<PAGE> 1
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
EXCHANGE ACT OF 1934 AND RULES THEREUNDER
Securities and Exchange Commission
450 Fifth Street, NW
Washington, D.C. 20549
Report for the Calendar Quarter ended: September 30, 2000
(Please read instructions before preparing form)
If amended report check here: __________
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<S> <C>
NAME OF INSTITUTIONAL INVESTMENT MANAGER: National City Investment Management Co.
BUSINESS ADDRESS: 1900 East 9th Street
Cleveland, Ohio 44114
NAME: John P. Rusin
PHONE NUMBER: (216)575-9741
TITLE (OF PERSON DULY AUTHORIZED TO SUBMIT THIS REPORT): Trust Officer
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ATTENTION: Intentional misstatements or omissions of fact constitute Federal
Criminal Violators. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
The Institutional Investment Manager submitting this form and the
attachments and the person by whom it is signed represent hereby that all
information contained herein is true, correct and complete. It is understood
that all required items, statements and schedules are considered integral parts
of this form and that the submission of any amendment representing that all
unamended items, statements and schedules remain true, correct and complete as
previously submitted.
Pursuant to the requirements of the Securities Exchange Act of 1934,
the undersigned Institutional Investment Manager has caused this report to be
signed on its behalf in the City of Cleveland and State of Ohio on the 1st day
of November, 2000.
National City Investment Management Co.
(Name of Institutional Investment Manager)
John P Rusin
(Manual Signature of Person Duly Authorized
to submit this Report)
Name and 13F file number of ALL Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report).
13F File Number will be assigned to Institutional Investment Managers after they
file their first report.
Name: 13F File No.:
1. National City Investment Management Company 028-04635
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<PAGE> 2
13F Summary Page
Report Summary: National City Investment Management Company 9-30-2000
Number of Other Included Managers: None
----
Form 13F Information Table Entry Total: 949
---
Form 13F Information Table Value Total: 6,272,582,095
-------------
List of Other Included Managers:
Provide a numbered list of the name(s) and form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
(If there are no entries in this list, state "NONE" and omit the column headings
and list entries.)
No. Form 13F File Number Name
________ 28-_______________ ______________________
(Repeat as necessary.)
<PAGE> 3
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 1
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
AMDOCS LTD G02602103 16112398 258315 X 77715 0 180600
EVEREST RE GROUP LTD G3223R108 6603300 133400 X 0 0 133400
GLOBAL CROSSING LTD G3921A100 343294 11074 X 11074 0 0
RENAISSANCERE HOLDINGS LTD G7496G103 6342650 99200 X 0 0 99200
TRANSOCEAN SEDCO FOREX INC G90078109 11818507 201595 X 110555 0 91040
TRANSOCEAN SEDCO FOREX INC G90078109 128975 2200 X 2200 0 0
AUDIOCODES LTD M15342104 3805088 44700 X 1500 0 43200
CHECK POINT SOFTWARE TECH LT M22465104 13860000 88000 X 0 0 88000
ASM INTL N V N07045102 1524863 87135 X 5785 0 81350
QIAGEN NV N72482107 5560750 118000 X 0 0 118000
ADC TELECOMMUNICATIONS INC COM 000886101 37572858 1397228 X 707038 0 690190
ADC TELECOMMUNICATIONS INC COM 000886101 1020513 37950 X 36700 0 1250
ACT MFG INC 000973107 7643475 144900 X 9100 0 135800
AFLAC INC COM 001055102 250935 3917 X 3617 0 300
AGCO CORP 001084102 5000563 421100 X 0 0 421100
AES CORP 00130H105 13249681 193426 X 102926 0 90500
AES CORP 00130H105 32195 470 X 470 0 0
AT&T CORP COM 001957109 2168357 73816 X 61116 50 12650
AT&T CORP COM 001957109 393889 13409 X 13409 0 0
ABBOTT LABS 002824100 1529626 32160 X 31910 0 250
ABBOTT LABS 002824100 249135 5238 X 5238 0 0
ABERCROMBIE & FITCH CO 002896207 4036590 211750 X 6500 0 205250
ABITI-CONSOLIDATED INC 003924107 2395313 255500 X 0 0 255500
BILLITON PLC ORD (GBP) 0056650S4 3896170 987200 X 0 0 987200
ADOBE SYS INC COM 00724F101 14296352 92086 X 43686 0 48400
ADOBE SYS INC COM 00724F101 21735 140 X 140 0 0
ADTRAN INC 00738A106 1253009 29450 X 0 0 29450
ADVANCED MICRO DEVICES 007903107 1574559 66648 X 66648 0 0
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ADVENT SOFTWARE INC 007974108 5069431 72550 X 2900 0 69650
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ALCOA INC 013817101 338941 13390 X 13390 0 0
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CAPITA GROUP PLC ORD (GBP) 0173474S1 4423386 582400 X 0 0 582400
ALLERGAN INC COM 018490102 5665705 67099 X 1599 0 65500
ALLERGAN INC COM 018490102 12666 150 X 150 0 0
ALLETE 018522102 5628600 254400 X 0 0 254400
ALLIANT TECHSYSTEMS INC 018804104 6652125 81000 X 0 0 81000
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SUBTOTALS FOR THIS PAGE 197007429 6239122 1374639 50 4864433
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 2
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
ALLSTATE CORP COM 020002101 369914 10645 X 10645 0 0
ALLSTATE CORP COM 020002101 31692 912 X 912 0 0
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ALLTEL CORP COM 020039103 143465 2749 X 2749 0 0
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DIAGEO PLC ORD (GBP) 0237400S3 9786281 1142900 X 0 0 1142900
AMCORE FINL INC 023912108 4710000 240000 X 29000 0 211000
AMERICAN ELECTRIC POWER CO INC 025537101 321842 8226 X 6906 0 1320
AMERICAN ELECTRIC POWER CO INC 025537101 61270 1566 X 1566 0 0
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AMERICAN EXPRESS CO COM 025816109 93494 1539 X 1539 0 0
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AMERICAN GENERAL CORP 026351106 404430 5185 X 5185 0 0
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AMERICAN HOME PRODS CORP COM 026609107 84449 1493 X 1493 0 0
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AMERICAN INTL GROUP INC COM 026874107 11312044 118218 X 117450 0 768
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ANADARKO PETE CORP COM 032511107 18409 277 X 277 0 0
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ANALOG DEVICES INC COM 032654105 1083639 13125 X 12675 0 450
ANAREN MICROWAVE INC 032744104 5608094 41350 X 1775 0 39575
ANHEUSER BUSCH 035229103 4747349 112196 X 12196 0 100000
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APACHE CORP COM 037411105 7686 130 X 130 0 0
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CMG PLC ORD (GBP) 0384737S7 3141055 150000 X 0 0 150000
ARCH COAL INC 039380100 407000 40700 X 0 0 40700
ARCHSTONE COMMUNITIES TRUST COM 039581103 7726292 314550 X 27550 0 287000
ARDEN RLTY INC COM 039793104 6697887 249800 X 25000 0 224800
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 308657346 6499520 2437323 0 4062197
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<PAGE> 4
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 3
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
ARDEN RLTY INC COM 039793104 351250 13100 X 13100 0 0
ARIBA INC 04033V104 5601701 39100 X 0 0 39100
ARKANSAS BEST CORP DEL COM 040790107 3516263 228700 X 0 0 228700
ARMADA MID CAP GROWTH FUND 04208N689 87636610 5225797 X 5105105 0 120692
ARMADA MID CAP GROWTH FUND 04208N689 532545 31756 X 31756 0 0
ARMADA LARGE CAP ULTRA FUND 04208N747 70097651 3412739 X 3372467 0 40271
ARMADA LARGE CAP ULTRA FUND 04208N747 1603525 78068 X 74626 0 3443
ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 2443060 229611 X 0 0 229611
ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 10291381 1144759 X 1133497 0 11262
ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 853120 94896 X 94896 0 0
ARMADA MONEY MARKET FUND 042086108 24250 24250 X 24250 0 0
ARMADA TAX MANAGED EQUITY FD #233 042086330 7187890 491312 X 485447 4626 1238
ARMADA SMALL CAP GROWTH FUND #519 042086579 131877885 8791859 X 8644163 6371 141325
ARMADA SMALL CAP GROWTH FUND #519 042086579 789999 52667 X 51989 0 677
ARMADA CORE EQUITY FUND #681 042086595 123334175 7870720 X 7870720 0 0
ARMADA INTERNATIONAL EQUITY FD 042086629 331620804 24205898 X 24017229 16653 172016
ARMADA INTERNATIONAL EQUITY FD 042086629 1909372 139370 X 118704 0 20666
ARMADA EQUITY INDEX FUND #42 042086645 41317703 3332073 X 3332073 0 0
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ARMADA BOND FD INSTL CL #630 042086686 254670651 26583575 X 26386503 0 197072
ARMADA BOND FD INSTL CL #630 042086686 942101 98340 X 90634 0 7706
ARMADA OHIO TAX EXEMPT BOND FD 042086751 1566550 145726 X 122642 0 23084
ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 10691000 1097639 X 1097639 0 0
ARMADA INTERMEDIATE BD FUND 042086793 29130126 2881318 X 2771090 84773 25455
ARMADA INTERMEDIATE BD FUND 042086793 88700 8773 X 8773 0 0
ARMADA LIMITED MATURITY BOND FD 042086827 9870433 1002074 X 898264 0 103810
ARMADA LIMITED MATURITY BOND FD 042086827 86432 8775 X 7946 0 829
ARMADA SMALL CAP VALUE FUND #616 042086843 69080765 4148995 X 4142446 6548 0
ARMADA SMALL CAP VALUE FUND #616 042086843 517039 31053 X 24678 0 6375
ARMADA EQUITY INCOME FUND #614 042086868 19411218 1229336 X 1220093 9243 0
ARMADA EQUITY INCOME FUND #614 042086868 421620 26702 X 20216 0 6485
ARMADA EQUITY GROWTH FUND 042086884 85370317 2863815 X 2852513 11302 0
ARMADA EQUITY GROWTH FUND 042086884 897708 30114 X 29041 0 1074
ARTESYN TECHNOLOGIES INC 043127109 3631888 124700 X 0 0 124700
ASSOCIATED BANC CORP COM 045487105 3388613 129090 X 33000 0 96090
ASSOCIATES FIRST CAP CORP COM 046008108 371450 9775 X 9775 0 0
ASSOCIATES FIRST CAP CORP COM 046008108 31616 832 X 832 0 0
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ATLAS AIR INC COM 049164106 232375 5500 X 5500 0 0
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AVERY DENNISON CORP COM 053611109 525429 11330 X 10930 0 400
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SUBTOTALS FOR THIS PAGE 1373139791 96956919 94877169 139516 1940231
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 4
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
AVNET INC COM 053807103 4459131 157150 X 19150 0 138000
AWARE INC MASS 05453N100 3274425 85050 X 3000 0 82050
BP AMOCO PLC-SPONS ADR 055622104 18498749 349033 X 71528 0 277505
BP AMOCO PLC-SPONS ADR 055622104 125345 2365 X 2365 0 0
BMC SOFTWARE INC COM 055921100 2613297 136643 X 107143 0 29500
BMC SOFTWARE INC COM 055921100 159177 8323 X 8023 0 300
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BANK OF AMER CORP 060505104 225213 4300 X 4300 0 0
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BANK NEW YORK INC COM 064057102 680605 12140 X 12140 0 0
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BANKUNITED FINL CORP CL A 06652B103 368750 50000 X 50000 0 0
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BARRETT RES CORP 068480201 6549212 173200 X 0 0 173200
SCOTTISH POWER PLC ORD (GBP) 0690070S2 4742606 617919 X 0 0 617919
BAXTER INTL INC COM 071813109 10360047 129804 X 69304 0 60500
BAXTER INTL INC COM 071813109 313905 3933 X 3933 0 0
VODAFONE GROUP PLC ORD (GBP) 0719210S0 14816838 3666388 X 0 0 3666388
BEA SYS INC 073325102 1557500 20000 X 0 0 20000
BELDEN INC COM 077459105 3588638 151900 X 0 0 151900
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BELLSOUTH CORP COM 079860102 3978310 98840 X 98840 0 0
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THE BERGER GROWTH FUND 084036102 265697 12731 X 12731 0 0
DIMENSION DATA HLDGS PLC ORD (GBP) 0843540S9 987041 100000 X 0 0 100000
BEST BUY INC COM 086516101 7382727 116035 X 61635 0 54400
BEST FOODS 08658U101 312316 4293 X 4293 0 0
BEST FOODS 08658U101 23207 319 X 319 0 0
MARCONI PLC ORD (GBP) 0877431S9 3658066 206415 X 5152 0 201263
ENERGIS PLC ORD (GBP) 0889782S9 1125004 123400 X 0 0 123400
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BIOVAIL CORP 09067J109 4589031 56350 X 0 0 56350
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BOEING CO 097023105 61677 979 X 979 0 0
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BRISTOL MYERS SQUIBB CO COM 110122108 6062733 106131 X 105881 0 250
BROADCOM CORP 111320107 2081625 8540 X 2920 0 5620
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SUBTOTALS FOR THIS PAGE 209726383 9098071 1645048 0 7453023
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 5
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
BROCADE COMMUNICATIONS SYSTEMS INC 111621108 8295400 35150 X 0 0 35150
C H ROBINSON WORLDWIDE INC 12541W100 5703531 101200 X 6400 0 94800
CIGNA CORP COM 125509109 2037262 19514 X 12414 0 7100
CIGNA CORP COM 125509109 563864 5401 X 5401 0 0
CIT GROUP INC 125577106 188370 10764 X 3895 0 6869
CNA FINL CORP COM 126117100 7923488 207150 X 17750 0 189400
C P & L ENERGY INC 12614C106 264802 6352 X 2183 0 4169
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CVS CORPORATION (DEL) 126650100 20748 448 X 448 0 0
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CENTURY ALUM CO 156431108 3060000 244800 X 0 0 244800
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CISCO SYS INC COM 17275R102 4920178 89053 X 87928 0 1125
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SUBTOTALS FOR THIS PAGE 201833699 5116859 2302181 0 2814678
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<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 6
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
CIRRUS LOGIC INC COM 172755100 6869335 170400 X 6000 0 164400
CITIGROUP INC COM 172967101 62466967 1155448 X 329211 0 826237
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COMCAST CORP CL A SPL 200300200 1774826 43354 X 42404 0 950
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COMPUTER ASSOC INTL INC COM 204912109 223241 8863 X 8863 0 0
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CONOCO INC 208251405 202035 7500 X 7500 0 0
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CONVERGYS CORP 212485106 20782886 534608 X 157554 0 377054
CONVERGYS CORP 212485106 435400 11200 X 11200 0 0
COOPER COS INC 216648402 5645850 159600 X 0 0 159600
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SUBTOTALS FOR THIS PAGE 278267779 6721358 2926588 0 3794770
</TABLE>
<PAGE> 6
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 7
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
COOPER INDS INC COM 216669101 911354 25854 X 13454 0 12400
COOPER INDS INC COM 216669101 229407 6508 X 6508 0 0
CORNING INC COM 219350105 12566961 42313 X 23213 0 19100
CORNING INC COM 219350105 99198 334 X 334 0 0
CORVIS CORPORATION 221009103 213665 3500 X 15 0 3485
COSINE COMMUNICATIONS INC 221222102 1111260 20000 X 7 0 19993
COSTCO WHSL CORP NEW 22160K105 26230996 750787 X 297221 0 453566
COSTCO WHSL CORP NEW 22160K105 976517 27950 X 27350 0 600
CROSS TIMBERS OIL CO COM 227573102 4927478 256800 X 8250 0 248550
CULLEN FROST BANKERS INC COM 229899109 5955625 183250 X 11700 0 171550
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CYTYC CORP COM 232946103 6475219 150150 X 3000 0 147150
DEAN FOODS CO COM 242361103 2493750 75000 X 0 0 75000
DEERE & CO COM 244199105 2000786 60174 X 2934 0 57240
DEERE & CO COM 244199105 8878 267 X 267 0 0
DELL COMPUTER CORP COM 247025109 6261602 203213 X 150673 0 52540
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DISNEY WALT CO 254687106 1062968 27790 X 25590 300 1900
DISNEY WALT CO 254687106 90117 2356 X 2356 0 0
DIVERSA CORP 255064107 2795850 103550 X 3300 0 100250
DOMINION RES INC VA NEW 25746U109 14507912 249865 X 21650 0 228215
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DREYFUS 26200C502 753271 19241 X 19241 0 0
DU PONT E I DE NEMOURS & CO COM 263534109 739261 17840 X 17840 0 0
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DUKE ENERGY CORP COM 264399106 35758 417 X 417 0 0
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ENSCO INTL INC COM 26874Q100 3249338 84950 X 84950 0 0
E TRADE GROUP INC 269246104 2020230 122900 X 0 0 122900
EAGLE BANCSHARES INC COM 26942C109 212500 20000 X 20000 0 0
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SUBTOTALS FOR THIS PAGE 175030142 4100055 1479069 300 2620686
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 8
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
ECOLAB INC COM 278865100 2589756 71812 X 71612 0 200
ECOLAB INC COM 278865100 5337 148 X 148 0 0
EFFICIENT NETWORKS INC 282056100 1708935 45800 X 0 0 45800
EL PASO ELEC CO COM NEW 283677854 5334498 387400 X 0 0 387400
EL PASO ENERGY CORP COM 283905107 642317 10423 X 4383 0 6040
ELAN PLC ADR 284131208 5475000 100000 X 0 0 100000
EL DORADO BANCHSHARES INC 28467W106 405625 55000 X 55000 0 0
ELECTRONIC DATA SYS CORP NEW COM 285661104 252694 6089 X 6089 0 0
ELECTRONIC DATA SYS CORP NEW COM 285661104 44115 1063 X 1063 0 0
ELECTRONICS BOUTIQUE HLDGS C 286045109 3794750 176500 X 5600 0 170900
EMBARCADERO TECHNOLOGIES INC 290787100 2853881 55550 X 1700 0 53850
EMERSON ELEC CO COM 291011104 590002 8806 X 8806 0 0
EMERSON ELEC CO COM 291011104 435232 6496 X 6496 0 0
ENDOCARE INC 29264P104 4456588 225650 X 7100 0 218550
ENRON CORP COM 293561106 3037959 34670 X 30070 0 4600
ENRON CORP COM 293561106 343140 3916 X 3616 0 300
EQUITABLE BK MD 29444Q105 564396 42000 X 42000 0 0
EQUITABLE RESOURCES INC COM 294549100 8245088 130100 X 0 0 130100
ERICSSON L M TEL CO 294821400 5699983 384796 X 15141 0 369655
ESSEX PPTY TR INC 297178105 5581800 100800 X 0 0 100800
EXAR CORP 300645108 9571100 79100 X 5100 0 74000
EXCALIBUR HOLDINGS INC 3006499A0 1 100000 X 100000 0 0
EXTREME NETWORKS INC 30226D106 4299475 37550 X 0 0 37550
EXXON MOBIL CORP 30231G102 108519675 1217612 X 327469 400 889743
EXXON MOBIL CORP 30231G102 2958772 33198 X 32677 0 521
F & M NATL CORP COM 302374103 440495 18025 X 18025 0 0
FPIC INS GROUP INC 302563101 4734800 338200 X 0 0 338200
FPL GROUP INC COM 302571104 245971 3741 X 3741 0 0
FPL GROUP INC COM 302571104 13479 205 X 205 0 0
FREDDIE MAC COM 313400301 28076538 519330 X 240100 0 279230
FREDDIE MAC COM 313400301 1599940 29594 X 29094 0 500
FANNIE MAE COM 313586109 19320730 270220 X 267620 0 2600
FANNIE MAE COM 313586109 2131630 29813 X 29238 0 575
FEDERATED 314184102 335424 30549 X 30549 0 0
FEDEX CORP 31428X106 514787 11610 X 4038 0 7572
FIDELITY SELECT BIOTECHNOLOGY 316390772 2337969 23731 X 23731 0 0
FIFTH THIRD BANCORP 316773100 304017 5643 X 5643 0 0
FIFTH THIRD BANCORP 316773100 28284 525 X 525 0 0
FIRST BELL BANCORP INC 319301107 228750 15000 X 15000 0 0
FIRST CITIZEN BANCSHARES CL-A 31946M103 715630 10000 X 10000 0 0
FIRST DATA CORP COM 319963104 208284 5332 X 5332 0 0
FIRST DATA CORP COM 319963104 19141 490 X 490 0 0
FIRST INDL RLTY TR INC 32054K103 6457500 210000 X 0 0 210000
FIRST MIDWEST BANCORP INC 320867104 5189213 194900 X 37500 0 157400
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SUBTOTALS FOR THIS PAGE 250312701 5031387 1444901 400 3586086
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<PAGE> 7
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 9
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
FIRST HEALTH GROUP CORP 320960107 4692375 145500 X 0 0 145500
FIRST TENN NATL CORP COM 337162101 8246733 403500 X 403500 0 0
FIRST UNION CORP COM 337358105 438465 13622 X 13622 0 0
FIRST UNION CORP COM 337358105 35181 1093 X 1093 0 0
FIRSTAR CORP NEW WIS 33763V109 273803 12237 X 12237 0 0
FIRSTAR CORP NEW WIS 33763V109 25172 1125 X 1125 0 0
FIRSTAR STELLER FDS TREAS FD 33764B102 1366445 1366445 X 1366445 0 0
FIRSTMERIT CORP COM 337915102 642264 28000 X 28000 0 0
FIRSTAR FDS INSTITUTIONAL 337938641 889790 889790 X 889790 0 0
FLEETBOSTON FINL CORP 339030108 1422993 36487 X 12952 0 23535
FLEETBOSTON FINL CORP 339030108 312000 8000 X 8000 0 0
FORD MTR CO DEL 345370860 7924543 313062 X 29716 0 283346
FORTUNE BRANDS INC 349631101 1040258 39255 X 22055 0 17200
FORTUNE BRANDS INC 349631101 240885 9090 X 9090 0 0
FOUNDATION HEALTH SYS INC 350404109 1985025 119400 X 0 0 119400
FOUNDRY NETWORKS INC 35063R100 1158027 17300 X 0 0 17300
GABLES RESIDENTIAL TR 362418105 5619760 206700 X 0 0 206700
GANNETT CO INC COM 364730101 195464 3688 X 3488 0 200
GANNETT CO INC COM 364730101 16960 320 X 320 0 0
GAP INC COM 364760108 830136 41249 X 41249 0 0
GAP INC COM 364760108 19723 980 X 980 0 0
GEMSTAR-TV GUIDE INTL INC 36866W106 11235656 128867 X 68050 0 60817
GENENTECH INC 368710406 928440 5000 X 0 0 5000
GENERAL DYNAMICS CORP COM 369550108 1729619 27536 X 15236 0 12300
GENERAL DYNAMICS CORP COM 369550108 416325 6628 X 6628 0 0
GENERAL ELEC CO COM 369604103 68357165 1184946 X 1162996 0 21950
GENERAL ELEC CO COM 369604103 15660388 271467 X 269867 0 1600
GENERAL GROWTH PPTYS INC COM 370021107 4171565 129600 X 0 0 129600
GENERAL MILLS INC COM 370334104 1474990 41549 X 23349 0 18200
GENERAL MILLS INC COM 370334104 346125 9750 X 9750 0 0
GENERAL MTRS CORP COM 370442105 1405885 21629 X 15129 0 6500
GENERAL MTRS CORP COM 370442105 247065 3801 X 3801 0 0
GILLETTE CO COM 375766102 6259443 202735 X 202735 0 0
GILLETTE CO COM 375766102 666746 21595 X 21099 0 496
GLOBAL MARINE INC COM NEW 379352404 3561431 115350 X 115350 0 0
GOLDEN ST BANCORP INC 381197102 9450000 400000 X 400000 0 0
GOLDEN WEST FINL CORP 381317106 111218 2074 X 2074 0 0
GOLDEN WEST FINL CORP 381317106 227316 4239 X 4239 0 0
GOLDMAN SACHS TR 38141W364 43368609 43368609 X 0 0 43368609
GOLDMAN SACHS FINANCIAL SQUARE 3814999A2 1000000 1000000 X 0 0 1000000
BOUYGUES (EURO) 4002121S5 5683595 90360 X 0 0 90360
GUIDANT CORP COM 401698105 316117 4472 X 4472 0 0
GUIDANT CORP COM 401698105 24387 345 X 345 0 0
ALTRAN TECHNOLOGIES SA (FRF) 4021869S1 207627 876 X 0 0 876
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SUBTOTALS FOR THIS PAGE 214225714 50698271 5168782 0 45529489
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 10
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
AXA ORD (EUR) 4026927S0 325784 2286 X 0 0 2286
HCA-HEALTHCARE CO 404119109 832268 22418 X 7855 0 14563
L'OREAL (EURO) 4057808S9 4342063 60000 X 0 0 60000
LVMH 4061412S9 3854405 49605 X 0 0 49605
RTL GROUP ORD (EUR) 4061490S4 3814241 27000 X 0 0 27000
HALLIBURTON CO COM 406216101 287951 5884 X 5884 0 0
HALLIBURTON CO COM 406216101 24665 504 X 504 0 0
DISETRONIC HLDG AG REG SH ORD (CHF) 4069290S9 4400681 5280 X 0 0 5280
HAMILTON BANCORP INC FLA 407013101 357000 21000 X 21000 0 0
BANCA INTESA SPA ORD (ITL) 4076836S5 4070906 950000 X 0 0 950000
HANCOCK HLDG CO 410120109 355787 11500 X 11500 0 0
JULIUS BAER HLDGS AG -B 4116958S1 8000463 1621 X 37 0 1584
HARLEY DAVIDSON INC COM 412822108 18367962 383665 X 369386 0 14279
HARLEY DAVIDSON INC COM 412822108 1697169 35450 X 34600 0 850
HARMAN INTL INDS INC NEW COM 413086109 4891410 125100 X 0 0 125100
HARRIS CORP COM 413875105 9685983 340600 X 0 0 340600
HARTFORD FINL SVCS GROUP INC COM 416515104 221075 3031 X 2831 200 0
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HAVEN BANCORP INC COM 419352109 440625 15000 X 15000 0 0
HAWAIIAN ELEC INDS INC 419870100 3330563 95500 X 0 0 95500
HENRY JACK & ASSOC INC COM 426281101 4810288 110900 X 0 0 110900
DEN DANSKE BANK ORD (DKK) 4262925S3 4131795 33000 X 0 0 33000
HEWLETT PACKARD CO COM 428236103 15556181 160373 X 107923 0 52450
HEWLETT PACKARD CO COM 428236103 3031929 31257 X 31007 0 250
HIBERNIA CORP COM 428656102 6125000 500000 X 500000 0 0
HIGHLAND BANCORP INC 429879109 1923788 76000 X 76000 0 0
ABN AMRO HLDG STK DIV CPN #31 RTS 4302638S5 0 156000 X 0 0 156000
HIGHWOODS PPTYS INC COM 431284108 4602150 194800 X 0 0 194800
KUDELSKI SA-BEARER ORD (CHF) 4329422S8 3149812 2270 X 0 0 2270
HOME FED BANCORP 436926109 403125 25000 X 25000 0 0
HOME DEPOT INC COM 437076102 27199829 512595 X 505695 0 6900
HOME DEPOT INC COM 437076102 2672518 50365 X 49690 0 675
HOME LN FINL CORP 437183106 70320 10000 X 10000 0 0
HONEYWELL INTL INC 438516106 11087783 311236 X 34592 0 276644
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HOUSEHOLD INTL CORP COM 441815107 331256 5850 X 5850 0 0
HOUSEHOLD INTL CORP COM 441815107 62910 1111 X 1111 0 0
HOLDERBANK FINAN GLARUS-B ORD (CHF) 4420499S3 3777617 3200 X 0 0 3200
AHOLD NV KONINKLIJKE STK DIV CPN #6 4423625S4 0 130000 X 0 0 130000
HUBBELL INC CL B 443510201 1041994 41575 X 20675 0 20900
HUBBELL INC CL B 443510201 270680 10800 X 10800 0 0
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HUNTINGTON BANCSHARES INC COM 446150104 4245 289 X 289 0 0
HYPERION SOLUTIONS CORP 44914M104 3415500 132000 X 0 0 132000
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SUBTOTALS FOR THIS PAGE 163848754 4709415 1902579 200 2806636
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 11
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
IBP INC COM 449223106 2948393 161000 X 0 0 161000
ILLINOIS TOOL WORKS INC COM 452308109 218024 3902 X 3702 0 200
ILLINOIS TOOL WORKS INC COM 452308109 19277 345 X 345 0 0
IMMUNEX CORP NEW 452528102 4189050 96300 X 96300 0 0
IMPERIAL BANCORP COM 452556103 390150 20400 X 20400 0 0
INDEPENDENT BK CORP MICH COM 453838104 930279 53733 X 52300 0 1433
MAYR-MELNHOF KARTON AG ORD (ATS) 4563640S8 3608732 79591 X 1925 0 77666
INFINEON TECHNOLOGIES AG 45662N103 237500 5000 X 0 0 5000
INKTOMI CORP COM 457277101 3978600 34900 X 34900 0 0
INSIGHT ENTERPRISES INC 45765U103 3709406 136125 X 4050 0 132075
INRANGE TECHNOLOGIES CORP 45769V206 795000 15000 X 0 0 15000
INTERGRATED DEVICE TECHNOLOGY COM 458118106 8276225 91450 X 0 0 91450
INTEL CORP COM 458140100 43866380 1055419 X 1037319 0 18100
INTEL CORP COM 458140100 3790712 91204 X 89804 0 1400
INTERNATIONAL BUSINESS MACHS CORP 459200101 43217888 384159 X 300409 0 83750
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INTERNATIONAL PAPER CO COM 460146103 196869 6862 X 6362 0 500
INTERNATIONAL PAPER CO COM 460146103 21516 750 X 750 0 0
INTERPUBLIC GROUP COS INC COM 460690100 1777067 52170 X 3460 0 48710
INTERPUBLIC GROUP COS INC COM 460690100 41625 1222 X 1222 0 0
INTRANET SOLUTIONS INC 460939309 5170000 103400 X 3250 0 100150
INTERWOVEN INC 46114T102 6308915 55800 X 2000 0 53800
INTUIT INC COM 461202103 3551100 62300 X 0 0 62300
INVESTORS FINL SERVICES CORP 461915100 2029469 32150 X 1275 0 30875
IONA TECHNOLOGIES PLC 46206P109 7241900 104200 X 4800 0 99400
NORSK HYDRO AS ORD (NOK) 4645805S4 8249919 191950 X 0 0 191950
JDS UNIPHASE CORP 46612J101 8375059 88449 X 48318 0 40131
JACK IN THE BOX INC 466367109 3018470 140800 X 9900 0 130900
AVENTIS SA ORD (FRF) 4736817S7 11279303 150143 X 2843 0 147300
CIE FINANCIAL RICHEMONT (CHF) 4738211S5 3963445 1400 X 0 0 1400
THE SWATCH GROUP AG-B ORD (CHF) 4762403S3 3835064 2700 X 0 0 2700
SAIPEM ORD (ITL) 4768768S9 4548768 784740 X 0 0 784740
JOHNSON & JOHNSON 478160104 19006757 202333 X 174273 0 28060
JOHNSON & JOHNSON 478160104 1379386 14684 X 14384 0 300
SKANDINAVISKA ENSKILDA BAN-A ORD 4813345S5 3900900 325750 X 0 0 325750
KLA-TENCOR CORP COM 482480100 222539 5403 X 5403 0 0
KLA-TENCOR CORP COM 482480100 8320 202 X 202 0 0
K V PHARMACEUTICAL CO 482740206 3140175 89400 X 3000 0 86400
KAUFMAN & BROAD HOME CORP COM 486168107 2097770 77874 X 574 0 77300
KAUFMAN & BROAD HOME CORP COM 486168107 1482 55 X 55 0 0
KELLOGG CO COM 487836108 267447 11057 X 11057 0 0
KELLOGG CO COM 487836108 11199 463 X 463 0 0
TOTAL SA-B ORD (EUR) 4905413S6 394571 2656 X 0 0 2656
KENT FDS 490563103 156120 156120 X 156120 0 0
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SUBTOTALS FOR THIS PAGE 222712121 4914373 2111627 0 2802746
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 12
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
KEYCORP NEW COM 493267108 8035333 317439 X 317439 0 0
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KEYSPAN CORPORATION 49337W100 242235 6037 X 1641 0 4396
KIMBERLY-CLARK CORP COM 494368103 1423343 25502 X 17202 0 8300
KIMBERLY-CLARK CORP COM 494368103 273986 4909 X 4909 0 0
KING PHARMACEUTICALS INC 495582108 4218204 126150 X 0 0 126150
KNIGHT RIDDER INC COM 499040103 4291056 84448 X 12548 0 71900
KNIGHT RIDDER INC COM 499040103 243547 4793 X 4793 0 0
KOGER EQUITY 500228101 2225300 130900 X 0 0 130900
KOHLS CORP COM 500255104 7915313 137209 X 124909 0 12300
KOHLS CORP COM 500255104 125298 2172 X 2172 0 0
KROGER CO COM 501044101 12651232 560707 X 59007 0 501700
KROGER CO COM 501044101 21390 948 X 948 0 0
LG & E ENERGY CORP COM 501917108 708702 29000 X 16500 0 12500
LG & E ENERGY CORP COM 501917108 158847 6500 X 6500 0 0
LABORATORY CORP AMER HLDGS 50540R409 6107250 51000 X 0 0 51000
BEIERSDORF AG ORD (DEM) 5107401S2 3597938 38000 X 0 0 38000
NOVO-NORDISK A/S -B- ORD (DKK) 5154656S6 10551818 51900 X 0 0 51900
LEAR CORP COM 521865105 3236616 157400 X 0 0 157400
LEHMAN BROTHERS HLDGS INC COM 524908100 8470508 57330 X 5530 0 51800
LEHMAN BROTHERS HLDGS INC COM 524908100 20242 137 X 137 0 0
ABN AMRO HLDG NV ORD (NLG) 5250769S6 4630111 186000 X 0 0 186000
AHOLD-KONINKLIJKE NV ORD (EUR) 5252602S3 3677596 130000 X 0 0 130000
LENNAR CORP COM 526057104 3013332 101500 X 0 0 101500
ENDESA SA ORD (ESP) 5271782S5 3821893 195850 X 0 0 195850
MUENCHENER RUECKVER AG-REG ORD (DEM) 5294121S7 4076141 14886 X 0 0 14886
TELECOM ITALIA SPA ORD (ITL) 5297506S5 187124 15208 X 15208 0 0
LEXMARK INTERNATIONAL INC 529771107 8836163 235631 X 120431 0 115200
LEXMARK INTERNATIONAL INC 529771107 477188 12725 X 12475 0 250
LIFE FINL CORP 53184P101 227129 76500 X 76500 0 0
LIFEPOINT HOSPITALS INC 53219L109 4203200 118400 X 0 0 118400
LIGHTPATH TECHNOLOGIES INC 532257102 3393875 71450 X 2500 0 68950
GN STORE NORD ORD (DKK) 5323274S9 5683901 42370 X 0 0 42370
LILLY ELI & CO COM 532457108 15952745 196644 X 190694 0 5950
LILLY ELI & CO COM 532457108 1166091 14374 X 14149 0 225
DASSAULT SYSTEMS SA ORD (FRF) 5330047S0 5163534 60000 X 0 0 60000
LINEAR TECHNOLOGY CORP COM 535678106 801281 12375 X 4251 0 8124
LINENS N THINGS INC 535679104 2801175 109850 X 0 0 109850
LOCAL FINL CORP 539553107 380000 40000 X 40000 0 0
HEINEKEN NV ORD (NLG) 5455821S7 4921145 96772 X 2281 0 94491
SKANDIA FORSAKRINGS AB ORD (SEK) 5461572S6 4048231 200000 X 0 0 200000
GRETAG IMAGING GROUP (CHF) 5476305S8 3863472 18000 X 0 0 18000
LOWES COS INC COM 548661107 208310 4642 X 4642 0 0
LOWES COS INC COM 548661107 19566 436 X 436 0 0
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SUBTOTALS FOR THIS PAGE 156084347 3746607 1058315 0 2688292
</TABLE>
<PAGE> 9
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 13
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
LUCENT TECHNOLOGIES INC COM 549463107 11792672 385848 X 377810 0 8038
LUCENT TECHNOLOGIES INC COM 549463107 995284 32565 X 32115 0 450
MBNA CORP COM 55262L100 13568209 352421 X 349734 0 2687
MBNA CORP COM 55262L100 1494147 38809 X 37759 0 1050
MDU RES GROUP INC 552690109 7107335 238902 X 302 0 238600
MAS FDS 552913790 16564238 2107409 X 2107409 0 0
MRV COMMUNICATIONS INC 553477100 2934017 64750 X 2500 0 62250
SAN PAOLO-IMI SPA ORD (EUR) 5556575S0 3996671 225000 X 0 0 225000
MACROVISION CORP 555904101 2924100 36100 X 36100 0 0
FRONTLINE LTD ORD (NOK) 5561052S2 3854701 237000 X 0 0 237000
MAHASKA INVT CO COM 559809108 180000 22500 X 22500 0 0
MANAGERS FDS 561717208 1082163 10730 X 10730 0 0
MANUGISTICS GROUP INC 565011103 2561063 26100 X 800 0 25300
MARCHFIRST INC 566244109 1545268 98500 X 4600 0 93900
CONORS DISSC-BROKERS AG 5666344S7 3494774 29780 X 707 0 29073
TECAN GROUP AG-REG ORD (CHF) 5696200S7 3617557 3500 X 0 0 3500
BANCO SANTANDER CENTL HISP ORD (ESP) 5705946S5 5675585 527600 X 0 0 527600
MARSH & MCLENNAN COS INC 571748102 31971643 240841 X 117041 0 123800
MARSH & MCLENNAN COS INC 571748102 1289268 9712 X 9512 0 200
MARSCHOLLEK LAUTENSCHLAEGER & 5720273S7 3407906 28500 X 0 0 28500
SIEMENS AG AKT REGD ORD (DEM) 5727973S5 9547467 60163 X 1534 0 58629
TELEFONICA S A ORD (ESP) 5732524S9 5162154 268817 X 9008 0 259809
MAS FIXED INCOME PARTNERSHIP I 5745629A4 10000000 6 X 6 0 0
MASCO CORP 574599106 2894604 155415 X 31595 0 123820
MASCO CORP 574599106 258999 13906 X 13906 0 0
DEUTSCHE BANK AG REG ORD 5750355S5 8598780 100228 X 2382 0 97846
BAYERISCHE MOTOREN WERKE AG ORD(DEM) 5756029S8 5752960 179650 X 0 0 179650
MAXIM INTEGRATED PRODS INC 57772K101 916511 11394 X 3862 0 7532
MAY DEPT STORES CO 577778103 130893 6385 X 6385 0 0
MAY DEPT STORES CO 577778103 90856 4432 X 4432 0 0
MCDONALDS CORP 580135101 529045 17525 X 16925 0 600
MCDONALDS CORP 580135101 46731 1548 X 1548 0 0
TERRA NETWORKS SA ORD (ESP) 5813720S9 879005 18655 X 433 0 18222
MCLEODUSA INC COM 582266102 1670327 116700 X 116700 0 0
TOMRA SYSTEMS ASA ORD (NOK) 5837010S7 7652999 257200 X 0 0 257200
MEDIA 100 INC 58440W105 2579500 234500 X 8000 0 226500
MEDIMMUNE INC COM 584699102 17925708 232048 X 171299 0 60749
MEDTRONIC INC 585055106 18941071 365566 X 358666 0 6900
MEDTRONIC INC 585055106 1639415 31641 X 31041 0 600
MELLON FINL CORP 58551A108 956484 20625 X 7797 0 12828
MENS WEARHOUSE INC 587118100 6085879 214950 X 0 0 214950
MERCANTILE BANKSHARES CORP 587405101 413786 11400 X 11400 0 0
INFINEON TECHNOLOGIES AG 5889505S0 2053058 31591 X 0 0 31591
MERCK & CO INC 589331107 24426532 328146 X 321696 0 6450
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SUBTOTALS FOR THIS PAGE 249209365 7399058 4228234 0 3170824
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 14
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
MERCK & CO INC 589331107 6943874 93284 X 92784 0 500
MERCURY INTERACTIVE CORP 589405109 9292767 59284 X 57207 0 2077
MERRILL LYNCH & CO INC 590188108 628056 9516 X 9516 0 0
MERRILL LYNCH & CO INC 590188108 55704 844 X 844 0 0
METASOLV SOFTWARE INC 591393103 3791156 92750 X 2900 0 89850
METLIFE INC 59156R108 14523210 554575 X 50175 0 504400
METRIS COS INC 591598107 296250 7500 X 7500 0 0
THIEL LOGISTIK AG 5928776S8 3249435 17000 X 0 0 17000
MICHAELS STORES INC 594087108 5458000 136450 X 4100 0 132350
JOMED NV ORD (CHF) 5946994S6 4258313 70000 X 0 0 70000
MICROSOFT CORP 594918104 43657203 723844 X 709344 0 14500
MICROSOFT CORP 594918104 3061850 50766 X 49991 0 775
MICROCHIP TECHNOLOGY INC 595017104 1515112 45825 X 0 0 45825
MICROMUSE INC 595094103 4370402 21750 X 0 0 21750
MICRON TECHNOLOGY INC 595112103 1039324 22594 X 18494 0 4100
MICRON TECHNOLOGY INC 595112103 28612 622 X 622 0 0
MICROSEMI CORP 595137100 4414875 115800 X 5000 0 110800
MID ATLANTIC MED SVCS INC COM 59523C107 1335538 88300 X 0 0 88300
MID AMER BANCORP COM 595915109 205525 7867 X 7867 0 0
ST MICROELECTRONICS NV ORD (NLG) 5962332S4 4018315 65505 X 0 0 65505
UBS AG - REGD- ORD (CHF) 5962354S7 3637070 25000 X 0 0 25000
VESTAS WIND SYSTEMS A/S ORD (DKK) 5964651S3 3780622 85000 X 0 0 85000
ALCATEL ORD (FRF) 5975006S1 14157623 173000 X 0 0 173000
MIDWEST BANC HLDGS INC 598251106 238000 17000 X 17000 0 0
PHILIPS ELECTRONIC ORD NEW (EUR) 5986622S2 8158972 167469 X 0 0 167469
THOMSON MULTIMEDIA BS 00 BONUS WTS 5988930R7 0 155784 X 0 0 155784
THOMSON MULTIMEDIA ORD (FRF) 5988930S5 9473259 155784 X 0 0 155784
TELEVISION FRANCAISE (TF1) ORD (FRF) 5997118S0 3649502 50000 X 0 0 50000
MILLENNIUM PHARMACEUTICALS INC 599902103 4345374 29750 X 0 0 29750
MINNESOTA MNG & MFG CO 604059105 22719558 249323 X 96773 0 152550
MINNESOTA MNG & MFG CO 604059105 2607086 28610 X 28410 0 200
ANRITSU CORPORATION 6044109S1 4951407 200000 X 0 0 200000
MISSISSIPPI VALLEY BANCSHARES INC 605720101 309756 12000 X 12000 0 0
CHINA TELECOM (HONG KONG) ORD (HKD) 6073556S8 7622364 990785 X 22354 0 968431
MOLECULAR DEVICES CORP 60851C107 4779863 48650 X 1900 0 46750
MOLEX INC 608554101 411878 7566 X 2443 0 5123
NTT MOBILE COMMUNICATIONS ORD (JPY) 6129277S6 15285218 578 X 12 0 566
HSBC HLDGS PLC $.5 ORD (HKD) 6158163S2 9287605 652562 X 16419 0 636143
MORGAN J P & CO INC 616880100 566421 3467 X 3467 0 0
MORGAN J P & CO INC 616880100 110605 677 X 677 0 0
CANON INC (JPY) 6172323S0 6262404 140000 X 0 0 140000
MORGAN STANLEY DEAN WITTER INSTL FD 61744J408 17806869 890343 X 890343 0 0
MORGAN STANLEY DEAN WITTER DISCOVER 617446448 10161596 111131 X 22481 0 88650
MORGAN STANLEY DEAN WITTER DISCOVER 617446448 119235 1304 X 1304 0 0
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SUBTOTALS FOR THIS PAGE 262585808 6379859 2131927 0 4247932
</TABLE>
<PAGE> 10
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 15
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
DBS GROUP HLDGS LTD ORD (SGD) 6175203S8 5786558 478848 X 11073 0 467775
CHUGAI PHARMACEUTICAL LTD ORD (JPY) 6196408S7 7643735 429000 X 0 0 429000
MOTOROLA INC 620076109 13771790 487497 X 322117 0 165380
MOTOROLA INC 620076109 656700 23246 X 22721 0 525
DATACRAFT ASIA LTD ORD (SGD) 6246831S7 5031600 599000 X 0 0 599000
DAIICHI PHARMACEUTICAL ORD (JPY) 6250218S2 6002456 254000 X 0 0 254000
JOHNSON ELECTRIC HLDGS NEW ORD (HKD) 6281939S5 6041862 2882000 X 0 0 2882000
GIORDANO INTL LTD ORD (HKD) 6282040S9 7600600 1708000 X 0 0 1708000
MYRIAD GENETICS INC COM 62855J104 4724713 54700 X 1800 0 52900
ND MELLON NDT STOCK INDEX FUND 628999104 43903798 127496 X 127496 0 0
NRG ENERGY INC 629377102 1460000 40000 X 0 0 40000
NABORS INDS INC 629568106 4380640 83600 X 83600 0 0
NANOMETRICS INC 630077105 4945687 92550 X 3000 0 89550
NATIONAL CITY CORP 635405103 117358279 5304329 X 5201364 0 102965
NATIONAL CITY CORP 635405103 15620 706 X 706 0 0
FURUKAWA ELECTRIC CO LTD ORD (JPY) 6357562S7 9006309 280000 X 0 0 280000
NATIONAL SEMICONDUCTOR CORP COM 637640103 2265713 56291 X 2091 0 54200
NATIONAL SEMICONDUCTOR CORP COM 637640103 7728 192 X 192 0 0
NATURAL MICRO SYSTEMS CORP 638882100 3507564 65200 X 2050 0 63150
NAVIGATOR MONEY MKT FD 639341106 186768 186768 X 186768 0 0
NETSILICON INC 64115X105 2877928 137450 X 10300 0 127150
NETWORK APPLIANCE INC 64120L104 521855 4097 X 4097 0 0
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NEW YORK TIMES CO 650111107 3742991 95210 X 2210 0 93000
NEW YORK TIMES CO 650111107 7823 199 X 199 0 0
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NEXTEL COMMUNICATIONS INC 65332V103 5400934 115528 X 105128 0 10400
NEXTEL COMMUNICATIONS INC 65332V103 109302 2338 X 2338 0 0
NICHOLAS LIMITED EDITION 653738104 745468 32956 X 32956 0 0
NICOR INC 654086107 5609104 154999 X 10499 0 144500
NICOR INC 654086107 1954 54 X 54 0 0
99 CENTS ONLY STORES 65440K106 6025069 120050 X 3900 0 116150
NISOURCE INC 65473P105 633750 26000 X 26000 0 0
NOKIA CORP 654902204 12079822 303414 X 0 0 303414
NOBLE DRILLING CORP 655042109 2819025 56100 X 56100 0 0
NORDSTROM INC 655664100 5343634 343355 X 42955 0 300400
NORDSTROM INC 655664100 33616 2160 X 2160 0 0
NORTEL NETWORKS CORPORATION 656568102 73151048 1228129 X 258788 0 969341
MEITEC CORP ORD (JPY) 6576356S2 5270435 114000 X 0 0 114000
MITSUI FUDOSAN CO LTD ORD (JPY) 6597603S9 3899233 360000 X 0 0 360000
NEC CORP ORD (JPY) 6640400S2 14192080 496194 X 11870 0 484324
NORTHERN TR CORP 665859104 291155 3276 X 3276 0 0
NORTHERN TR CORP 665859104 342524 3854 X 3854 0 0
NORTHROP GRUMMAN CORP 666807102 1637749 18022 X 9722 0 8300
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SUBTOTALS FOR THIS PAGE 403361394 17060408 6551384 0 10509024
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 16
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
NORTHROP GRUMMAN CORP 666807102 397942 4379 X 4379 0 0
NOVELLUS SYS INC 670008101 241476 5186 X 1775 0 3411
OSI PHARMACEUTICALS INC 671040103 2660000 38000 X 1200 0 36800
OBJECTIVE SYS INTEGRATORS INC COM 674424106 2339244 269250 X 8300 0 260950
OCEAN ENERGY INC TEX NEW 67481E106 169818 11000 X 0 0 11000
OCEANFIRST FINL CORP 675234108 622500 30000 X 30000 0 0
SMC CORP ORD (JPY) 6763965S9 5633505 31785 X 1198 0 30587
SANYO ELECTRIC CO LTD ORD (JPY) 6776769S9 9310005 1097000 X 0 0 1097000
SEKISUI HOUSE LTD ORD (JPY) 6793906S8 8117306 800000 X 0 0 800000
OLD KENT FINL CORP 679833103 655735 22660 X 19074 0 3586
SINGAPORE AIRLINES LTD ORD 6811734S6 3182595 330000 X 0 0 330000
OMNICOM GROUP INC 681919106 9438469 129404 X 127404 0 2000
OMNICOM GROUP INC 681919106 742363 10178 X 9903 0 275
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ONE GROUP PRIME MONEY MKT FD CL I 681937405 1871922 1871922 X 1871922 0 0
OPTIMAL ROBOTICS CORP 68388R208 5697388 141550 X 8500 0 133050
ORACLE CORP 68389X105 30371434 385669 X 338919 0 46750
ORACLE CORP 68389X105 527861 6703 X 6703 0 0
TOKIO MARINE & FIRE INS LTD ORD(JPY) 6894768S1 6428755 633000 X 0 0 633000
OWEN & MINOR INC NEW 690732102 5791275 367700 X 0 0 367700
PFF BANCORP INCORPORATED 69331W104 2723100 125200 X 0 0 125200
PE CORP 69332S102 4981074 42756 X 2756 0 40000
PLX TECHNOLOGY INC 693417107 4011094 149250 X 5800 0 143450
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PMI GROUP INC 69344M101 291325 4300 X 0 0 4300
PNC FINANCIAL SVCS GROUP 693475105 2503540 38516 X 21516 0 17000
PNC FINANCIAL SVCS GROUP 693475105 594555 9147 X 9147 0 0
PPL CORPORATION 69351T106 246283 5899 X 2131 0 3768
PACIFIC NORTHWEST BANCORP 69466M103 291105 22500 X 22500 0 0
PACKAGING CORP OF AMERICA 695156109 4957330 448100 X 0 0 448100
PALL CORP 696429307 5136009 257599 X 1599 0 256000
PALL CORP 696429307 2831 142 X 142 0 0
PALM INC 696642107 7119102 134480 X 7188 0 127292
ARMADA ADVANTAGE SMALL 700910201 2977243 158028 X 158028 0 0
ARMADA ADVANTAGE BOND FD 700910409 1383816 147371 X 147371 0 0
ARMADA ADVANTAGE INTERNATIONAL 700910508 8314386 644526 X 644526 0 0
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PAYCHEX INC 704326107 264390 5036 X 5036 0 0
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PEOPLES ENERGY CORP 711030106 282553 8466 X 466 0 8000
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PEPSICO INC 713448108 22890244 497614 X 402164 0 95450
PEPSICO INC 713448108 4733906 102911 X 102911 0 0
PERFORMANCE FOOD GROUP CO 713755106 4330638 115100 X 0 0 115100
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SUBTOTALS FOR THIS PAGE 186337034 10235217 4713348 0 5521869
</TABLE>
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 17
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
PETROLEO BRASILEIRO S.A. ADR 71654V408 2855985 95000 X 0 0 95000
PFIZER INC 717081103 60980417 1356990 X 1272608 0 84382
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PHARMACIA CORP 71713U102 74555177 1238705 X 808472 0 430233
PHARMACIA CORP 71713U102 866707 14400 X 14400 0 0
PHILIP MORRIS COS INC 718154107 1014345 34457 X 34457 0 0
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PHILLIPS PETE CO 718507106 198980 3171 X 3171 0 0
PHILLIPS PETE CO 718507106 18135 289 X 289 0 0
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PINNACLE ENTMT INC 723456109 5863800 269600 X 0 0 269600
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POLYCOM INC 73172K104 1359471 20300 X 0 0 20300
POLYMEDICA INDS INC 731738100 6671350 155600 X 11600 0 144000
PRAXAIR INC 74005P104 7011849 187608 X 18308 0 169300
PRAXAIR INC 74005P104 6802 182 X 182 0 0
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PRIMEX TECHNOLOGIES INC 741597108 3519529 121100 X 0 0 121100
PRIDE INTL INC 741932107 6903250 260500 X 16400 0 244100
PRIORITY HEALTHCARE CORP 74264T102 278313 3650 X 2400 0 1250
PROCTER & GAMBLE CO COM 742718109 8868053 132359 X 132259 0 100
PROCTER & GAMBLE CO COM 742718109 2956107 44121 X 43821 0 300
PROFESSIONAL BANCORP 743112104 168843 22700 X 22700 0 0
PROFESSIONAL DETAILING INC 74312N107 7116450 124850 X 4600 0 120250
PROVIDENT BANKSHARES CORP COM 743859100 738089 44065 X 44065 0 0
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PROVIDIAN FINL CORP 74406A102 719074 5662 X 5662 0 0
PUBLIC SVC ENTERPRISE GROUP INC 744573106 208112 4657 X 4657 0 0
PUBLIC SVC ENTERPRISE GROUP INC 744573106 11172 250 X 250 0 0
PULTE CORP 745867101 3437082 104154 X 554 0 103600
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QUALCOMM INC COM 747525103 31841269 446895 X 255503 0 191392
QUALCOMM INC COM 747525103 619875 8700 X 8400 0 300
QUEST DIAGNOSTICS INC 74834L100 17972719 156625 X 9875 0 146750
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QWEST COMMUNICATIONS INTL INC COM 749121109 33219785 691172 X 268953 0 422219
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R G S ENERGY CORP 74956K104 4772228 169300 X 0 0 169300
RSA SECURITY INC COM 749719100 2449500 56800 X 2000 0 54800
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SUBTOTALS FOR THIS PAGE 375065012 7150089 3668653 0 3481436
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 18
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
RADIAN GROUP INC 750236101 10828350 160420 X 0 0 160420
RADIOSHACK CORP 750438103 40560201 627624 X 225208 0 402416
RADIOSHACK CORP 750438103 1124475 17400 X 17400 0 0
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RAYONIER INC COM 754907103 244378 6800 X 0 100 6700
REALNETWORKS INC 75605L104 3561600 89600 X 0 0 89600
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REGIONS FINL CORP COM 758940100 5735163 252784 X 252784 0 0
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RICHMOND CNTY FINL CORP 764556106 483760 20000 X 20000 0 0
ROBERT HALF INTL INC 770323103 5560486 160300 X 0 0 160300
ROSLYN BANCORP INC 778162107 1120540 50080 X 50080 0 0
T ROWE PRICE 779556109 229341 5117 X 5117 0 0
T ROWE PRICE 779572106 875034 33083 X 33083 0 0
ROYAL DUTCH PETROLEUM CO 780257804 3627388 60519 X 58097 0 2422
ROYAL DUTCH PETROLEUM CO 780257804 526495 8784 X 8784 0 0
SBC COMMUNICATIONS INC COM 78387G103 30708700 614174 X 566934 228 47012
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PUT S & P 500 INDEX 7839819X3 67138033 8214 X 8214 0 0
SDL INC COM 784076101 2165191 7000 X 0 0 7000
SPDR TR 78462F103 11762457 81897 X 56897 0 25000
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SAFEWAY INC COM NEW 786514208 13366214 286288 X 283988 0 2300
SAFEWAY INC COM NEW 786514208 1362496 29183 X 28633 0 550
ST FRANCIS CAPITAL CORP COM 789374105 615000 40000 X 40000 0 0
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ST PAUL COS INC COM 792860108 12772 259 X 259 0 0
SANMINA CORP COM 800907107 535161 5716 X 1843 0 3873
SAP AKTIENGESELLSCHAFT 803054204 7380000 120000 X 0 0 120000
SARA LEE CORP COM 803111103 10612446 522446 X 53546 0 468900
SARA LEE CORP COM 803111103 289095 14232 X 14232 0 0
SCHERING-PLOUGH CORP COM 806605101 15760989 338946 X 330846 0 8100
SCHERING-PLOUGH CORP COM 806605101 1273077 27378 X 26978 0 400
SCHLUMBERGER LTD COM 806857108 66279992 805219 X 343168 0 462051
SCHLUMBERGER LTD COM 806857108 6743575 81926 X 81426 0 500
SCHOOL SPECIALTY INC 807863105 3382373 158700 X 0 0 158700
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SUBTOTALS FOR THIS PAGE 388870997 6035933 2963567 328 3072038
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<PAGE> 12
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 19
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
CHARLES SCHWAB CORP NEW 808513105 590596 16637 X 16637 0 0
CHARLES SCHWAB CORP NEW 808513105 55416 1561 X 1561 0 0
SCIENTIFIC ATLANTA INC COM 808655104 3320971 52196 X 1896 0 50300
SCIENTIFIC ATLANTA INC COM 808655104 11071 174 X 174 0 0
SEAGATE TECHNOLOGY COM 811804103 188163 2727 X 2727 0 0
SEAGATE TECHNOLOGY COM 811804103 17526 254 X 254 0 0
SEAGRAM LTD COM 811850106 308959 5379 X 5379 0 0
SEAGRAM LTD COM 811850106 28374 494 X 494 0 0
SEARS ROEBUCK & CO CAP 812387108 199740 6161 X 6161 0 0
SEARS ROEBUCK & CO CAP 812387108 33555 1035 X 1035 0 0
SECOND BANCORP INC COM 813114105 141250 10000 X 10000 0 0
SEPRACOR INC COM 817315104 3447533 28100 X 0 0 28100
SEQUENOM INC 817337108 4086125 97000 X 2900 0 94100
SHERWIN WILLIAMS CO COM 824348106 5746925 268862 X 28262 0 240600
SHERWIN WILLIAMS CO COM 824348106 4125 193 X 193 0 0
SICOR INC 825846108 4634538 452150 X 27600 0 424550
SHORT TERM FDS 825993900 445358 445358 X 445358 0 0
SIEBEL SYS INC 826170102 4272304 38381 X 5355 0 33026
SIERRA WIRELESS INC 826516106 4830825 78550 X 2600 0 75950
SILICON IMAGE INC 82705T102 2965154 119500 X 3750 0 115750
SILLICON VY BANCSHARES 827064106 1164680 20000 X 20000 0 0
SKYWEST INC COM 830879102 3054500 59600 X 1800 0 57800
SMITH, CHARLES E RESIDENTIAL RLTY 832197107 6025800 132800 X 0 0 132800
SOLECTRON CORP COM 834182107 354332 7682 X 7332 0 350
SOLECTRON CORP COM 834182107 31134 675 X 675 0 0
SONICWALL INC 835470105 5529000 194000 X 9000 0 185000
SONY CORP AMERN SH NEW 835699307 3532830 35000 X 0 0 35000
SOUTH FINL GROUP INC 837841105 227250 18000 X 18000 0 0
SOUTHERN CO COM 842587107 323147 9962 X 9962 0 0
SOUTHERN CO COM 842587107 25334 781 X 781 0 0
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SOUTHWEST AIRLINES CO COM 844741108 19207667 792069 X 365319 0 426750
SOUTHWEST AIRLINES CO COM 844741108 605668 24976 X 24976 0 0
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SPRINT CORP 852061506 35203 1004 X 1004 0 0
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STATE STR CORP 857477103 1509170 11609 X 11284 0 325
STATE FED FINL CORP COM 857549109 577500 60000 X 60000 0 0
STILWELL FINL INC 860831106 385062 8852 X 3032 0 5820
STRONG CORPORATE BOND FUND 862912102 262496 24952 X 24952 0 0
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SUBTOTALS FOR THIS PAGE 118264613 3815082 1354768 0 2460314
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 20
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
SUMMIT BANCORP COM 866005101 7475184 216672 X 216672 0 0
SUMMIT BANCORP COM 866005101 6969 202 X 202 0 0
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SUN MICROSYSTEMS INC COM 866810104 409559 3508 X 3508 0 0
SUNRISE TELECOM INC 86769Y105 3068585 106500 X 3475 0 103025
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SUNTRUST BKS INC COM 867914103 18331 368 X 368 0 0
SWIFT ENERGY CORP COM 870738101 5133031 123500 X 0 0 123500
SYSCO CORP COM 871829107 219385 4737 X 4737 0 0
SYSCO CORP COM 871829107 17506 378 X 378 0 0
TCF FINL CORP COM 872275102 10994025 292200 X 50000 0 242200
TF FINL CORP COM 872391107 217500 15000 X 15000 0 0
T R W INC COM 872649108 5497984 135335 X 12335 0 123000
T R W INC COM 872649108 180334 4439 X 4439 0 0
TXU CORPORATION 873168108 1759073 44393 X 37506 0 6887
TXU CORPORATION 873168108 47550 1200 X 1200 0 0
TALISMAN ENERGY INC COM 87425E103 12107254 345300 X 21000 0 324300
TANOX INC 87588Q109 3785531 111750 X 3600 0 108150
TARGET CORP 87612E106 4689401 183001 X 81724 0 101277
TARGET CORP 87612E106 100758 3932 X 3932 0 0
TEAM FINANCIAL INC 87815X109 305000 40000 X 40000 0 0
TECH DATA CORP COM 878237106 4988925 116700 X 0 0 116700
TELECOMUNICACOES BRASILEIRAS 879287308 3204563 40500 X 0 0 40500
TELEFONOS DE MEXICO S A SPONSORED 879403780 8510080 160000 X 0 0 160000
TELLABS INC COM 879664100 1340486 28073 X 4923 0 23150
TELLABS INC COM 879664100 21344 447 X 447 0 0
TEMPLETON INSTL FDS INC 880210505 1412504 70169 X 70169 0 0
TENET HEALTHCARE CORP COM 88033G100 15061214 414054 X 23584 0 390470
TENET HEALTHCARE CORP COM 88033G100 12913 355 X 355 0 0
TERADYNE INC COM 880770102 240555 6873 X 2350 0 4523
TEVA PHARMA INDS ADR 881624209 5855040 80000 X 0 0 80000
TEXACO INC COM 881694103 1815240 34576 X 21576 0 13000
TEXACO INC COM 881694103 384878 7331 X 7331 0 0
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TEXAS INSTRS INC COM 882508104 1191072 25241 X 24791 0 450
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TEXTRON INC COM 883203101 164759 3572 X 3572 0 0
TIFFANY & CO NEW COM 886547108 256213 6644 X 2058 0 4586
TIME WARNER INC COM 887315109 26964794 344598 X 337548 0 7050
TIME WARNER INC COM 887315109 2099291 26828 X 26353 0 475
TOO INC 890333107 4092149 172301 X 12301 0 160000
TRIAD HOSPITALS INC 89579K109 6568250 223600 X 0 0 223600
TRIAD GTY INC 895925105 2347275 78900 X 0 0 78900
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SUBTOTALS FOR THIS PAGE 194356790 4480642 1524035 0 2956607
</TABLE>
<PAGE> 13
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 21
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
TRIBUNE CO NEW COM 896047107 187326 4294 X 4294 0 0
TRIBUNE CO NEW COM 896047107 15356 352 X 352 0 0
TUMBLEWEED COMMUNICATION CORP 899690101 2499000 49000 X 1500 0 47500
TUT SYSTEMS 901103101 4017870 46550 X 3150 0 43400
TWEETER HOME ENTMT GROUP INC 901167106 5187312 142850 X 5550 0 137300
TYCO INTL LTD NEW 902124106 46159101 889814 X 732356 0 157458
TYCO INTL LTD NEW 902124106 2949716 56862 X 55712 0 1150
UST INC COM 902911106 1159557 50691 X 26391 0 24300
UST INC COM 902911106 292777 12799 X 12799 0 0
US BANCORP NEW COM 902973106 206775 9089 X 9089 0 0
US BANCORP NEW COM 902973106 19019 836 X 836 0 0
UTI ENERGY CORP 903387108 4533900 101600 X 7000 0 94600
USA ED INC 90390U102 304837 6326 X 2236 0 4090
ULTRAMAR DIAMOND SHAMROCK CO 904000106 873534 34425 X 19525 0 14900
ULTRAMAR DIAMOND SHAMROCK CO 904000106 195388 7700 X 7700 0 0
ULTRA TECH STEPPER INC COM 904034105 3492096 217400 X 0 0 217400
UNILEVER N V 904784709 374854 7769 X 7769 0 0
UNION PLANTERS CORP COM 908068109 6670064 201738 X 201738 0 0
UNION PLANTERS CORP COM 908068109 5389 163 X 163 0 0
UNITED TECHNOLOGIES CORP COM 913017109 11145649 160948 X 160948 0 0
UNITED TECHNOLOGIES CORP COM 913017109 1379806 19925 X 19625 0 300
UNITEDHEALTH GROUP INC 91324P102 653725 6620 X 2379 0 4241
VANGUARD # 93 921913109 721036 20191 X 20191 0 0
VANGUARD TOTAL BOND MARKET 921937108 164698 16909 X 16909 0 0
VANGUARD BD INDEX FD INC 921937306 2127749 219582 X 219582 0 0
VANGUARD 922908108 10233784 77184 X 77184 0 0
VENATOR GROUP INC COM 922944103 3349913 270700 X 0 0 270700
VERITAS DGC INC COM (NEW) 92343P107 5341955 184600 X 11700 0 172900
VERIZON COMMUNICATIONS 92343V104 53728931 1109231 X 360731 0 748500
VERIZON COMMUNICATIONS 92343V104 1250766 25822 X 25822 0 0
VERITAS SOFTWARE CORP COM 923436109 2196740 15470 X 5261 0 10209
VIASAT INC 92552V100 2617875 117000 X 3400 0 113600
VIACOM INC CL B COM 925524308 8523158 145695 X 85095 0 60600
VIACOM INC CL B COM 925524308 101732 1739 X 1739 0 0
VICTORY FDS 926442500 225697 225697 X 225697 0 0
VIGNETTE CORP 926734104 1239813 41500 X 0 0 41500
VITESSE SEMICONDUCTOR CORP COM 928497106 8618537 96905 X 35975 0 60930
VODAFONE GROUP PLC NEW 92857W100 7653450 206850 X 600 0 206250
VOICESTREAM WIRELESS CORP 928615103 6209371 53500 X 0 0 53500
WACHOVIA CORP COM 929771103 143364 2529 X 2529 0 0
WACHOVIA CORP COM 929771103 162751 2871 X 2871 0 0
WAL MART STORES INC 931142103 28595634 594195 X 581845 0 12350
WAL MART STORES INC 931142103 2252683 46809 X 46059 0 750
WALGREEN CO COM 931422109 24671195 650303 X 559543 0 90760
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SUBTOTALS FOR THIS PAGE 262453883 6153033 3563845 0 2589188
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 22
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C>
WALGREEN CO COM 931422109 1807935 47655 X 46905 0 750
WASHINGTON FEDERAL INC COM 938824109 4681950 205800 X 0 0 205800
WASHINGTON MUTUAL INC COM 939322103 367514 9231 X 9231 0 0
WASHINGTON MUTUAL INC COM 939322103 26356 662 X 662 0 0
WELLS FARGO & CO NEW 949746101 1039715 22633 X 22383 0 250
WELLS FARGO & CO NEW 949746101 669960 14584 X 14584 0 0
WESTWOOD ONE INC COM 961815107 1682883 78500 X 78500 0 0
WEYERHAEUSER CO COM 962166104 1097917 27193 X 17093 0 10100
WEYERHAEUSER CO COM 962166104 219236 5430 X 5430 0 0
WHITNEY HLDG CORP COM 966612103 653634 18000 X 18000 0 0
WILLIAMS COS INC DEL COM 969457100 226122 5352 X 5352 0 0
WILLIAMS COS INC DEL COM 969457100 20956 496 X 496 0 0
WIRELESS FACILITIES INC 97653A103 4173727 72350 X 0 0 72350
WORLDGATE COMMUNICATIONS INC 98156L307 4077150 194150 X 7400 0 186750
WORLDCOM INC 98157D106 32323556 1064150 X 351839 0 712311
WORLDCOM INC 98157D106 497755 16387 X 16387 0 0
XCEL ENERGY INC 98389B100 8754547 318347 X 28429 0 289918
XILINX INC COM 983919101 1086068 12684 X 4293 0 8391
XEROX CORP COM 984121103 154818 10278 X 10278 0 0
XEROX CORP COM 984121103 69787 4633 X 4633 0 0
YAHOO! INC COM 984332106 1952951 21461 X 7273 0 14188
ZALE CORP NEW COM 988858106 3418965 105400 X 0 0 105400
ZORAN CORP 98975F101 3841500 78800 X 3800 0 75000
MELLON DT MARKET COMPLETION FUND 990102774 8365991 57393 X 57393 0 0
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SUBTOTALS FOR THIS PAGE 81210993 2391569 710361 0 1681208
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SUBTOTALS FOR COMMON STOCK 6272562095 274932847 150138343 140794 124653707
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<PAGE> 14
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 23
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
B. PREFERRED STOCK INSTR OTHER
PREFERRED STOCK
------------------------------
<S> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 0 0 0 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR PREFERRED STOCK 0 0 0 0 0
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 24
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
C. OTHER INSTR OTHER
OTHER
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C>
DECOR CORP SUB DEB CONV 243590AA4 20000 100000 X 100000 0 0
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SUBTOTALS FOR THIS PAGE 20000 100000 100000 0 0
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SUBTOTALS FOR OTHER 20000 100000 100000 0 0
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<PAGE> 15
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/24/00 AS OF 09/30/00 DEPT ID# 001 PAGE 25
**SUMMARY PAGE FOR: NATIONAL CITY **
CATEGORY MARKET SH/PV SOLE SHARED NONE
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<S> <C> <C> <C> <C> <C>
A. COMMON STOCK 6272562095 274932847 150138343 140794 124653707
B. PREFERRED STOCK 0 0 0 0 0
C. OTHER 20000 100000 100000 0 0
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**GRAND TOTALS** 6272582095 275032847 150238343 140794 124653707
</TABLE>