCK     718154107      76       2565    SH   DEFINED               165
PHILIP MORRIS CO INC                              718154107                            DEFINED                                 2400
PHILIP MORRIS CO INC             COMMON STOCK     718154107     263       8925    SH   OTHER                8025
PHILIP MORRIS CO INC                              718154107                            OTHER                                    900
PITNEY BOWES INC                 COMMON STOCK     724479100     169       4294    SH   SOLE                 4294
PITNEY BOWES INC                 COMMON STOCK     724479100     126       3200    SH   DEFINED                                 3200
PITNEY BOWES INC                 COMMON STOCK     724479100     284       7200    SH   OTHER                7200
PROCTER & GAMBLE CO              COMMON STOCK     742718109    7625     113795    SH   SOLE               111180
PROCTER & GAMBLE CO                               742718109                            SOLE                                    2615
PROCTER & GAMBLE CO              COMMON STOCK     742718109      27        402    SH   DEFINED                27
PROCTER & GAMBLE CO                               742718109                            DEFINED                                  375
PROCTER & GAMBLE CO              COMMON STOCK     742718109    1633      24385    SH   OTHER               23685
PROCTER & GAMBLE CO                               742718109                            OTHER                                    700
PROCTER & GAMBLE CO              COMMON STOCK     742718109      87       1300    SH   DEF/OTH              1300
PROGRESSIVE CORP                 COMMON STOCK     743315103     393       4800    SH   OTHER                4800
PUBLIC SERVICE ENTERPRISE GROUP  COMMON STOCK     744573106    1546      34585    SH   SOLE                33135
PUBLIC SERVICE ENTERPRISE GROUP                   744573106                            SOLE                                    1450
PUBLIC SERVICE ENTERPRISE GROUP  COMMON STOCK     744573106     679      15185    SH   OTHER               10150
PUBLIC SERVICE ENTERPRISE GROUP                   744573106                            OTHER                                   5035
PUTNAM GROWTH & INCOME           MUTUAL FUNDS -   746761105     397      20787    SH   SOLE                  787
PUTNAM GROWTH & INCOME                            746761105                            SOLE                                   20000
PUTNAM                           MUTUAL FUNDS -   746916105     800       8500    SH   SOLE                                    8500
QUESTAR CORP                     COMMON STOCK     748356102     262       9400    SH   SOLE                 9400
QUESTAR CORP                     COMMON STOCK     748356102      91       3280    SH   DEFINED              3280
QUESTAR CORP                     COMMON STOCK     748356102      92       3308    SH   OTHER                3308
QWEST COMMUNICATION INTL         COMMON STOCK     749121109    2171      45113    SH   SOLE                39886
QWEST COMMUNICATION INTL                          749121109                            SOLE                                    5227
QWEST COMMUNICATION INTL         COMMON STOCK     749121109     218       4532    SH   DEFINED               402
QWEST COMMUNICATION INTL                          749121109                            DEFINED                                 4130
QWEST COMMUNICATION INTL         COMMON STOCK     749121109     507      10539    SH   OTHER               10021
QWEST COMMUNICATION INTL                          749121109                            OTHER                                    518
QWEST COMMUNICATION INTL         COMMON STOCK     749121109      48       1000    SH   DEF/OTH              1000
RELIANT ENERGY INCORPORATED      COMMON STOCK     75952J108     270       5800    SH   SOLE                 3100
RELIANT ENERGY INCORPORATED                       75952J108                            SOLE                                    2700
RELIANT ENERGY INCORPORATED      COMMON STOCK     75952J108      11        238    SH   OTHER                                    238
RESPIRONICS INC                  COMMON STOCK     761230101     250      15000    SH   SOLE                15000
REUTERS GROUP PLC                FOREIGN STOCK    76132M102     560       4981    SH   SOLE                 4981
ROHM & HAAS CO                   COMMON STOCK     775371107     139       4777    SH   SOLE                 4777
ROHM & HAAS CO                   COMMON STOCK     775371107      64       2200    SH   OTHER                2200
T. ROWE PRICE EQUITY INCOME      MUTUAL FUNDS -   779547108      54       2191    SH   SOLE                 2191
T. ROWE PRICE EQUITY INCOME      MUTUAL FUNDS -   779547108    1216      49429    SH   DEFINED                                49429
T. ROWE PRICE                    MUTUAL FUNDS -   779556109     222       4955    SH   SOLE                 4955
T ROWE PRICE                     MUTUAL FUNDS -   77956H203     158       9391    SH   SOLE                 9391
T ROWE PRICE                     MUTUAL FUNDS -   77956H203    1041      61989    SH   DEFINED                                61989
T ROWE PRICE                     MUTUAL FUNDS -   77956H203      85       5067    SH   OTHER                5067
SBC COMMUNICATIONS INC           COMMON STOCK     78387G103   11840     237402    SH   SOLE               232749
SBC COMMUNICATIONS INC                            78387G103                            SOLE                                    4653
SBC COMMUNICATIONS INC           COMMON STOCK     78387G103     130       2614    SH   DEFINED              1664
SBC COMMUNICATIONS INC                            78387G103                            DEFINED                                  950
SBC COMMUNICATIONS INC           COMMON STOCK     78387G103    1652      33134    SH   OTHER               29554
SBC COMMUNICATIONS INC                            78387G103                            OTHER                                   3580
SBC COMMUNICATIONS INC           COMMON STOCK     78387G103      81       1625    SH   DEF/OTH              1625
SAFEWAY STORES INC               COMMON STOCK     786514208    3036      65035    SH   SOLE                64210
SAFEWAY STORES INC                                786514208                            SOLE                                     825
SAFEWAY STORES INC               COMMON STOCK     786514208       0         12    SH   DEFINED                12
SAFEWAY STORES INC               COMMON STOCK     786514208      60       1275    SH   OTHER                1275
SAFEWAY STORES INC               COMMON STOCK     786514208      18        375    SH   DEF/OTH               375
ST PAUL COMPANIES INC            COMMON STOCK     792860108     392       7775    SH   SOLE                 7175
ST PAUL COMPANIES INC                             792860108                            SOLE                                     600
ST PAUL COMPANIES INC            COMMON STOCK     792860108     101       2000    SH   OTHER                2000
THE SALOMON BROTHERS FUND INC    MUTUAL FUNDS -   795477108     377      21142    SH   SOLE                21142
SARA LEE                         COMMON STOCK     803111103    1357      66806    SH   SOLE                64406
SARA LEE                                          803111103                            SOLE                                    2400
SARA LEE                         COMMON STOCK     803111103      98       4800    SH   DEFINED                                 4800
SARA LEE                         COMMON STOCK     803111103     353      17400    SH   OTHER               17400
SCHERING PLOUGH CORP             COMMON STOCK     806605101     914      19639    SH   SOLE                19139
SCHERING PLOUGH CORP                              806605101                            SOLE                                     500
SCHERING PLOUGH CORP             COMMON STOCK     806605101     595      12783    SH   OTHER                9583
SCHERING PLOUGH CORP                              806605101                            OTHER                                   3200
SCHERING PLOUGH CORP             COMMON STOCK     806605101     166       3575    SH   DEF/OTH              3575
SCHLUMBERGER LTD                 COMMON STOCK     806857108   11017     133843    SH   SOLE               131033
SCHLUMBERGER LTD                                  806857108                            SOLE                                    2810
SCHLUMBERGER LTD                 COMMON STOCK     806857108      62        750    SH   DEFINED                50
SCHLUMBERGER LTD                                  806857108                            DEFINED                                  700
SCHLUMBERGER LTD                 COMMON STOCK     806857108    1457      17700    SH   OTHER               17300
SCHLUMBERGER LTD                                  806857108                            OTHER                                    400
SCHLUMBERGER LTD                 COMMON STOCK     806857108      29        350    SH   DEF/OTH               350
CHARLES SCHWAB CORP              COMMON STOCK     808513105     500      14097    SH   SOLE                14097
CHARLES SCHWAB CORP              COMMON STOCK     808513105      56       1575    SH   OTHER                1575
SCUDDER                          MUTUAL FUNDS -   811165109     343       6339    SH   SOLE                 6339
SEALED AIR CORP NEW              COMMON STOCK     81211K100       7        150    SH   SOLE                  150
SEALED AIR CORP NEW              CONVERTIBLE PRE  81211K209     734      16300    SH   OTHER               16300
SEARS ROEBUCK & CO               COMMON STOCK     812387108     574      17708    SH   SOLE                17708
SEARS ROEBUCK & CO               COMMON STOCK     812387108     157       4852    SH   OTHER                4652
SEARS ROEBUCK & CO                                812387108                            OTHER                                    200
SELECTIVE INSURANCE GROUP        COMMON STOCK     816300107     307      17150    SH   SOLE                17150
SOLECTRON CORP                   COMMON STOCK     834182107     459       9960    SH   SOLE                 9860
SOLECTRON CORP                                    834182107                            SOLE                                     100
SOLECTRON CORP                   COMMON STOCK     834182107       9        200    SH   OTHER                 200
SOUTHERN COMPANY                 COMMON STOCK     842587107     178       5500    SH   SOLE                 5500
SOUTHERN COMPANY                 COMMON STOCK     842587107     158       4858    SH   OTHER                4644
SOUTHERN COMPANY                                  842587107                            OTHER                                    214
SPRINT CORPORATION               COMMON STOCK     852061100     221       7529    SH   SOLE                 7529
SPRINT CORPORATION               COMMON STOCK     852061100      75       2574    SH   DEFINED              2574
SPRINT CORPORATION               COMMON STOCK     852061100     117       3976    SH   OTHER                3476
SPRINT CORPORATION                                852061100                            OTHER                                    500
SPRINT CORPORATION               COMMON STOCK     852061100      21        700    SH   DEF/OTH               700
SPRINT CORPORATION               COMMON STOCK     852061506     121       3438    SH   SOLE                 3038
SPRINT CORPORATION                                852061506                            SOLE                                     400
SPRINT CORPORATION               COMMON STOCK     852061506      51       1440    SH   DEFINED              1440
SPRINT CORPORATION               COMMON STOCK     852061506      52       1486    SH   OTHER                1486
STARBUCKS CORP                   COMMON STOCK     855244109       8        200    SH   SOLE                  200
STARBUCKS CORP                   COMMON STOCK     855244109    1268      31650    SH   DEFINED                                31650
STARNET FINANCIAL INC            COMMON STOCK     855555108      23     150000    SH   SOLE               150000
STATE STREET CORP                COMMON STOCK     857477103    9844      75669    SH   SOLE                74369
STATE STREET CORP                                 857477103                            SOLE                                    1300
STATE STREET CORP                COMMON STOCK     857477103    1932      14853    SH   DEFINED                                14853
STATE STREET CORP                COMMON STOCK     857477103    1158       8900    SH   OTHER                8100
STATE STREET CORP                                 857477103                            OTHER                                    800
STATE STREET INVESTMENT CORP     MUTUAL FUNDS -   857483101    1934     131000    SH   SOLE               131000
STRYKER CORP                     COMMON STOCK     863667101      60       1400    SH   SOLE                 1400
STRYKER CORP                     COMMON STOCK     863667101    1486      34600    SH   DEFINED                                34600
STRYKER CORP                     COMMON STOCK     863667101     472      11000    SH   OTHER               10000
STRYKER CORP                                      863667101                            OTHER                                   1000
SUN LIFE FINANCIAL SVCS CAN      COMMON STOCK     866796105     268      12977    SH   SOLE                12977
SUN LIFE FINANCIAL SVCS CAN      COMMON STOCK     866796105     129       6248    SH   OTHER                6248
SUN MICROSYSTEMS INC             COMMON STOCK     866810104   12508     107135    SH   SOLE               105220
SUN MICROSYSTEMS INC                              866810104                            SOLE                                    1915
SUN MICROSYSTEMS INC             COMMON STOCK     866810104       3         25    SH   DEFINED                25
SUN MICROSYSTEMS INC             COMMON STOCK     866810104    1386      11870    SH   OTHER               10920
SUN MICROSYSTEMS INC                              866810104                            OTHER                                    950
SUN MICROSYSTEMS INC             COMMON STOCK     866810104      56        475    SH   DEF/OTH               475
SUNGARD DATA SYSTEMS INC         COMMON STOCK     867363103      42        990    SH   SOLE                  990
TXU CORPORATION                  COMMON STOCK     873168108     357       9000    SH   SOLE                 9000
TXU CORPORATION                  COMMON STOCK     873168108      78       1964    SH   OTHER                1650
TXU CORPORATION                                   873168108                            OTHER                                    314
TXU CORPORATION                  COMMON STOCK     873168108      32        800    SH   DEF/OTH               800
TARGET CORP                      COMMON STOCK     87612E106    7320     285646    SH   SOLE               276746
TARGET CORP                                       87612E106                            SOLE                                    8900
TARGET CORP                      COMMON STOCK     87612E106       2         76    SH   DEFINED                76
TARGET CORP                      COMMON STOCK     87612E106     568      22180    SH   OTHER               19180
TARGET CORP                                       87612E106                            OTHER                                   3000
TARGET CORP                      COMMON STOCK     87612E106      49       1950    SH   DEF/OTH              1950
TELLABS INC DELAWARE             COMMON STOCK     879664100     328       6875    SH   SOLE                 6875
TELLABS INC DELAWARE             COMMON STOCK     879664100     100       2100    SH   OTHER                2100
TELLABS INC DELAWARE             COMMON STOCK     879664100      21        450    SH   DEF/OTH               450
TELEPHONE EXCHANGE FUND - UNIT   MUTUAL FUNDS -   879919108     332       1535    SH   SOLE                 1535
TEXACO INC                       COMMON STOCK     881694103     688      13107    SH   SOLE                12707
TEXACO INC                                        881694103                            SOLE                                     400
TEXACO INC                       COMMON STOCK     881694103     267       5085    SH   OTHER                4885
TEXACO INC                                        881694103                            OTHER                                    200
TEXAS INSTRUMENTS INC            COMMON STOCK     882508104    2184      46103    SH   SOLE                44653
TEXAS INSTRUMENTS INC                             882508104                            SOLE                                    1450
TEXAS INSTRUMENTS INC            COMMON STOCK     882508104     482      10175    SH   OTHER               10175
TEXAS INSTRUMENTS INC            COMMON STOCK     882508104      39        830    SH   DEF/OTH               830
TRI CONTINENTAL CORP             MUTUAL FUNDS -   895436103     217       8313    SH   SOLE                 8313
TYCO INTERNATIONAL LTD (NEW)     COMMON STOCK     902124106     218       4198    SH   SOLE                 4198
TYCO INTERNATIONAL LTD (NEW)     COMMON STOCK     902124106     255       4925    SH   OTHER                4925
U S BANCORP                      COMMON STOCK     902973106     612      26916    SH   SOLE                22572
U S BANCORP                                       902973106                            SOLE                                    4344
U S BANCORP                      COMMON STOCK     902973106     151       6650    SH   OTHER                6200
U S BANCORP                                       902973106                            OTHER                                    450
U S BANCORP                      COMMON STOCK     902973106      96       4200    SH   DEF/OTH              4200
UNILEVER NV NEW YORK SHS         COMMON STOCK     904784709     147       3045    SH   SOLE                 3045
UNILEVER NV NEW YORK SHS         COMMON STOCK     904784709      78       1607    SH   OTHER                1607
UNION PACIFIC CORP               COMMON STOCK     907818108     495      12718    SH   SOLE                11818
UNION PACIFIC CORP                                907818108                            SOLE                                     900
UNION PACIFIC CORP               COMMON STOCK     907818108     732      18792    SH   OTHER               18132
UNION PACIFIC CORP                                907818108                            OTHER                                    660
UNITED PARCEL SERVICE            COMMON STOCK     911312106      11        200    SH   SOLE                  200
UNITED TECHNOLOGIES CORP         COMMON STOCK     913017109    5695      82095    SH   SOLE                79070
UNITED TECHNOLOGIES CORP                          913017109                            SOLE                                    3025
UNITED TECHNOLOGIES CORP         COMMON STOCK     913017109       0         13    SH   DEFINED                13
UNITED TECHNOLOGIES CORP         COMMON STOCK     913017109     584       8425    SH   OTHER                8325
UNITED TECHNOLOGIES CORP                          913017109                            OTHER                                    100
UNITED TECHNOLOGIES CORP         COMMON STOCK     913017109      19        275    SH   DEF/OTH               275
UNOCAL CORPORATION               COMMON STOCK     915289102      90       2526    SH   SOLE                 2526
UNOCAL CORPORATION               COMMON STOCK     915289102     785      22164    SH   OTHER               22164
VAIL BANKS INC                   COMMON STOCK     918779109     195      20274    SH   SOLE                20274
VANGUARD SPECIALIZED HEALTH      MUTUAL FUNDS -   921908307     393       2999    SH   SOLE                 2970
VANGUARD SPECIALIZED HEALTH                       921908307                            SOLE                                      29
VANGUARD SPECIALIZED HEALTH      MUTUAL FUNDS -   921908307      11         87    SH   OTHER                  87
VANGUARD                         MUTUAL FUNDS -   921909107     330      17821    SH   SOLE                17821
VANGUARD                         MUTUAL FUNDS -   922042205     283      10898    SH   SOLE                10898
VANGUARD                         MUTUAL FUNDS -   922908108    8262      62309    SH   SOLE                60954
VANGUARD                                          922908108                            SOLE                                    1355
VANGUARD                         MUTUAL FUNDS -   922908108     961       7251    SH   OTHER                6939
VANGUARD                                          922908108                            OTHER                                    312
VERIZON COMMUNICATIONS           COMMON STOCK     92343V104    6425     132647    SH   SOLE               129719
VERIZON COMMUNICATIONS                            92343V104                            SOLE                                    2928
VERIZON COMMUNICATIONS           COMMON STOCK     92343V104     217       4489    SH   DEFINED              2889
VERIZON COMMUNICATIONS                            92343V104                            DEFINED                                 1600
VERIZON COMMUNICATIONS           COMMON STOCK     92343V104    2105      43467    SH   OTHER               41246
VERIZON COMMUNICATIONS                            92343V104                            OTHER                                   2221
VERIZON COMMUNICATIONS           COMMON STOCK     92343V104      30        610    SH   DEF/OTH               610
VERTEX CORP                      COMMON STOCK     925337107       0      33000    SH   SOLE                33000
VIACOM INC                       COMMON STOCK     925524308     148       2538    SH   SOLE                 2538
VIACOM INC                       COMMON STOCK     925524308     848      14500    SH   DEFINED                                14500
VIACOM INC                       COMMON STOCK     925524308     571       9765    SH   OTHER                9765
VITESSE SEMICONDUCTORS CORP.     COMMON STOCK     928497106    1007      11321    SH   SOLE                11321
VODAFONE GROUP PLC               FOREIGN STOCK    92857W100     807      21809    SH   SOLE                21309
VODAFONE GROUP PLC                                92857W100                            SOLE                                     500
VODAFONE GROUP PLC               FOREIGN STOCK    92857W100       5        130    SH   DEFINED               130
VODAFONE GROUP PLC               FOREIGN STOCK    92857W100     236       6372    SH   OTHER                6372
VOICE IT WORLDWIDE INC           COMMON STOCK     92861K100       0      10500    SH   OTHER                                  10500
WAL MART STORES INC              COMMON STOCK     931142103    7127     148075    SH   SOLE               146500
WAL MART STORES INC                               931142103                            SOLE                                    1575
WAL MART STORES INC              COMMON STOCK     931142103       1         25    SH   DEFINED                25
WAL MART STORES INC              COMMON STOCK     931142103     344       7135    SH   OTHER                6460
WAL MART STORES INC                               931142103                            OTHER                                    675
WAL MART STORES INC              COMMON STOCK     931142103      29        600    SH   DEF/OTH               600
WALGREEN CO                      COMMON STOCK     931422109    6651     175311    SH   SOLE               171861
WALGREEN CO                                       931422109                            SOLE                                    3450
WALGREEN CO                      COMMON STOCK     931422109     425      11200    SH   DEFINED               100
WALGREEN CO                                       931422109                            DEFINED                                11100
WALGREEN CO                      COMMON STOCK     931422109     357       9400    SH   OTHER                9300
WALGREEN CO                                       931422109                            OTHER                                    100
WALGREEN CO                      COMMON STOCK     931422109      42       1125    SH   DEF/OTH              1125
AMERICAN FUNDS WASHINGTON MUTUAL MUTUAL FUNDS -   939330106     247       8271    SH   SOLE                 8271
WATSON PHARMACEUTICALS INC       COMMON STOCK     942683103      26        405    SH   SOLE                  405
WELLS FARGO COMPANY              COMMON STOCK     949746101   38209     831767    SH   SOLE               317027
WELLS FARGO COMPANY                               949746101                            SOLE                                  514740
WELLS FARGO COMPANY              COMMON STOCK     949746101    1194      26000    SH   DEFINED             26000
WELLS FARGO COMPANY              COMMON STOCK     949746101    3833      83434    SH   OTHER               82734
WELLS FARGO COMPANY                               949746101                            OTHER                                    700
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS -   980123MF7   87635    2123454    SH   SOLE               093546
WELLS FARGO EQUITY INCOME                         980123MF7                            SOLE                                   29908
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS -   980123MF7    1570      38033    SH   DEFINED             38033
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS -   980123MF7   13463     326218    SH   OTHER              292055
WELLS FARGO EQUITY INCOME                         980123MF7                            OTHER                            757
WELLS FARGO EQUITY INCOME                         980123MF7                            OTHER                                  33406
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS -   980123MF7     620      15034    SH   DEF/OTH             15034
WELLS FARGO EQUITY INCOME        MUTUAL FUNDS -   980124MF5    2809      68059    SH   SOLE                63982
WELLS FARGO EQUITY INCOME                         980124MF5                            SOLE                                    4077
WELLS FARGO GROWTH FUND (I)-EC   MUTUAL FUNDS -   980125MF2    2360      88061    SH   SOLE                85904
WELLS FARGO GROWTH FUND (I)-EC                    980125MF2                            SOLE                                    2157
WELLS FARGO GROWTH FUND (I)-EC   MUTUAL FUNDS -   980125MF2     173       6446    SH   DEFINED              6446
WELLS FARGO GROWTH FUND (I)-EC   MUTUAL FUNDS -   980125MF2     514      19164    SH   OTHER               18461
WELLS FARGO GROWTH FUND (I)-EC                    980125MF2                            OTHER                                    703
WELLS FARGO GROWTH FUND (I)-ER   MUTUAL FUNDS -   980126MF0     292      10882    SH   SOLE                10882
WELLS FARGO SMALL CAP GROWTH     MUTUAL FUNDS -   980135MF1    5415     122307    SH   SOLE               121100
WELLS FARGO SMALL CAP GROWTH                      980135MF1                            SOLE                                    1207
WELLS FARGO SMALL CAP GROWTH     MUTUAL FUNDS -   980135MF1     655      14791    SH   OTHER                9546
WELLS FARGO SMALL CAP GROWTH                      980135MF1                            OTHER                                   5245
WELLS FARGO SMALL CAP GROWTH     MUTUAL FUNDS -   980136MF9     849      19180    SH   SOLE                18039
WELLS FARGO SMALL CAP GROWTH                      980136MF9                            SOLE                                    1141
WELLS FARGO SMALL CAP GROWTH     MUTUAL FUNDS -   980136MF9      85       1919    SH   OTHER                1919
WELLS FARGO SMALL CAP GROWTH     MUTUAL FUNDS -   980136MF9      13        283    SH   DEF/OTH               283
WELLS FARGO INTERNATIONAL FUND   MUTUAL FUNDS -   980139MF3   19228     764520    SH   SOLE               745354
WELLS FARGO INTERNATIONAL FUND                    980139MF3                            SOLE                                   19166
WELLS FARGO INTERNATIONAL FUND   MUTUAL FUNDS -   980139MF3    3456     137403    SH   OTHER              126744
WELLS FARGO INTERNATIONAL FUND                    980139MF3                            OTHER                                  10659
WELLS FARGO INTERNATIONAL FUND   MUTUAL FUNDS -   980139MF3      22        858    SH   DEF/OTH               858
WELLS FARGO INTERNATIONAL FUND   MUTUAL FUNDS -   980140MF1     946      37627    SH   SOLE                35784
WELLS FARGO INTERNATIONAL FUND                    980140MF1                            SOLE                                    1843
WORLDCOM INC                     COMMON STOCK     98157D106    7115     234252    SH   SOLE               229987
WORLDCOM INC                                      98157D106                            SOLE                                    4265
WORLDCOM INC                     COMMON STOCK     98157D106      27        900    SH   DEFINED                50
WORLDCOM INC                                      98157D106                            DEFINED                                  850
WORLDCOM INC                     COMMON STOCK     98157D106     650      21412    SH   OTHER               20362
WORLDCOM INC                                      98157D106                            OTHER                                   1050
WORLDCOM INC                     COMMON STOCK     98157D106      29        950    SH   DEF/OTH               950
XCEL ENERGY INC                  COMMON STOCK     98389B100     943      34288    SH   SOLE                34288
XCEL ENERGY INC                  COMMON STOCK     98389B100     433      15750    SH   OTHER               14975
XCEL ENERGY INC                                   98389B100                            OTHER                                    775
XEROX CORP                       COMMON STOCK     984121103     684      45591    SH   SOLE                44891
XEROX CORP                                        984121103                            SOLE                                     700
XEROX CORP                       COMMON STOCK     984121103     127       8450    SH   OTHER                8450
TRANSOCEAN SEDCO FOREX INC       COMMON STOCK     G90078109     293       4995    SH   SOLE                 4842
TRANSOCEAN SEDCO FOREX INC                        G90078109                            SOLE                                     153
TRANSOCEAN SEDCO FOREX INC       COMMON STOCK     G90078109      51        877    SH   OTHER                 819
TRANSOCEAN SEDCO FOREX INC                        G90078109                            OTHER                                     58
TRANSOCEAN SEDCO FOREX INC       COMMON STOCK     G90078109     108       1837    SH   DEF/OTH              1837
                                                             894292
</TABLE>


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