NATIONAL COMMERCE BANCORPORATION
13F-HR, 1999-05-11
NATIONAL COMMERCIAL BANKS
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<PAGE>
 


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

                            Form 13F

                       Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 1999
                                              ---------------
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:     National Bank of Commerce
          ---------------------------------------------
Address:  One Commerce Square
          ---------------------------------------------
          Memphis, TN 38150
          ---------------------------------------------

          ---------------------------------------------

Form 13F File Number:  28-1940
                          -----------------
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:     Paul A. Calame, Jr.
          ---------------------------------------------
Title:    Senior Trust Officer
          ---------------------------------------------
Phone:    (901) 523-3547
          ---------------------------------------------

Signature, Place, and Date of Signing:

- ------------------------ ----------------------------- --------------
[Signature]              [City, State]                 [Date]

Report Type (Check only one.):

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

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

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

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

     Form 13F File Number         Name

     28-
        ------------------        ------------------------
     [Repeat as necessary.]





<PAGE>
 
NBC Trust Division       
13F as of March 31, 1999 
<TABLE>                  
<CAPTION>                 
 
FORM 13F                                                                                                               
Page ______ of _____                         Name of Reporting Manager:  National Commerce Bancorporation              
Item 1:                             Item 2:  Item 3:                 Item 4:       Item 5:   Item 6:                   
                                                                                             Investment Discretion     
                                                                                   Shares or               (b) Shared  
                                    Title of CUSIP       Market per  Fair          Principal               as Defined  
Name Of Issuer                      Class    Number      Share       Market Value  Amount      (a) Sole    in Inst. V  
====================================================================================================================== 
<S>                                 <C>      <C>         <C>          <C>           <C>           <C>        <C>        
AMR CORPORATION                     Com      001765106        58.562     683,945      11,679      11,346         333  
A T & T CORP                        Com      001957109        79.812     405,844       5,085       2,829       2,256  
                                                                         341,618       6,420                   6,420  
ABBOTT LABORATORIES                 Com      002824100        46.812   5,469,233     116,834       8,300     108,534  
AEROQUIP VICKERS INC                Com      007869100        57.312   1,267,111      22,109      21,471         638  
                                                                         377,059       6,579                   6,579  
AIR PRODUCTS & CHEMICALS            Com      009158106        34.250     518,785      15,147      14,821         326  
AIRTOUCH COMMUNICATIONS,            Com      00949T100        96.625   9,672,452     100,103       3,322      96,781  
ALBERTO CULVER CO. CLASS            Com      013068200        21.250   1,647,938      77,550           0      77,550  
ALEXANDER & BALDWIN                 Com      014482103        19.625     353,250      18,000           0      18,000  
ALLSTATE CORP                       Com      020002101        37.062     991,075      26,741      24,247       2,494  
                                                                         227,119       6,128                   6,128  
AMERICAN EXPRESS CO                 Com      025816109       117.750   5,119,908      43,481      13,081      30,400  
AMERICAN GENERAL CORP               Com      026351106        70.500     923,550      13,100      10,200       2,900  
                                                                         460,999       6,539                   6,539  
AMERICAN HOME PRODUCTS CO           Com      026609107        65.250   1,649,781      25,284      11,000      14,284  
AMERICAN INTERNATIONAL GR           Com      026874107       120.625  13,004,219     107,807      37,999      69,808  
                                                                       2,319,895      19,232                  19,232  
AMERITECH CORP                      Com      030954101        57.625     641,712      11,136       9,560       1,576  
                                                                         265,305       4,604                   4,604  
AMGEN INC                           Com      031162100        74.875     254,575       3,400       1,600       1,800  
ANHEUSER BUSCH CO INC               Com      035229103        76.125   1,063,162      13,966         800      13,166  
ARROW ELECTRONICS INC               Com      042735100        15.000     404,325      26,955      25,416       1,539  
ASSOCIATES FIRST CAPITAL            Com      046008108        45.000     112,950       2,510         728       1,782  
                                                                         540,810      12,018                  12,018  
ASTEC INDUSTRIES INC                Com      046224101        30.875   1,080,625      35,000           0      35,000  
ATLANTIC RICHFIELD CO               Com      048825103        73.125     548,145       7,496       1,934       5,562  
ATLANTIS PLASTICS INC CL            Com      049156102         8.625     334,650      38,800           0      38,800  
AVNET, INC                          Com      053807103        36.750     403,184      10,971      10,367         604  
B J SERVICES                        Com      055482103        23.250      49,755       2,140       2,140           0  
                                                                         827,607      35,596                  35,596  
BANK ONE CORP                       Com      06423A103        55.062     931,264      16,913      14,492       2,421  
BANKAMERICA CORP NEW                Com      06605F102        70.625   2,257,599      31,966      29,617       2,349  
                                                                                                                     
BANKBOSTON CORP                     Com      06605R106        43.312   7,571,761     174,819       9,400     165,419  
BECKMAN COULTER INC                 Com      075811109        44.250     651,095      14,714      14,293         421  
BELL ATLANTIC CORP                  Com      077853109        51.687   1,361,539      26,342      23,274       3,068  
                                                                         206,802       4,001                   4,001  
BELLSOUTH CORP                      Com      079860102        40.062   1,569,629      39,180      31,824       7,356  
                                                                         334,762       8,356           0       8,356  
BELO A.H CORP CL A WITH R           Com      080555105        18.250   1,356,888      74,350           0      74,350  
BESTFOODS INC                       Com      08658U101        47.000     881,767      18,761      18,761           0  
BOEING COMPANY                      Com      097023105        34.000     597,516      17,574         874      16,700  
BOSTON PROPERTYS INC COM            Com      101121101        31.625     632,500      20,000           0      20,000  
BOSTON SCIENTIFIC CORP              Com      101137107        40.625   1,557,968      38,350      38,350           0  
BRISTOL MYERS SQUIBB CO             Com      110122108        64.125   7,255,487     113,146      50,798      62,348  
                                                                         514,924       8,030                   8,030  
BURLINGTON NORTHERN SANTA           Com      12189T104        32.875     242,815       7,386       7,279         107  
CRACKER BARREL GROUP INC            Com      12489V106        18.000     289,800      16,100      14,900       1,200  
CIGNA CORPORATION                   Com      125509109        83.812   1,190,717      14,207      13,675         532  
                                                                         329,802       3,935                   3,935  
</TABLE> 

<TABLE> 
<CAPTION> 
Item 1:                           Item 7:  Item 8:
                                           Voting Authority
                                  
                                  Manager              (Shares)
Name Of Issuer                    Fee Inst.(a) Sole    (b) Shared  (c) None
============================================================================
<S>                                <C>         <C>        <C>        <C> 
AMR CORPORATION                        3      11,679           0           0
A T & T CORP                           3       3,868         350         867
                                       2                               6,420
ABBOTT LABORATORIES                    3      11,800           0     105,034
AEROQUIP VICKERS INC                   3      22,109           0           0
                                       2                       0       6,579
AIR PRODUCTS & CHEMICALS               3      15,147           0           0
AIRTOUCH COMMUNICATIONS,               3       4,578         140      95,385
ALBERTO CULVER CO. CLASS               3       2,000           0      75,550
ALEXANDER & BALDWIN                    3           0           0      18,000
ALLSTATE CORP                          3      25,115         916         710
                                       2                               6,128
AMERICAN EXPRESS CO                    3      12,881           0      30,600
AMERICAN GENERAL CORP                  3      12,850           0         250
                                       2                               6,539
AMERICAN HOME PRODUCTS CO              3      23,416           0       1,868
AMERICAN INTERNATIONAL GR              3      42,787           0      65,020
                                       2                              19,232
AMERITECH CORP                         3      10,320         416         400
                                       2                               4,604
AMGEN INC                              3       3,400           0           0
ANHEUSER BUSCH CO INC                  3         800           0      13,166
ARROW ELECTRONICS INC                  3      26,155           0         800
ASSOCIATES FIRST CAPITAL               3       2,208           0         302
                                       2                              12,018
ASTEC INDUSTRIES INC                   3      15,000           0      20,000
ATLANTIC RICHFIELD CO                  3       6,270           0       1,226
ATLANTIS PLASTICS INC CL               3      15,300      21,500       2,000
AVNET, INC                             3      10,671           0         300
B J SERVICES                           3       2,440           0           0
                                       2                              35,596
BANK ONE CORP                          3      14,643           0       2,270
BANKAMERICA CORP NEW                   3      29,760         206       2,000
                                 
BANKBOSTON CORP                        3       9,400           0     165,419
BECKMAN COULTER INC                    3      14,714           0           0
BELL ATLANTIC CORP                     3      24,804         494       1,044
                                       2                               4,001
BELLSOUTH CORP                         3      35,592         628       2,960
                                       2                               8,356
BELO A.H CORP CL A WITH R              3       1,350           0      73,000
BESTFOODS INC                          3      18,761           0           0
BOEING COMPANY                         3         874           0      16,700
BOSTON PROPERTYS INC COM               3           0           0      20,000
BOSTON SCIENTIFIC CORP                 3      38,350           0           0
BRISTOL MYERS SQUIBB CO                3      56,826           0      56,320
                                       2                               8,030
BURLINGTON NORTHERN SANTA              3       7,386           0           0
CRACKER BARREL GROUP INC               3      16,100           0           0
CIGNA CORPORATION                      3      14,207           0           0
                                       2                               3,935
 
</TABLE> 
<PAGE>
 
NBC Trust Division       
13F as of March 31, 1999 
<TABLE>                  
<CAPTION>                 

FORM 13F                                                                                                               
Page ______ of _____                         Name of Reporting Manager:  National Commerce Bancorporation              
Item 1:                             Item 2:  Item 3:                 Item 4:       Item 5:   Item 6:                   
                                                                                             Investment Discretion     
                                                                                   Shares or               (b) Shared  
                                    Title of CUSIP       Market per  Fair          Principal               as Defined  
Name Of Issuer                      Class    Number      Share       Market Value  Amount      (a) Sole    in Inst. V  
====================================================================================================================== 
<S>                                 <C>      <C>         <C>          <C>           <C>           <C>        <C>        
CNF TRANSN INC                      Com      12612W104        37.812     390,522      10,328      10,034         294   
CANADIAN PACIFIC LTD NEW            Com      135923100        19.562     586,860      30,000           0      30,000   
CARNIVAL CORP COM                   Com      143658102        48.562     933,459      19,222      19,222           0   
CASE CORP                           Com      14743R103        25.375   1,308,817      51,579      49,750       1,829   
                                                                         215,307       8,485                   8,485   
CATELLUS DEVELOMPENT CORP           Com      149111106        13.375     532,325      39,800           0      39,800   
CENTURY TELEPHONE ENTERPR           Com      156686107        70.250     277,487       3,950       2,250       1,700   
                                                                       3,287,794      70,202                  70,202   
CHASE MANHATTAN CORP NEW            Com      16161A108        81.375   8,281,460     101,769      21,286      80,483   
                                                                         287,986       3,539                   3,539   
CHEVRON CORPORATION                 Com      166751107        88.750   1,690,687      19,050      13,000       6,050   
CISCO CORP                          Com      17275R102       109.562   1,512,832      13,808      12,883         925   
CITIGROUP INC                       Com      172967101        63.875   2,296,179      35,948      30,194       5,754   
                                                                       2,531,047      39,625                  39,625   
CLAIRES STORES INC                  Com      179584107        30.125     476,728      15,825           0      15,825   
CLEVELAND CLIFFS                    Com      185896107        34.062     594,552      17,455      15,860       1,595   
                                                                         597,490      17,541                  17,541   
COASTAL CORP                        Com      190441105        33.000   3,831,300     116,100       3,100     113,000   
COCA COLA CO                        Com      191216100        61.375   8,886,977     144,798      88,344      56,454   
COLGATE-PALMOLIVE CO                Com      194162103        92.000     204,240       2,220           0       2,220   
COLUMBIA/HCA HEALTHCARE C           Com      197677107        18.937     419,852      22,171      21,531         640   
COMPAQ COMPUTER                     Com      204493100        31.687   1,118,393      35,295      33,895       1,400   
COSTCO COMPANIES INC                Com      22160Q102        91.562   8,563,703      93,529       6,044      87,485   
COUSINS PROPERTIES INC              Com      222795106        28.937     868,110      30,000           0      30,000   
CUMMINS ENGINE CO. INC              Com      231021106        35.562     718,708      20,210      19,634         576   
DPL INC                             Com      233293109        16.500     334,719      20,286       5,046      15,240   
DTE ENERGY CO                       Com      233331107        38.437     410,508      10,680      10,376         304   
DANA CORPORATION                    Com      235811106        38.000     885,134      23,293      22,670         623   
                                                                       1,136,162      29,899                  29,899   
DARDEN RESTAURANTS                  Com      237194105        20.625     201,300       9,760       5,580       4,180   
                                                                       2,074,009     100,558                 100,558   
DAYTON HUDSON CORP                  Com      239753106        66.625     226,525       3,400           0       3,400   
DELTA AIR LINES                     Com      247361108        69.500     840,950      12,100      12,100           0   
DILLARDS INC                        Com      254067101        25.375     467,180      18,411      17,887         524   
WALT DISNEY COMPANY                 Com      254687106        31.125   4,851,983     155,887      56,684      99,203   
DU PONT E I DE NEMOURS &            Com      263534109        58.062   1,338,039      23,045      16,730       6,315   
DUKE ENERGY CORP                    Com      264399106        54.812     617,183      11,260       6,236       5,024   
EMC CORP MASS                       Com      268648102       127.750   7,000,700      54,800           0      54,800   
EASTMAN KODAK CO                    Com      277461109        63.875     727,025      11,382      10,009       1,373   
EATON CORPORATION                   Com      278058102        71.500     289,003       4,042       3,927         115   
ELECTRONIC ARTS, INC.               Com      285512109        47.500     631,133      13,287      13,287           0   
ELECTRONIC DATA SYS CORP            Com      285661104        48.687   3,866,186      79,409      20,281      59,128   
ENTERGY CORP NEW                    Com      29364G103        27.500     302,968      11,017      10,703         314   
EQUITY INNS INC                     Com      294703103         8.500     461,295      54,270      44,770       9,500   
                                                                         638,375      75,103                  75,103   
EVEREST REINS HOLDINGS IN           Com      299808105        31.187     486,892      15,612      15,171         441   
EXXON CORP                          Com      302290101        70.562   6,610,680      93,686      30,260      63,426   
FMC CORP                            Com      302491303        49.375     313,877       6,357       6,116         241   
FDX CORP                            Com      31304N107        93.000   1,692,600      18,200       1,550      16,650   
FEDERAL HOME LOAN MORGAGE           Com      313400301        57.312   7,878,107     137,460           0     137,460   
FEDERAL NATIONAL MORTGAGE           Com      313586109        69.250   1,288,050      18,600       1,800      16,800   
</TABLE> 

<TABLE> 
<CAPTION> 
Item 1:                           Item 7:  Item 8:
                                           Voting Authority
                                  
                                  Manager              (Shares)
Name Of Issuer                    Fee Inst.(a) Sole    (b) Shared  (c) None
============================================================================
<S>                                <C>         <C>        <C>        <C> 
CNF TRANSN INC                       3      10,328           0           0
CANADIAN PACIFIC LTD NEW             3           0           0      30,000
CARNIVAL CORP COM                    3      19,222           0           0
CASE CORP                            3      51,579           0           0
                                     2                               8,485
CATELLUS DEVELOMPENT CORP            3           0           0      39,800
CENTURY TELEPHONE ENTERPR            3       4,325           0           0
                                     2                              70,202
CHASE MANHATTAN CORP NEW             3      22,145           0      79,624
                                     2                               3,539
CHEVRON CORPORATION                  3      12,920           0       6,130
CISCO CORP                           3      13,508           0         300
CITIGROUP INC                        3      36,278           0           0
                                     2                              39,625
CLAIRES STORES INC                   3       5,500       9,225       1,100
CLEVELAND CLIFFS                     3      17,635           0           0
                                     2                              17,541
COASTAL CORP                         3       3,100           0     113,000
COCA COLA CO                         3      93,252           0      51,546
COLGATE-PALMOLIVE CO                 3       2,220           0           0
COLUMBIA/HCA HEALTHCARE C            3      22,171           0           0
COMPAQ COMPUTER                      3      34,195           0       1,100
COSTCO COMPANIES INC                 3       6,044           0      87,485
COUSINS PROPERTIES INC               3           0           0      30,000
CUMMINS ENGINE CO. INC               3      20,210           0           0
DPL INC                              3       5,046           0      15,240
DTE ENERGY CO                        3      10,680           0           0
DANA CORPORATION                     3      23,516           0           0
                                     2                              29,899
DARDEN RESTAURANTS                   3      10,600           0           0
                                     2                             100,558
DAYTON HUDSON CORP                   2           0           0       3,400
DELTA AIR LINES                      3      12,100           0           0
DILLARDS INC                         3      18,411           0           0
WALT DISNEY COMPANY                  3      56,684           0      99,203
DU PONT E I DE NEMOURS &             3      22,232           0         813
DUKE ENERGY CORP                     3       6,343           0       4,917
EMC CORP MASS                        3           0           0      54,800
EASTMAN KODAK CO                     3      11,382           0           0
EATON CORPORATION                    3       4,042           0           0
ELECTRONIC ARTS, INC.                3      13,287           0           0
ELECTRONIC DATA SYS CORP             3      20,281         128      59,000
ENTERGY CORP NEW                     3      11,017           0           0
EQUITY INNS INC                      3      52,990           0       1,280
                                     2                              75,103
EVEREST REINS HOLDINGS IN            3      15,612           0           0
EXXON CORP                           3      46,028       2,000      45,658
FMC CORP                             3       6,357           0           0
FDX CORP                             3       3,200           0      15,000
FEDERAL HOME LOAN MORGAGE            3       1,000           0     136,460
FEDERAL NATIONAL MORTGAGE            3       1,800           0      16,800
</TABLE> 
<PAGE>
 
NBC Trust Division       
13F as of March 31, 1999 
<TABLE>                  
<CAPTION>                 
 
FORM 13F                                                                                                               
Page ______ of _____                         Name of Reporting Manager:  National Commerce Bancorporation              
Item 1:                             Item 2:  Item 3:                 Item 4:       Item 5:   Item 6:                   
                                                                                             Investment Discretion     
                                                                                   Shares or               (b) Shared  
                                    Title of CUSIP       Market per  Fair          Principal               as Defined  
Name Of Issuer                      Class    Number      Share       Market Value  Amount      (a) Sole    in Inst. V  
====================================================================================================================== 
<S>                                 <C>      <C>         <C>          <C>           <C>           <C>        <C>        
FEDERATED DEPT STORES INC           Com      31410H101        40.125   1,143,563      28,500           0      28,500   
FIRST DATA CORP                     Com      319963104        42.750   1,357,227      31,748      30,544       1,204   
FIRST TENNESSEE NATIONAL            Com      337162101        36.625   9,919,217     270,832     194,020      76,812   
                                                                         513,629      14,024                  14,024   
FIRST UNION CORP                    Com      337358105        53.437   1,018,028      19,051      17,273       1,778   
                                                                         210,490       3,939                   3,939   
FORD MOTOR CO                       Com      345370100        56.687   1,765,347      31,142      27,474       3,668   
FOUNDATION HEALTH SYSTEM            Com      350404109        12.187     361,978      29,702      28,642       1,060   
FRED'S INC                          Com      356108100        11.000   1,728,485     157,135     157,135           0   
GPU INC                             Com      36225X100        37.312     339,465       9,098       8,840         258   
GTE CORPORATION                     Com      362320103        60.500   3,807,870      62,940       6,440      56,500   
GAP INC                             Com      364760108        67.312   1,524,145      22,643      22,643           0   
GENERAL ELECTRIC CO                 Com      369604103       110.625  18,499,044     167,223      39,396     127,827   
                                                                         432,101       3,906                   3,906   
GENERAL MILLS INC                   Com      370334104        75.562     222,908       2,950         500       2,450   
GENERAL MOTORS CORP                 Com      370442105        87.000   2,965,569      34,087      31,572       2,515   
                                                                       1,139,874      13,102                  13,102   
GILLETTE CO                         Com      375766102        59.437   3,016,665      50,754      49,074       1,680   
GLOBAL INDUSTRIAL TECHNOL           Com      379335102        10.375      33,408       3,220       3,220           0   
                                                                         533,493      51,421                  51,421   
GOODYEAR TIRE & RUBBER CO           Com      382550101        49.812     998,730      20,050      19,080         970   
W R GRACE & CO DEL NEW              Com      38388F108        12.125     353,977      29,194      28,368         826   
W W GRAINGER                        Com      384802104        43.062   2,338,266      54,300           0      54,300   
HANCOCK FABRICS INC                 Com      409900107         6.312      67,766      10,736       5,416       5,320   
                                                                         533,394      84,498                  84,498   
HARTFORD FINANCIAL SERVIC           Com      416515104        56.812     921,604      16,222      15,825         397   
HASBRO INC                          Com      418056107        28.937     189,479       6,548       4,770       1,778   
                                                                       1,631,959      56,396                  56,396   
HEALTHSOUTH CORP.                   Com      421924101        10.375     927,785      89,425      86,333       3,092   
HEWLETT PACKARD                     Com      428236103        67.812   1,670,481      24,634      22,034       2,600   
HOME DEPOT                          Com      437076102        62.250   2,109,964      33,895      32,795       1,100   
HOME-STAKE OIL & GAS COMP           Com      437356108         3.875     273,195      70,502      70,502           0   
HONEYWELL INC                       Com      438506107        75.812     367,688       4,850         500       4,350   
HOST MARRIOTT CORP NEW              Com      44107P104        11.125     544,179      48,915           0      48,915   
HUMANA INC                          Com      444859102        17.250     456,711      26,476      25,623         853   
IBP INC                             Com      449223106        18.625     288,539      15,492      15,051         441   
IMC GLOBAL INC                      Com      449669100        20.437     652,206      31,913      30,869       1,044   
INTEL CORP                          Com      458140100       118.875   2,014,931      16,950      14,595       2,355   
INTERNATIONAL BUSINESS MA           Com      459200101       177.250   8,862,323      49,999      28,109      21,890   
                                                                       2,596,004      14,646                  14,646   
INTERPUBLIC GROUP OF COMP           Com      460690100        77.875   6,454,825      82,887      13,287      69,600   
J & J SNACK FOODS                   Com      466032109        20.125      52,325       2,600       2,600           0   
                                                                         985,239      48,956                  48,956   
JOHNSON & JOHNSON                   Com      478160104        93.500   3,621,162      38,729      28,604      10,125   
KELLY SERVICES, INC. CLAS           Com      488152208        27.750     365,634      13,176      13,176           0   
KENNAMETAL INC                      Com      489170100        17.625     241,903      13,725      13,203         522   
KNIGHT RIDDER INC                   Com      499040103        50.000   1,110,000      22,200       1,000      21,200   
LILLY ELI & CO                      Com      532457108        84.875   1,841,788      21,700      16,450       5,250   
LIZ CLAIBORNE                       Com      539320101        32.625   1,074,406      32,932      30,434       2,498   
LUBRIZOL CORP                       Com      549271104        22.500     848,948      37,731      37,176         555   
LUCENT TECHNOLOGIES INC             Com      549463107       108.000     434,160       4,020       1,952       2,068   
</TABLE> 

<TABLE> 
<CAPTION> 
Item 1:                           Item 7:  Item 8:
                                           Voting Authority
                                  
                                  Manager              (Shares)
Name Of Issuer                    Fee Inst.(a) Sole    (b) Shared  (c) None
============================================================================
<S>                                <C>         <C>        <C>        <C> 
FEDERATED DEPT STORES INC            3           0           0      28,500
FIRST DATA CORP                      3      31,748           0           0
FIRST TENNESSEE NATIONAL             3     227,464      42,568         800
                                     2                              14,024
FIRST UNION CORP                     3      18,504           0         547
                                     2                               3,939
FORD MOTOR CO                        3      31,332           0           0
FOUNDATION HEALTH SYSTEM             3      29,702           0           0
FRED'S INC                           3     157,135           0           0
GPU INC                              3       9,098           0           0
GTE CORPORATION                      3       7,340           0      55,600
GAP INC                              3      22,643           0           0
GENERAL ELECTRIC CO                  3      60,913      11,550      94,760
                                     2                               3,906
GENERAL MILLS INC                    3       1,300           0       1,650
GENERAL MOTORS CORP                  3      33,192         666         229
                                     2                              13,102
GILLETTE CO                          3      50,154           0         600
GLOBAL INDUSTRIAL TECHNOL            3       3,760           0           0
                                     2                              51,421
GOODYEAR TIRE & RUBBER CO            3      19,810           0         240
W R GRACE & CO DEL NEW               3      29,194           0           0
W W GRAINGER                         3       1,000           0      53,300
HANCOCK FABRICS INC                  3       9,697           0       1,039
                                     2                              84,498
HARTFORD FINANCIAL SERVIC            3      16,222           0           0
HASBRO INC                           3       7,020           0           0
                                     2                              56,396
HEALTHSOUTH CORP.                    3      89,425           0           0
HEWLETT PACKARD                      3      23,134           0       1,500
HOME DEPOT                           3      33,795           0         100
HOME-STAKE OIL & GAS COMP            3      70,502           0           0
HONEYWELL INC                        3       2,200       2,300         350
HOST MARRIOTT CORP NEW               3           0           0      48,915
HUMANA INC                           3      26,476           0           0
IBP INC                              3      15,492           0           0
IMC GLOBAL INC                       3      31,913           0           0
INTEL CORP                           3      16,695           0         255
INTERNATIONAL BUSINESS MA            3      44,599       4,000       1,400
                                     2                              14,646
INTERPUBLIC GROUP OF COMP            3      13,287           0      69,600
J & J SNACK FOODS                    3       2,980           0           0
                                     2                              48,956
JOHNSON & JOHNSON                    3      28,829           0       9,900
KELLY SERVICES, INC. CLAS            3      13,176           0           0
KENNAMETAL INC                       3      13,725           0           0
KNIGHT RIDDER INC                    3       1,000           0      21,200
LILLY ELI & CO                       3      21,250           0         450
LIZ CLAIBORNE                        3      31,632           0       1,300
LUBRIZOL CORP                        3      37,731           0           0
LUCENT TECHNOLOGIES INC              3       2,590         226       1,204
</TABLE> 
<PAGE>
 
NBC Trust Division       
13F as of March 31, 1999 
<TABLE>                  
<CAPTION>                 
 
FORM 13F                                                                                                               
Page ______ of _____                         Name of Reporting Manager:  National Commerce Bancorporation              
Item 1:                             Item 2:  Item 3:                 Item 4:       Item 5:   Item 6:                   
                                                                                             Investment Discretion     
                                                                                   Shares or               (b) Shared  
                                    Title of CUSIP       Market per  Fair          Principal               as Defined  
Name Of Issuer                      Class    Number      Share       Market Value  Amount      (a) Sole    in Inst. V  
====================================================================================================================== 
<S>                                 <C>      <C>         <C>          <C>           <C>           <C>        <C>        
MBIA, INC                           Com      55262C100        58.000   1,067,200      18,400           0      18,400   
MCI WORLDCOM INC                    Com      55268B106        88.562  10,568,546     119,335      13,233     106,102   
MANPOWER INC                        Com      56418H100        23.375     489,426      20,938      20,938           0   
MARRIOTT INTL INC NEW COM           Com      571903202        33.625   2,266,695      67,411      32,411      35,000   
MAY DEPARTMENT STORES CO            Com      577778103        39.125     281,700       7,200       4,200       3,000   
MCDONALDS CORP                      Com      580135101        45.312   2,448,026      54,026      51,526       2,500   
MCCORMICK & CO                      Com      579780206        29.000      96,570       3,330       2,090       1,240   
                                                                       1,146,428      39,532                  39,532   
MEDTRONIC, INC                      Com      585055106        71.875  13,299,534     185,037      19,020     166,017   
MERCK & CO INC                      Com      589331107        80.125   7,627,820      95,199      27,210      67,989   
MICROSOFT CORP                      Com      594918104        89.625   8,196,207      91,450       8,654      82,796   
MID-AMERICA APARTMENT COM           Com      59522J103        21.375     370,108      17,315      15,940       1,375   
                                                                         643,174      30,090                  30,090   
MINNESOTA MINING & MANUFA           Com      604059105        70.750     246,422       3,483       1,350       2,133   
MOBIL CORPORATION                   Com      607059102        88.000   1,496,880      17,010      12,000       5,010   
MORGAN J P & CO                     Com      616880100       123.375     388,631       3,150       1,950       1,200   
MORGAN KEEGAN INC                   Com      617410105        16.562   1,292,068      78,014      78,014           0   
MORTON INTERNATIONAL INC            Com      619335102        36.750   3,686,025     100,300       6,000      94,300   
MOTOROLA INC                        Com      620076109        73.250   1,853,225      25,300         300      25,000   
MUNICIPAL MORTGAGE & EQUI           Com      62624B101        18.625     492,408      26,438       1,400      25,038   
NABORS INDUSTRIES INC               Com      629568106        18.187     702,018      38,600      37,506       1,094   
NATIONAL CITY CORP                  Com      635405103        66.375     313,290       4,720           0       4,720   
NATIONAL COMMERCE BANCORP           Com      635449101        22.812 248,511,509  10,893,894   4,288,574   6,605,320   
                                                                       6,400,147     280,554                 280,554   
NAVISTAR INT'L CORP                 Com      63934E108        40.187     475,734      11,838      11,620         218   
NEWPORT CORP                        Com      651824104        12.375     231,413      18,700           0      18,700   
OLD REPUBLIC INTERNATIONA           Com      680223104        18.250     469,536      25,728      23,877       1,851   
OLSTEN CORP                         Com      681385100         6.187     217,368      35,133      33,819       1,314   
OWENS CORNING                       Com      69073F103        31.812     844,195      26,537      25,530       1,007   
PECO ENERGY CORP                    Com      693304107        46.250     309,875       6,700       6,700           0   
PNC BANK CORPORATION                Com      693475105        55.562   1,336,155      24,048      20,861       3,187   
PXRE CORPORATION                    Com      693674103        18.000      60,390       3,355       3,355           0   
                                                                         811,494      45,083                  45,083   
PARKER-HANNIFIN CORP                Com      701094104        34.250     643,900      18,800      18,800           0   
PEPSICO INC                         Com      713448108        39.187   1,338,667      34,161       2,336      31,825   
PFIZER INC                          Com      717081103       138.750   2,512,069      18,105      13,680       4,425   
PHILIP MORRIS COMPANIES I           Com      718154107        35.187     683,402      19,422      17,381       2,041   
PIONEER NATURAL RESOURCES           Com      723787107         7.750     229,447      29,606           0      29,606   
PITNEY-BOWES INC                    Com      724479100        63.750     529,125       8,300       1,600       6,700   
PRISON REALTY CORP                  Com      74264N105        17.437     263,299      15,100      12,600       2,500   
PROCTER & GAMBLE CO                 Com      742718109        97.937   2,627,160      26,825      24,035       2,790   
                                                                       1,316,770      13,445                  13,445   
PROVIDENT BANKSHARES                Com      743859100        26.125     406,610      15,564      12,154       3,410   
PROVIDENT COS INC                   Com      743862104        34.562   1,126,652      32,598           0      32,598   
RFS HOTEL INVESTORS, INC            Com      74955J108        11.562     699,501      60,500      34,000      26,500   
                                                                         173,437      15,000                  15,000   
RJR NABISCO HOLDINGS CORP           Com      74960K876        25.000     627,725      25,109      24,150         959   
RAYTHEON CO CL A COM                Com      755111309        57.750   1,248,382      21,617         138      21,479   
RAYTHEON CO CL B COM                Com      755111408        58.625     527,625       9,000           0       9,000   
RELIASTAR FINANCIAL CORP            Com      75952U103        42.625     682,554      16,013      12,143       3,870   
REP N.Y. CORP                       Com      760719104        46.125     382,837       8,300       8,300           0   
</TABLE> 


<TABLE> 
<CAPTION> 
Item 1:                           Item 7:  Item 8:
                                           Voting Authority
                                  
                                  Manager              (Shares)
Name Of Issuer                    Fee Inst.(a) Sole    (b) Shared  (c) None
============================================================================
<S>                                <C>         <C>        <C>        <C> 
MBIA, INC                             3           0           0      18,400
MCI WORLDCOM INC                      3      15,671           0     103,664
MANPOWER INC                          3      20,938           0           0
MARRIOTT INTL INC NEW COM             3      32,411           0      35,000
MAY DEPARTMENT STORES CO              3       4,200       3,000           0
MCDONALDS CORP                        3      52,026           0       2,000
MCCORMICK & CO                        3       3,660           0           0
                                      2                              39,532
MEDTRONIC, INC                        3     105,337           0      79,700
MERCK & CO INC                        3      27,910         240      67,049
MICROSOFT CORP                        3       9,854           0      81,596
MID-AMERICA APARTMENT COM             3      16,970           0         345
                                      2                              30,090
MINNESOTA MINING & MANUFA             3       1,750           0       1,733
MOBIL CORPORATION                     3      16,460           0         550
MORGAN J P & CO                       3       1,200           0       1,950
MORGAN KEEGAN INC                     3      78,014           0           0
MORTON INTERNATIONAL INC              3       7,000           0      93,300
MOTOROLA INC                          3       2,300           0      23,000
MUNICIPAL MORTGAGE & EQUI             3      18,958           0       7,480
NABORS INDUSTRIES INC                 3      38,600           0           0
NATIONAL CITY CORP                    3           0           0       4,720
NATIONAL COMMERCE BANCORP             3   5,808,976     951,466   4,133,452
                                      2                             280,554
NAVISTAR INT'L CORP                   3      11,838           0           0
NEWPORT CORP                          3       7,000      10,000       1,700
OLD REPUBLIC INTERNATIONA             3      24,478           0       1,250
OLSTEN CORP                           3      35,133           0           0
OWENS CORNING                         3      26,537           0           0
PECO ENERGY CORP                      3       6,700           0           0
PNC BANK CORPORATION                  3      21,048           0       3,000
PXRE CORPORATION                      3       3,355           0           0
                                      2                              45,083
PARKER-HANNIFIN CORP                  3      18,800           0           0
PEPSICO INC                           3       3,136           0      31,025
PFIZER INC                            3      13,930           0       4,175
PHILIP MORRIS COMPANIES I             3      19,041           0         381
PIONEER NATURAL RESOURCES             3       1,500           0      28,106
PITNEY-BOWES INC                      3       2,500           0       5,800
PRISON REALTY CORP                    3      15,100           0           0
PROCTER & GAMBLE CO                   3      25,225           0       1,600
                                      2                              13,445
PROVIDENT BANKSHARES                  3      13,154           0       2,410
PROVIDENT COS INC                     3           0           0      32,598
RFS HOTEL INVESTORS, INC              3      42,000      10,000       8,500
                                      2                              15,000
RJR NABISCO HOLDINGS CORP             3      25,109           0           0
RAYTHEON CO CL A COM                  3       1,057          60      20,500
RAYTHEON CO CL B COM                  3           0           0       9,000
RELIASTAR FINANCIAL CORP              3      13,143           0       2,870
REP N.Y. CORP                         3       8,300           0           0
</TABLE> 
<PAGE>
 
NBC Trust Division       
13F as of March 31, 1999 
<TABLE>                  
<CAPTION>                 
 
FORM 13F                                                                                                               
Page ______ of _____                         Name of Reporting Manager:  National Commerce Bancorporation              
Item 1:                             Item 2:  Item 3:                 Item 4:       Item 5:   Item 6:                   
                                                                                             Investment Discretion     
                                                                                   Shares or               (b) Shared  
                                    Title of CUSIP       Market per  Fair          Principal               as Defined  
Name Of Issuer                      Class    Number      Share       Market Value  Amount      (a) Sole    in Inst. V  
====================================================================================================================== 
<S>                                 <C>      <C>         <C>          <C>           <C>           <C>        <C>        
ROHM & HAAS COMPANY                 Com      775371107        33.562     629,187      18,747      18,220         527   
RYERSON TULL INC NEW                Com      78375P107        14.687     276,233      18,808      18,107         701   
SBC COMMUNICATIONS INC              Com      78387G103        47.187     851,348      18,042      15,734       2,308   
SAFECO CORP                         Com      786429100        40.437      16,175         400           0         400   
                                                                         328,352       8,120                   8,120   
SARA LEE CORP                       Com      803111103        24.750     443,025      17,900       2,600      15,300   
SCHERING-PLOUGH CORP                Com      806605101        55.250  80,083,218   1,449,470     550,808     898,662   
                                                                       1,142,721      20,683                  20,683   
SEAGRAM CO. LTD                     Com      811850106        50.000     800,000      16,000           0      16,000   
SEARS ROEBUCK & CO                  Com      812387108        45.187     673,151      14,897      14,760         137   
SERVICE CORP INTERNATIONA           Com      817565104        14.250     550,264      38,615      36,543       2,072   
SOFAMOR/DANEK GROUP INC             Com      834005100       120.500     578,400       4,800           0       4,800   
SOLECTRON CORP                      Com      834182107        48.562   1,505,277      30,997      30,997           0   
SOUTHERN CO                         Com      842587107        23.312     543,100      23,297      19,791       3,506   
SPRINGS IND INCL CL A               Com      851783100        27.062     261,203       9,652       9,378         274   
SPRINT CORP                         Com      852061100        98.125     314,000       3,200           0       3,200   
                                                                         206,062       2,100                   2,100   
STORAGE USA INC                     Com      861907103        28.375     500,819      17,650      14,640       3,010   
                                                                         747,227      26,334                  26,334   
SUNTRUST BKS INC                    Com      867914103        62.250     382,838       6,150       2,000       4,150   
SYSCO CORP                          Com      871829107        26.312   1,841,840      70,000           0      70,000   
T R W INC                           Com      872649108        45.500     556,920      12,240      11,891         349   
TECUMSEH PRODS CO CL A              Com      878895200        50.937     526,077      10,328      10,034         294   
TEKTRONIX INC                       Com      879131100        25.250     641,350      25,400      20,401       4,999   
TELLABS INC                         Com      879664100        97.750   1,431,549      14,645      14,295         350   
TENET HEALTHCARE CORP               Com      88033G100        18.937     803,819      42,447      41,237       1,210   
TEXACO INC                          Com      881694103        56.750     269,563       4,750       2,000       2,750   
THOMAS & BETTS CORP                 Com      884315102        37.562      50,296       1,339       1,339           0   
                                                                         994,204      26,468                  26,468   
TOSCO CORP                          Com      891490302        24.812     359,997      14,509      14,500           9   
TOYS R US INC                       Com      892335100        18.812     742,754      39,483      37,957       1,526   
TRANSATLANTIC HLDGS INC             Com      893521104        75.000     480,075       6,401       6,218         183   
UST INC                             Com      902911106        26.125      47,547       1,820       1,820           0   
                                                                         630,997      24,153                  24,153   
UNITED TECHNOLOGIES CORP            Com      913017109       135.437      27,087         200           0         200   
                                                                         270,875       2,000                   2,000   
UNUM CORP                           Com      903192102        47.562   1,743,623      36,660       2,480      34,180   
                                                                       1,826,685      38,406                  38,406   
ULTRAMAR DIAMOND SHAMROCK           Com      904000106        21.625     601,954      27,836      26,925         911   
UNION PLANTERS CORP                 Com      908068109        43.937   1,022,370      23,269       8,085      15,184   
UNITED HEALTH CARE                  Com      910581107        52.625     931,463      17,700      17,700           0   
U S WEST INC NEW                    Com      91273H101        55.062     726,873      13,201      11,660       1,541   
                                                                         216,341       3,929                   3,929   
UNIVERSAL FOODS CORP                Com      913538104        20.625     587,091      28,465      26,729       1,736   
V F CORP                            Com      918204108        47.500     962,778      20,269      20,060         209   
VALERO ENERGY CORP NEW              Com      91913Y100        24.875     101,167       4,067       2,180       1,887   
                                                                       1,073,058      43,138                  43,138   
WD-40 CO                            Com      929236107        29.000     507,500      17,500           0      17,500   
WAL MART STORES, INC.               Com      931142103        92.187     728,277       7,900       6,050       1,850   
WALGREEN CO                         Com      931422109        28.250     838,234      29,672      23,600       6,072   
WARNER-LAMBERT CO                   Com      934488107        66.250  10,103,920     152,512           0     152,512   

</TABLE> 

<TABLE> 
<CAPTION> 
Item 1:                           Item 7:  Item 8:
                                           Voting Authority
                                  
                                  Manager              (Shares)
Name Of Issuer                    Fee Inst.(a) Sole    (b) Shared  (c) None
============================================================================
<S>                                <C>         <C>        <C>        <C> 
ROHM & HAAS COMPANY                  3      18,747           0           0
RYERSON TULL INC NEW                 3      18,808           0           0
SBC COMMUNICATIONS INC               3      16,374         624       1,044
SAFECO CORP                          3           0           0         400
                                     2                               8,120
SARA LEE CORP                        3       4,200           0      13,700
SCHERING-PLOUGH CORP                 3     615,958           0     833,512
                                     2                              20,683
SEAGRAM CO. LTD                      3           0           0      16,000
SEARS ROEBUCK & CO                   3      14,897           0           0
SERVICE CORP INTERNATIONA            3      38,615           0           0
SOFAMOR/DANEK GROUP INC              3       4,800           0           0
SOLECTRON CORP                       3      30,997           0           0
SOUTHERN CO                          3      21,365       1,332         600
SPRINGS IND INCL CL A                3       9,652           0           0
SPRINT CORP                          3       1,300           0       1,900
                                     2                               2,100
STORAGE USA INC                      3      16,910           0         740
                                     2                              26,334
SUNTRUST BKS INC                     3       2,150           0       4,000
SYSCO CORP                           3           0           0      70,000
T R W INC                            3      12,240           0           0
TECUMSEH PRODS CO CL A               3      10,328           0           0
TEKTRONIX INC                        3      25,400           0           0
TELLABS INC                          3      14,295           0         350
TENET HEALTHCARE CORP                3      42,447           0           0
TEXACO INC                           3       3,150           0       1,600
THOMAS & BETTS CORP                  3       1,542           0           0
                                     2                              26,468
TOSCO CORP                           3      14,500           0           9
TOYS R US INC                        3      39,483           0           0
TRANSATLANTIC HLDGS INC              3       6,401           0           0
UST INC                              3       2,070           0           0
                                     2                              24,153
UNITED TECHNOLOGIES CORP             3           0           0         200
                                     2                               2,000
UNUM CORP                            3       4,000           0      32,660
                                     2                              38,406
ULTRAMAR DIAMOND SHAMROCK            3      27,836           0           0
UNION PLANTERS CORP                  3      21,969           0       1,300
UNITED HEALTH CARE                   3      17,700           0           0
U S WEST INC NEW                     3      13,058         143           0
                                     2                               3,929
UNIVERSAL FOODS CORP                 3      27,515           0         950
V F CORP                             3      20,269           0           0
VALERO ENERGY CORP NEW               3       4,427           0           0
                                     2                              43,138
WD-40 CO                             3           0           0      17,500
WAL MART STORES, INC.                3       7,250           0         650
WALGREEN CO                          3      23,600           0       6,072
WARNER-LAMBERT CO                    3           0           0     152,512
</TABLE> 
<PAGE>
 
NBC Trust Division       
13F as of March 31, 1999 
<TABLE>                  
<CAPTION>                 
 
FORM 13F                                                                                                               
Page ______ of _____                         Name of Reporting Manager:  National Commerce Bancorporation              
Item 1:                             Item 2:  Item 3:                 Item 4:       Item 5:   Item 6:                   
                                                                                             Investment Discretion     
                                                                                   Shares or               (b) Shared  
                                    Title of CUSIP       Market per  Fair          Principal               as Defined  
Name Of Issuer                      Class    Number      Share       Market Value  Amount      (a) Sole    in Inst. V  
====================================================================================================================== 
<S>                                 <C>      <C>         <C>          <C>           <C>           <C>        <C>        
WASHINGTON MUTUAL INC               Com      939322103        40.875   4,011,799      98,148      79,968      18,180   
                                                                       1,457,521      35,658                  35,658   
WASTE MANAGEMENT INC NEW            Com      94106L109        44.375     812,329      18,306         181      18,125   
WELLS FARGO & CO (NEW)              Com      949746101        35.062     908,106      25,900           0      25,900   
WERNER ENTERPRISES INC              Com      950755108        15.750      74,088       4,704       4,704           0   
                                                                       1,122,928      71,297                  71,297   
WRIGLEY WILLIAM JR COMPAN           Com      982526105        90.437     651,146       7,200       7,200           0   
CONTINUE CARE HOLDING COR           Com      993771000         6.340   5,097,544     804,029           0     804,029   
XL CAPITAL LTD CL A                 Com      G98255105        60.750   1,980,450      32,600           0      32,600   
</TABLE> 


<TABLE> 
<CAPTION> 
Item 1:                           Item 7:  Item 8:
                                           Voting Authority
                                  
                                  Manager              (Shares)
Name Of Issuer                    Fee Inst.(a) Sole    (b) Shared  (c) None
============================================================================
<S>                                <C>         <C>        <C>        <C> 
WASHINGTON MUTUAL INC               3      98,116           0          32
                                    2                              35,658
WASTE MANAGEMENT INC NEW            3         181           0      18,125
WELLS FARGO & CO (NEW)              3       1,900           0      24,000
WERNER ENTERPRISES INC              3       5,360           0           0
                                    2                              71,297
WRIGLEY WILLIAM JR COMPAN           3       7,200           0           0
CONTINUE CARE HOLDING COR           3     804,029           0           0
XL CAPITAL LTD CL A                 3           0           0      32,600
</TABLE> 


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