NATIONAL COMMERCE BANCORPORATION
13F-HR, 2000-08-14
NATIONAL COMMERCIAL BANKS
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                          UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                     Washington, D.C.  20549

                            Form 13F

                       Form 13F COVER PAGE

 Report for the Calendar Year or Quarter Ended: June 30, 2000
                                              ---------------
 Check here if Amendment [ ]; Amendment Number:
                                              --------------
  This Amendment (Check only one.):     [ ] is a restatement.
                                        [ ] adds new holdings
                                             entries.

 Institutional Investment Manager Filing this Report:

 Name:    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:    Carla Reynolds
          ---------------------------------------------
 Title:   Trust Compliance Officer
          ---------------------------------------------
 Phone:   (901) 523-3130
          ---------------------------------------------

 Signature, Place, and Date of Signing:

 Carla Reynolds           Memphis, TN                   8-11-00
 ------------------------ ----------------------------- --------------
 [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

     28-1940
        ------------------        ------------------------
     [Repeat as necessary.]


<PAGE>

                             Form 13F SUMMARY PAGE

 Report Summary:

 Number of Other Included Managers:               1
                                         -------------------
 Form 13F Information Table Entry Total:         201
                                         -------------------
 Form 13F Information Table Value Total: $744,468,347
                                         -------------------
                                            (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.

 [If there are no entries in this list, state "NONE" and omit the
 column headings and list entries.]

     No.       Form 13F File Number          Name

      2        28-1940                        National Bank of Commerce
     ----      ---------------------          -------------------------
     [Repeat as necessary.]


<PAGE>

                          FORM 13F INFORMATION TABLE


NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 2 OF 12                                       NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
A T & T CORP       Com    001957109   31.812        742,810        23,350     19,673     3,677    3     6,472        531    61,740
                                                    674,692        21,208               21,208    2                         21,208
ABBOTT
  LABORATORIES     Com    002824100   44.562      5,123,115       114,966      5,600   109,366    3     8,750          0   234,766
ACE LTD
  ORD SH COM       Com    G0070K103   28.000        744,212        26,579     26,362       217    3     1,479          0    26,700
                                                  1,136,464        40,588               40,588    2                         40,588
ADAC LABS COM      Com    005313200   24.000        264,000        11,000          0    11,000    3         0          0    14,700
AETNA INC          Com    008117103   64.187      1,212,685        18,893      8,822    10,071    3       593          0    82,304
                                                    876,801        13,660               13,660    2                         13,660
ALBERTO CULVER
  CO. CLASS        Com    013068200   26.250        299,250        11,400          0    11,400    3         0          0   100,866
ALEXANDER
  & BALDWIN        Com    014482103   22.062        397,116        18,000          0    18,000    3         0          0    51,000
ALLEN
  TELECOM INC      Com    018091108   17.718        361,447        20,400          0    20,400    3         0          0    20,400
ALLIED WASTE
  INDS INC COM     Com    019589308   10.000        350,000        35,000          0    35,000    3         0          0    85,000
ALLSTATE CORP      Com    020002101   22.250        529,016        23,776     21,414     2,362    3     2,442        924    25,270
                                                    728,688        32,750               32,750    2                         32,750
ALZA CORP
  CLASS A          Com    022615108   59.125        201,025         3,400        500     2,900    3         0          0    27,400
AMERICAN
  EXPRESS CO       Com    025816109   52.125      5,848,466       112,201     22,201    90,000    3     2,901          0   178,237
                                                  1,071,117        20,549               20,549    2                         20,549
AMERICAN
  GENERAL CORP     Com    026351106   61.000      1,091,900        17,900     15,115     2,785    3     7,816          0    25,444
                                                  1,260,565        20,665               20,665    2                         20,665
AMERICAN HOME
  PRODUCTS CO      Com    026609107   58.750      2,813,185        47,884      8,000    39,884    3    21,416      1,000   154,768
AMERICAN
  INTERNATIONAL GR Com    026874107  117.500     14,254,865       121,318     34,851    86,467    3    28,807        500   255,029
                                                  3,817,704        48,737               48,737    2                         48,737
AMGEN INC          Com    031162100   70.250        273,694         3,896      2,646     1,250    3     2,646          0    51,390
AMR CORPORATION    Com    001765106   26.437        405,385        15,334     14,813       521    3     1,728          6    17,264
                                                    578,453        21,880               21,880    2                         21,880
ANHEUSER
  BUSCH CO INC     Com    035229103   74.687        988,408        13,234        800    12,434    3       800          0    47,252
ARROW
  ELECTRONICS INC  Com    042735100   31.000        840,782        27,122     25,314     1,808    3     1,422          0   146,138
                                                  1,209,744        39,024               39,024    2                         39,024
ASSOCIATES
  FIRST CAPITAL    Com    046008108   22.312        263,795        11,823     11,430       393    3     1,719          4    19,864
                                                    386,586        17,326               17,326    2                         17,326
ASTEC
  INDUSTRIES INC   Com    046224101   25.375        329,875        13,000          0    13,000    3         0          0    35,500
ATLANTIS
  PLASTICS INC CL  Com    049156102    6.125        251,738        41,100          0    41,100    3         0          0    41,100
AVANT CORP         Com    053487104   18.734        340,959        18,200          0    18,200    3         0          0    18,200
AVNET, INC         Com    053807103   59.250        687,952        11,611     10,921       690    3       611          0    25,764
                                                    992,675        16,754               16,754    2                         16,754
B J SERVICES       Com    055482103   60.500              0             0          0         0    3         0          0     4,480
                                                    232,500         3,720                3,720    2                          3,720
</TABLE>


<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 3 OF 12                                         NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
BANK OF
  AMERICA CORP     Com    060505104   43.000      1,393,673        32,411     30,084     2,327    3    15,805        206    50,383
                                                  1,013,457        23,365               23,365    2                         23,365
BANK ONE CORP      Com    06423A103   26.562        486,882        18,330     16,576     1,754    3     1,955          7    17,653
                                                    662,628        24,946               24,946    2                         24,946
BECKMAN
  COULTER INC      Com    075811109   58.421        710,692        12,165     12,066        99    3       665          0    12,235
                                                  1,079,762        18,497               18,497    2                         18,497
BELL
  ATLANTIC CORP    Com    077853109   50.812      1,171,369        23,053     20,162     2,891    3     8,555        654    42,052
                                                  1,814,750        35,627               35,627    2                         35,627
BELLSOUTH CORP     Com    079860102   42.625      1,747,582        40,999     33,258     7,741    3    36,911      1,428    58,151
                                                    243,303         5,708                5,708    2                          5,708
BESTFOODS INC      Com    08658U101   69.250      1,590,188        22,963     20,403     2,560    3     4,963          0    19,360
                                                  1,457,435        21,046               21,046    2                         21,046
BLACK & DECKER     Com    091797100   39.312        798,073        20,301     19,388       913    3       799          2    20,341
                                                  1,142,888        29,095               29,095    2                         29,095
BOEING COMPANY     Com    097023105   41.812        718,079        17,174        874    16,300    3       874          0    29,682
BOSTON
  SCIENTIFIC CORP  Com    101137107   21.937      1,242,687        56,648     55,203     1,445    3     8,327         21    60,244
                                                  1,202,000        54,792               54,792    2                         54,792
BP AMOCO
  PLC SPON ADR     Com    055622104   56.625        830,915        14,674      4,764     9,910    3     9,168          0    26,816
BRISTOL
  MYERS SQUIBB CO  Com    110122108   58.250      6,737,428       115,664     55,239    60,425    3    31,232         12   193,427
                                                  2,390,230        41,034               41,034    2                         41,034
BURLINGTON
  NORTHERN SANTA   Com    12189T104   22.937        242,283        10,563     10,233       330    3     2,059          4    15,664
                                                    319,292        13,733               13,733    2                         13,733
CANADIAN
  PACIFIC LTD NEW  Com    135923100   26.187        785,610        30,000          0    30,000    3         0          0   173,000
CAPITAL ONE
  FINANCIAL        Com    14040H105   44.625        245,437         5,500          0     5,500    3         0      1,000    49,375
CASCADE CORP       Com    147195101   11.937        288,875        24,200      4,000    20,200    3         0          0    24,200
CATELLUS
  DEVELOMPENT
  CORP             Com    149111106   15.000        648,000        43,200          0    43,200    3         0          0   268,694
CENTURYTEL INC     Com    156700106   28.750              0             0          0         0    2         0          0    39,497
                                                  1,206,177        41,954               41,954    3                         41,954
CHASE MANHATTAN
  CORP NEW         Com    16161A108   46.062      6,925,461        150,351    28,284   122,067    3     2,641      7,050   319,440
                                                  2,070,509         44,950              44,950    2                         44,950
CHEVRON
  CORPORATION      Com    166751107   84.812      1,149,203         13,550    11,400     2,150    3    12,120          0    16,480
CINAR
  CORPORATION      Com    171905300    7.781        229,539         29,500         0    29,500    3         0          0    56,100
CIRCUIT
  CITY STORES      Com    172737108   33.187      1,108,977         33,416    32,630       786    3     4,804         12    38,826
                                                  1,079,092         32,515              32,515    2                         32,515
CISCO CORP         Com    17275R102   63.562        239,629          3,770         0     3,770    3     1,600          0    93,981
</TABLE>
                                       3




<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 4 OF 12                          NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
CITIGROUP INC      Com    172967101   60.250      3,486,668        57,870     51,226     6,644    3    30,165          0    84,559
                                                  3,499,875        57,909               57,909    2                         57,909
CLAIRES
  STORES INC       Com    179584107   19.250        391,256        20,325          0    20,325    3         0          0    25,425
CNF TRANSN INC     Com    12612W104   22.750        278,892        12,259     11,845       414    3     1,454          5    11,986
                                                    402,152        17,677               17,677    2                         17,677
COASTAL CORP       Com    190441105   60.875      8,040,675       132,085      6,535   125,550    3       385          0   287,163
                                                    599,862         9,854                9,854    2                          9,854
COCA COLA CO       Com    191216100   57.437      5,827,903       101,466     78,243    23,223    3    39,251          0   106,069
                                                  2,680,666        46,671               46,671    2                         46,671
COLGATE-
  PALMOLIVE CO     Com    194162103   59.875        279,317         4,665          0     4,665    3     4,440          0    14,625
COMPUTER
  ASSOC INTL INC   Com    204912109   51.187        846,274        16,533     15,716       817    3     2,133          0    24,907
                                                  1,118,345        21,848               21,848    2                         21,848
COMSTOCK RES INC   Com    205768203    8.000        400,000        50,000          0    50,000    3         0          0    50,000
CONCORD EFS INC    Com    206197105   26.000        322,400        12,400        400    12,000    3         0          0    79,830
CONTINUE CARE
  HOLDING COR      Com    993771000    6.340      5,097,544       804,029          0   804,029    3   804,029          0         0
COOPER
  INDUSTRIES INC   Com    216669101   32.562        720,759        22,135     21,383       752    3     2,526          9    21,859
                                                  1,038,552        31,833               31,833    2                         31,833
COSTCO WHOLESALE
  CORPORATION      Com    22160K105   33.000      7,191,525       217,925     33,235   184,690    3     1,935      1,000   383,205
                                                  1,104,312        33,464               33,464    2                         33,464
COUSINS
  PROPERTIES INC   Com    222795106   38.500      1,155,000        30,000          0    30,000    3         0          0    35,400
CUMMINS
  ENGINE CO. INC   Com    231021106   27.234        868,247        31,881     30,902       979    3     3,170         11    40,316
                                                  1,404,819        51,553               51,553    2                         51,553
DANA CORPORATION   Com    235811106   21.187        431,643        20,373     19,722       651    3     2,167          7    32,486
                                                    898,964        42,429               42,429    2                         42,429
DARDEN RESTAURANTS Com    237194105   16.250         21,125         1,300        500       800    3     1,300          0    44,971
                                                    801,304        49,311               49,311    2                         49,311
DELL COMPUTER      Com    247025109   49.312      1,824,791        37,005     35,330     1,675    3     4,630          0    55,226
                                                  1,790,537        36,310               36,310    2                         36,310
DELTA AIR LINES    Com    247361108   50.562        953,346        18,855     18,212       643    3     2,148          7    17,764
                                                  1,316,091        26,029               26,029    2                         26,029
DISNEY COM         Com    254687106   38.812      3,865,792        99,603          0    99,603    3         0        100   205,071
DPL INC            Com    233293109   21.937        405,944        18,505      5,046    13,459    3     5,046          0    18,483
DU PONT E I DE
  NEMOURS &        Com    263534109   43.750        971,732        22,211     18,220     3,991    3    21,432        350    12,136
                                                    606,553        13,800               13,800    2                         13,800
DUKE ENERGY CORP   Com    264399106   56.375        581,621        10,317      5,806     4,511    3       750          0    23,202
                                                    471,876         8,315                8,315    2                          8,315
</TABLE>

                                       4



<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 5 OF 12                          NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>


EASTMAN
  CHEMICAL CO      Com    277432100   47.750        413,563         8,661      8,406       255    3       361          0     9,373
                                                    554,521        11,613               11,613    2                         11,613
EATON CORPORATION  Com    278058102   67.000        652,312         9,736      9,408       328    3     1,132          4     9,146
                                                    945,504        14,112               14,112    2                         14,112
EDWARDS J D & CO   Com    281667105   15.062        206,349        13,700          0    13,700    3         0          0    13,700
ELECTRONIC
  ARTS, INC.       Com    285512109   72.937        975,824        13,379     13,379         0    3     1,279          0    13,026
                                                  1,004,204        13,768               13,768    2                         13,768
ELECTRONIC
  DATA SYS CORP    Com    285661104   41.250      5,113,680       123,968     44,161    79,807    3     7,023        145   303,470
                                                  1,780,474        43,163               43,163    2                         43,163
EMC CORP MASS      Com    268648102   76.937     17,132,331       222,680          0   222,680    3         0          0   617,101
ENGELHARD CORP.    Com    292845104   17.062        695,311        40,752     39,259     1,493    3     4,835         17    38,375
                                                  1,035,626        60,696               60,696    2                         60,696
EQUITY INNS INC    Com    294703103    6.156        320,598        52,079        762    51,317    3    42,729          0    28,850
                                                    128,166        20,925               20,925    2                         20,925
EVEREST
  RE GROUP LTD     Com    G3223R108   32.875        275,163         8,370      8,299        71    3       670          0     8,191
                                                    487,142        14,818               14,818    2                         14,818
EXXON MOBIL CORP   Com    30231G102   78.500      7,691,825        97,985     36,901    61,084    3    57,223      2,000   101,046
FEDERAL HOME
  LOAN MORTGAG     Com    313400301   40.500      5,837,913       144,146      4,947   139,199    3       986      1,000   327,801
                                                    309,784         7,649                7,649    2                          7,649
FEDERAL NATIONAL
  MORTGAGE         Com    313586109   52.187      1,118,159        21,426      6,094    15,332    3     2,026          0   102,716
                                                    340,554         6,510                6,510    2                          6,510
FEDERATED DEPT
  STORES INC       Com    31410H101   33.750        472,500        14,000        500    13,500    3         0          0   112,270
FEDEX CORP         Com    31428X106   38.000      1,444,000        38,000      1,300    36,700    3     6,800          0   146,014
FIRST AMERICAN
  FINANCIAL        Com    318522307   14.312        216,111        15,100          0    15,100    3         0          0    15,100
FIRST DATA CORP    Com    319963104   49.625      1,334,218        26,886     26,682       204    3     1,486          0    29,853
                                                  1,943,315        39,160               39,160    2                         39,160
FIRST TENNESSEE
  NATIONAL         Com    337162101   16.578      5,187,800       312,933    183,002   129,931    3   222,003     42,568   189,644
FIRST UNION CORP   Com    337358105   24.812        225,144         9,074      8,527       547    3     1,024          3    17,121
                                                    349,236        14,075               14,075    2                         14,075
FLEETBOSTON
  FINANCIAL COR    Com    339030108   34.000      7,175,870       211,055     21,648   189,407    3     1,188          0   412,531
                                                  1,111,732        32,698               32,698    2                         32,698
FMC CORP           Com    302491303   58.031        572,012         9,857      9,777        80    3       557          0    11,591
                                                    883,630        15,235               15,235    2                         15,235
FORD MOTOR CO      Com    345370100   43.000      1,190,627        27,689     25,809     1,880    3     3,204         10    40,217
                                                  2,019,108        46,956               46,956    2                         46,956
FORTUNE
  BRANDS INC       Com    49631101    23.062        583,745        25,312     21,588     3,724    3     3,204          8    25,453
                                                    713,438        30,935               30,935    2                         30,935
</TABLE>

                                       5



<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 3 OF 11                          NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
FOUNDATION
  HEALTH SYSTEM    Com    350404109   13.937      1,206,122        86,541     85,844       697    3     5,741          0   118,529
                                                  2,339,591       167,863              167,863    2                        167,863
FRED'S INC         Com    356108100   18.000      2,702,790       150,155    150,155         0    3   150,155          0         0
GAINSCO INC        Com    363127101    5.000        265,000        53,000          0    53,000    3         0          0    53,001
GAP INC            Com    364760108   31.250        538,313        17,226     16,747       479    3     2,619          7    20,714
                                                    518,344        16,587               16,587    2                         16,587
GENERAL
  ELECTRIC CO      Com    369604103   53.000     24,642,668       464,956     91,430   373,526    3   134,609     34,650   676,169
                                                  1,281,040        24,459               24,459    2                         24,459
GENERAL MILLS INC  Com    370334104   38.250        914,175        23,900      1,000    22,900    3     2,600          0    43,300
GENERAL
  MOTORS CORP      Com    370442105   58.062        778,321        13,405      2,936    10,469    3     3,440        666    73,105
                                                    680,572        11,734               11,734    2                         11,734
GILLETTE CO        Com    375766102   34.937      2,389,097        68,383     59,462     8,921    3    16,460         23    94,722
                                                  2,054,325        58,800               58,800    2                         58,800
GTE CORPORATION    Com    362320103   62.250      4,392,422        70,561     11,997    58,564    3     4,357        954   225,068
                                                    868,637        13,954               13,954    2                         13,954
HARTFORD
  FINANCIAL SERVIC Com    416515104   55.937        679,578        12,149     12,050        99    3       649          0    33,043
                                                  1,042,395        18,635               18,635    2                         18,635
HASBRO INC         Com    418056107   15.062         26,720         1,774      1,574       200    3     1,574          0    19,528
                                                    390,688        24,418               24,418    2                         24,418
HCA-THE HEALTHCARE
  COMPAN           Com    404119109   30.375        405,263        13,342     13,234       108    3       742          0    17,703
                                                    646,631        20,986               20,986    2                         20,986
HEALTHSOUTH CORP.  Com    421924101    7.187      2,082,095       289,703    287,346     2,357    3    16,303          0   323,831
                                                  3,577,900       485,139              485,139    2                        485,139
HEWLETT PACKARD    Com    428236103  124.875      2,520,102        20,181     17,381     2,800    3     1,681          0    36,967
                                                  2,231,516        17,870               17,870    2                         17,870
HOME DEPOT         Com    437076102   49.937      2,042,423        40,900     39,750     1,150    3     6,750          0    87,391
                                                  1,873,755        37,522               37,522    2                         37,522
HOME-STAKE
  OIL & GAS COMP   Com    437356108   10.750        757,897        70,502     70,502         0    3    70,502          0         0
HONEYWELL
  INTERNATIONAL I  Com    438516106   33.687        814,754        24,186      9,945    14,241    3     2,076          4    39,871
                                                    862,029        25,589               25,589    2                         25,589
HOST MARRIOTT
  CORP NEW         Com    44107P104    9.375        481,078        51,315          0    51,315    3         0          0   294,803
HOUSEHOLD
  INTERNATIONAL I  Com    441815107   41.562        257,684         6,200      6,200         0    3         0          0    49,923
                                                    383,331         9,223                9,223    2                          9,223
IBP INC            Com    449223106   15.437        481,943        31,220     30,129     1,091    3     2,808         12    34,601
                                                    674,511        43,693               43,693    2                         43,693

</TABLE>

                                       6


<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 7 OF 11                          NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
IDT CORP           Com    448947101   33.937        383,488        11,300          0    11,300    3         0          0    11,300
IMC GLOBAL INC     Com    449669100   13.031        364,503        27,972     27,017       955    3     3,161         11    26,383
                                                    519,844        39,988               39,988    2
IMR GLOBAL
  CORPORATION      Com    45321W106   13.062        283,445        21,700          0    21,700    3         0          0    21,700
INTEL CORP         Com    458140100  133.687      2,201,691        16,469     10,954     5,515    3     3,954          0   110,576
                                                  1,523,904        22,798               22,798    2
INTERIM
  SERVICES INC     Com    45868P100   17.750        230,750        13,000          0    13,000    3         0          0    68,550
INTERNATIONAL
  BUSINESS MA      Com    459200101  109.562      7,740,336        70,648     34,003    36,645    3    59,688      8,000    52,890
                                                  2,295,334        20,950               20,950    2                         20,950
INTERNATIONAL
  PAPER CO         Com    460146103   29.812        184,775         6,198      5,843       355    3     1,130          2    21,818
                                                    234,445         7,864                7,864    2                          7,864
INTERPUBLIC
  GROUP OF COMP    Com    460690100   43.000      6,924,333       161,031     20,631   140,400    3     1,931      1,500   366,057
                                                    898,571        20,897               20,897    2                         20,897
INTERVOICE INC     Com    461142101    6.562        211,953        32,300          0    32,300    3         0          0    32,300
JDA SOFTWARE
  GROUP INC.       Com    46612K108   19.187        268,618        14,000          0    14,000    3         0          0    14,000
JOHNSON & JOHNSON  Com    478160104  101.875      3,233,716        31,742     29,167     2,575    3     9,667          0    50,942
                                                  2,440,212        23,953               23,953    2                         23,953
JONES APPAREL
  GROUP INC        Com    480074103   23.484        448,850        19,113     18,710       403    3     1,609          4    18,690
                                                    654,263        27,841               27,841    2                         27,841
KIMBERLY
  CLARK CORP       Com    494368103   57.375      2,249,100        39,200      3,000    36,200    3     2,700        700   125,506
KNIGHT RIDDER INC  Com    499040103   53.187      1,180,751        22,200      1,000    21,200    3     1,000          0   103,510
LILLY ELI & CO     Com    532457108   99.875        534,331         5,350        550     4,800    3     5,350          0    10,700
LIZ CLAIBORNE      Com    539320101   35.234      1,553,185        44,082     41,213     2,869    3     4,266         16    53,799
                                                  2,543,499        72,156               72,156    2                         72,156
LUBRIZOL CORP      Com    549271104   21.000        700,413        33,353     32,270     1,083    3     3,041         12    33,787
                                                    958,020        45,620               45,620    2                         45,620
LUCENT
  TECHNOLOGIES INC Com    549463107   58.312      2,750,694        47,172     43,427     3,745    3     7,003        452    98,289
                                                  2,453,048        41,754               41,754    2                         41,754
MANULIFE
  FINANCIAL CORPOR Com    56501R106   17.812      1,156,426        64,924     64,924         0    3    64,924          0     4,234
MARRIOTT INTL
  INC NEW COM      Com    571903202   36.062      2,317,056        64,252     29,252    35,000    3       452          0   120,271
                                                  1,090,097        30,228               30,228    2                         30,228
MARSH &
  MCLENNAN CO      Com    571748102  104.437        239,787         2,296          0     2,296    3     2,100          0    11,146
MASCO CORP         Com    574599106   18.062        722,968        40,027     38,663     1,364    3     4,511         16    69,765
                                                  1,260,383        69,779               69,779    2                         69,779
MAYTAG CORPORATION Com    578592107   36.875        217,563         5,900      5,900         0    3         0          0     8,800
                                                    317,125         8,600                8,600    2                          8,600
</TABLE>
                                       7


<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 8 OF 11                          NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
MCCORMICK & CO     Com    579780206   32.500         40,300         1,240          0     1,240    3         0          0    14,962
                                                    520,390        16,012               16,012    2                         16,012
MCDONALDS CORP     Com    580135101   32.937      2,106,683        63,961     59,521     4,440    3     9,439         22    71,043
                                                  1,934,518        58,733               58,733    2                         58,733
MEDTRONIC, INC     Com    585055106   49.812     25,255,979       507,026    178,429   328,597    3   316,194          0   419,778
                                                  1,374,526        27,594               27,594    2                         27,594
MERCK & CO INC     Com    589331107   76.625      5,807,639        75,793     10,300    65,493    3    16,804        240   153,592
                                                    215,316         2,810                2,810    2                          2,810
MICROSOFT CORP     Com    594918104   80.000     14,815,600       185,195     20,034   165,161    3     3,834          0   292,064
                                                  1,497,920        18,724               18,724    2                         18,724
MID-AMERICA
  APARTMENT COM    Com    59522J103   24.031        486,940        20,263      2,600    17,663    3    18,797      1,050    37,416
                                                    251,136        10,464               10,464    2                         10,464
MINNESOTA MINING
  & MANUFA         Com    604059105   83.000        289,089         3,483      1,350     2,133    3     1,750          0     2,607
MORGAN J P & CO    Com    616880100  110.125        405,370         3,681      1,950     1,731    3     1,331          0    10,308
MORGAN KEEGAN INC  Com    617410105   14.750      1,634,064       110,784    110,484       300    3   110,484          0    12,587
MOTOROLA INC       Com    620076109   30.312      3,389,821       111,831     28,528    83,303    3     9,910      1,211   368,904
                                                    800,280        26,676               26,676    2                         26,676
NATIONAL COMMERCE
  BANCORP          Com    635449101   16.062    147,771,444     9,200,065  3,137,951 6,062,114    3 3,546,073    483,450 6,089,114
                                                  5,661,537       352,469              352,469    2                        352,469
NAVISTAR INT'L
  CORP             Com    63934E108   31.062        382,156        12,303     11,886       417    3     1,398          5    15,291
                                                    528,094        17,001               17,001    2                         17,001
NEWELL
  RUBBERMAID INC   Com    651229106   25.750        803,941        31,221     30,387       834    3     5,211         12    44,440
                                                    767,891        29,821               29,821    2                         29,821
NS GROUP           Com     62891610   20.937        492,019        23,500          0    23,500    3         0          0    24,300
ORACLE CORPORATION Com    68389X105   84.062        729,994         8,684      8,554       130    3     8,554          0    48,144
OWENS CORNING      Com    69073F103    9.234        366,063        39,643     37,472     2,171    3     7,018         25    56,232
                                                    683,917        73,937               73,937    2                         73,937
PAREXEL
 INTERNATIONL COR  Com    699462107    9.562        202,714        21,200          0    21,200    3         0          0    21,200
PARKER-HANNIFIN
  CORP             Com    701094104   34.250        950,678        27,757     26,841       916    3     3,046         11    26,345
                                                  1,492,238        43,569               43,569    2                         43,569
PEPSI BOTTLING
  GROUP INC.       Com    713409100   29.187        758,862        26,000          0    26,000    3         0          0   113,000
PEPSICO INC        Com    713448108   44.437      2,925,199        65,828     33,303    32,525    3     5,303          0   236,727
                                                  1,432,665        32,240               32,240    2                         32,240
PFIZER INC         Com    717081103   48.000     22,101,257       460,443     56,873   403,570    3     6,073          0   841,868
                                                  2,797,968        58,291               58,291    2                         58,291
PIONEER NATURAL
  RESOURCES        Com    723787107   12.765        376,567        29,500          0    29,500    3         0          0   305,880


</TABLE>
                                       8


<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 9 OF 11                          NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
PITNEY-BOWES INC   Com    724479100   40.000        266,000         6,650      1,600     5,050    3     1,600          0    21,950
PNC BANK
  CORPORATION      Com    693475105   46.875        886,640        18,915     18,761       154    3     1,015          0    28,991
                                                  1,676,250        35,760               35,760    2                         35,760
PROCTER &
  GAMBLE CO        Com    742718109   56.750        300,775         5,300      2,500     2,800    3     3,500          0    68,962
                                                    469,450         8,200                8,200    2                          8,200
PROVIDENT
  BANKSHARES       Com    743859100   13.500        187,974        13,924     13,399       525    3    13,399          0       525
                                                    180,887        13,399               13,399    2                         13,399
QUANTUM CORP DSSG  Com    747906204    9.687      1,587,777       163,908    158,659     5,249    3    17,148         60   180,031
                                                  2,479,399       255,938              255,938    2                        255,938
RFS HOTEL
  INVESTORS, INC   Com    74955J108   11.781        785,392        66,666      4,000    62,666    3    41,166     10,000   103,350
                                                    223,250        19,000               19,000    2                         19,000
SABRE GROUP
  HOLDINGS INC     Com    785905100   28.500        313,785        11,010     10,634       376    3     1,245          4    10,383
                                                    450,637        15,812               15,812    2                         15,812
SAKS INC           Com    79377W108   10.437        234,144        22,434        164    22,270    3       164          0   359,132
SBC COMMUNICATIONS
  INC              Com    78387G103   44.000      2,350,216        53,414     49,261     4,153    3    25,189      1,171    83,590
                                                  1,952,218        45,138               45,138    2                         45,138
SCHERING-PLOUGH
  CORP             Com    806605101   50.500     63,006,931     1,247,662    473,696   773,966    3   486,309          0 1,886,197
                                                  2,657,664        52,627               52,627    2                         52,627
SOLECTRON CORP     Com    834182107   41.875      1,761,807        42,073     41,573       500    3     3,573          0    41,682
                                                  1,766,041        42,174               42,174    2                         42,174
SOLUTIA INC
  COM STK          Com    834376105   13.750        308,619        22,445     21,678       767    3     2,536          9    25,172
                                                    443,424        32,249               32,249    2                         32,249
SPORT-HALEY INC.   Com    848925103    4.125        268,125        65,000          0    65,000    3         0          0    65,000
SPRINT CORP        Com    852061100   51.000        833,595        16,345        400    15,945    3         0          0   153,992
STORAGE USA INC    Com    861907103   29.531        483,245        16,364      1,780    14,584    3    15,504          0    13,803
                                                    312,906        10,607               10,607    2                         10,607
SUN MICRO SYSTEMS  Com    866810104   90.937        282,996         3,112        322     2,790    3     1,822          0    26,130
SYSCO CORP         Com    871829107   42.125      2,965,600        70,400        400    70,000    3         0          0   271,555
TECUMSEH PRODS
  CO CL A          Com    878895200   38.187        429,566        11,249     10,867       382    3     1,245          4    17,857
                                                    593,396        15,539               15,539    2                         15,539
TELLABS INC        Com    879664100   68.437      1,720,437        25,139     24,539       600    3     2,439          0    28,674
                                                  1,714,702        25,055               25,055    2                         25,055
TENET
  HEALTHCARE CORP  Com    88033G100   27.000      1,647,972        61,036     60,539       497    3     3,436          0    83,566
                                                  3,195,153       118,339              118,339    2                        118,339
TEXACO INC         Com    881694103   53.250        735,383        13,810     11,875     1,935    3     3,106          4    54,514
                                                    735,339        13,793               13,793    2                         13,793

</TABLE>
                                       9




<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 10 OF 10                         NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>
TOYS R US INC      Com    892335100   14.562        399,887        27,461     26,527       934    3     3,150         11    30,653
                                                    602,464        40,845               40,845    2                         40,845
TRICON GLOBAL
  RESTAURANT       Com    895953107   28.250      1,165,652        41,262     23,687    17,575    3     2,356          6   164,304
                                                  1,337,694        47,352               47,352    2                         47,352
TRW INC COM        Com    872649108   43.375        358,147         8,257      7,977       280    3       954          3     8,569
                                                    513,647        11,842               11,842    2                         11,842
UNION PLANTERS
  CORP             Com    908068109   27.937        654,257        23,419      8,535    14,884    3    16,267          0    21,005
UNUMPROVIDENT
  CORP             Com    91529Y106   20.062        473,363        23,595      7,700    15,895    3         0          0    97,804
                                                    297,848        14,846               14,846    2                         14,846
USX-MARATHON
  GROUP COM NE     Com    9029005827  25.062        519,260        20,719     19,915       804    3     2,311        108    44,816
                                                    736,436        29,384               29,384    2                         29,384
V F CORP           Com    918204108   23.812        675,904        28,385     27,480       905    3     3,075         10    26,800
                                                    963,525        40,463               40,463    2                         40,463
VALERO ENERGY
  CORP NEW         Com    91913Y100   31.781         14,206           447          0       447    3       447          0    10,905
                                                    438,952        13,935               13,935    2                         13,935
VERITAS DGC INC    Com    92343P107   26.000        223,600         8,600          0     8,600    3         0          0    15,500
W W GRAINGER       Com    384802104   30.812      1,078,420        35,000          0    35,000    3         0          0    69,600
WAL MART
  STORES, INC.     Com    931142103   57.625        817,123        14,180     11,600     2,580    3    12,200          0    86,563
WALGREEN CO        Com    931422109   32.187        665,370        20,672     14,000     6,672    3    14,000          0    38,552
WASHINGTON
  MUTUAL INC       Com    939322103   28.875      2,886,172        99,954     79,357    20,597    3    59,195          0    63,403
                                                  2,604,506        90,395               90,395    2                         90,395
WASTE MANAGEMENT
  INC NEW          Com    94106L109   19.000        962,692        50,668     19,367    31,301    3     2,435          8   857,563
                                                    547,105        28,795               28,795    2                         28,795
WD-40 CO           Com    929236107   20.750        363,125        17,500          0    17,500    3         0          0    17,900
WELLPOINT HEALTH
  NETWORKS         Com    94973H108   72.437        202,172         2,791      2,763        28    3       191          0     2,807
                                                    335,820         4,636                4,636    2                          4,636
WELLS FARGO & CO
  (NEW)            Com    949746101   38.750      3,403,025        87,820     34,770    53,050    3     3,170      1,400   402,334
                                                  1,373,515        34,994               34,994    2                         34,994
WESTELL
  TECHNOLOGIES INC Com    957541105   15.000        311,850        20,790          0    20,790    3         0          0    20,790
WEYERHAEUSER
  COMPANY          Com    962166104   43.000        175,096         4,072      3,929       143    3       470          2    11,632
                                                    253,442         5,894                5,894    2                          5,894
WHIRLPOOL CORP     Com    963320106   46.625        925,926        19,859     19,189       670    3     2,451          8    22,509
                                                  1,328,680        28,459               28,459    2                         28,459
WORLDCOM INC       Com    98157D106   45.875      8,632,666       188,178     31,826   156,352    3     8,068      1,216   362,965
                                                  1,845,712        40,233               40,233    2                         40,233
WRIGLEY WILLIAM J
  COMPAN           Com    982526105   80.187        537,253         6,700          0     6,700    3     6,700          0         0

</TABLE>
                                      10


<PAGE>

NATIONAL COMMERCE BANCORPORATION
13F AS OF JUNE 30, 2000
<TABLE>
<CAPTION>


FORM 13F
PAGE 11 OF 11                         NAME OF REPORTING MANAGER: NATIONAL COMMERCE BANCORPORATION
ITEM 1:           ITEM 2:  ITEM 3:                  ITEM 4:        ITEM 5:   ITEM 6:   ITEM 7:         ITEM 8:
                                                                             Investment Discretion     Voting Authority
                                                                                       (b) Shared
                                                                                      as Defined
                                                                   Share or             Manager   See
                  Title of Cusip      Market per    Fair Market    Principal            In Inst.  Inst.           (Shared)
Name Of Issuer    Class    Number     Share         Value          Amount    (a) Sole    V          V  (a) Sole (b) Shared (c)None
<S>                <C>    <C>        <C>           <C>             <C>      <C>         <C>       <C>  <C>           <C>    <C>

XEROX CORP         Com    984121103   20.750        241,758        11,651     10,053     1,598    3     1,346          5    42,234
                                                    315,920        15,553               15,553    2                         15,553
XL CAPITAL LTD
  CL A             Com    G98255105   54.125      1,244,875        23,000        500    22,500    3         0      1,000   126,225
</TABLE>
TOTAL FAIR MARKET VALUE                         744,468,347

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