FIRST NATIONAL BANK OF OMAHA
13F-HR/A, 2000-10-17
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[DESCRIPTION]           FORM 13F
                                                 UNITED STATES
                                       SECURITIES AND EXCHANGE COMMISSION
                                            Washington, D.C.  20549
                                                    FORM 13F
                                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 09/30/2000

Check here if Amendment       [X]             Amendment Number: 1

This Amendment                [ ]             is a restatement
                              [X]             adds new holding entries

Institutional Investment Manager Filing this Report:

Name:       First National Bank of Omaha
Address:    16th and Dodge Streets
            Omaha, Nebraska 68103


13F File Number: 28-00317

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: CRAIG POWERS
Title: FINANCIAL ANALYST
Phone: (402) 633-3485
Signature, Place, and Date of Signing:

CRAIG POWERS    OMAHA, NE    10/13/2000

Report Type     (Check only one)
                [X]            13F HOLDINGS REPORT
                [ ]            13F NOTICE
                [ ]            13F COMBINATION REPORT


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934

<PAGE>

                                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                0
Form 13F Information Table Entry Total:           41
Form 13F Information Table Value Total:           $ 20,974

List of Other Included Managers:

NONE

<TABLE>                                            <C>                         <C>
FORM 13F INFORMATION TABLE
                                   TITLE                   VALUE        SHARES/      SH/ PUT/
  NAME OF ISSUER                   OF CLASS        CUSIP    (X $1000)    PRN AMOUNT   PRN CALL
  SECURITY NAME                    SUBCLASS

  ABBOTT LABS                      COMMON STOCK    002824100         642        13500 SH
  ALLEGHENY ENERGY INC             COMMON STOCK    017361106         344         9000 SH
  AMER GENL CORP                   COMMON STOCK    026351106         390         5000 SH
  BANK ONE CORPORATION             COMMON STOCK    06423A103         498        12900 SH
  BECTON DICKINSON AND CO          COMMON STOCK    075887109         550        20800 SH
  BESTFOODS                        COMMON STOCK    08658U101         466         6400 SH
  BRISTOL MYERS SQUIBB CO          COMMON STOCK    110122108         611        10700 SH
  BURLINGTON RES INC               COMMON STOCK    122014103         339         9200 SH
  COLGATE PALMOLIVE CO             COMMON STOCK    194162103         227         4800 SH
  COMPUWARE CORP                   COMMON STOCK    205638109         302        36100 SH
  DPL INC.                         COMMON STOCK    233293109         446        15000 SH
  DONNELLEY R R AND SON            COMMON STOCK    257867101         422        17200 SH
  EMERSON ELEC CO                  COMMON STOCK    291011104         549         8200 SH
  EXXON MOBIL CORP                 COMMON STOCK    30231G102         472         5300 SH
  FHLMC                            COMMON STOCK    313400301         492         9100 SH
  FNMA                             COMMON STOCK    313586109         558         7800 SH
  FIRST DATA CORP                  COMMON STOCK    319963104         711        18200 SH
  GANNETT CO INC                   COMMON STOCK    364730101         233         4400 SH
  HALLIBURTON CO DEB               COMMON STOCK    406216101         915        18700 SH
  INGERSOLL RAND CO                COMMON STOCK    456866102         484        14300 SH
  IBM CORP                         COMMON STOCK    459200101         720         6400 SH
  INTL FLAVORS & FRAGRANCES        COMMON STOCK    459506101         192        10500 SH
  INTERPUBLIC GROUP COS            COMMON STOCK    460690100         497        14600 SH
  LAFARGE CORP                     COMMON STOCK    505862102         394        18100 SH
  MARSH AND MCLENNAN CO INC.       COMMON STOCK    571748102        1035         7800 SH
  MATTEL INC                       COMMON STOCK    577081102         580        51800 SH
  MOTOROLA INC                     COMMON STOCK    620076109         527        18650 SH
  NCR CORPORATION                  COMMON STOCK    62886E108         692        18300 SH
  NEWELL RUBBERMAID INC            COMMON STOCK    651229106         557        24400 SH
  PARKER-HANNIFIN CORPORATION      COMMON STOCK    701094104         344        10200 SH
  PEPSICO, INC                     COMMON STOCK    713448108         674        14655 SH
  SBC COMMUNICAIONS INC            COMMON STOCK    78387G103         425         8500 SH
  SAFECO CORP                      COMMON STOCK    786429100         376        13800 SH
  SHERWIN-WILLIAMS CO              COMMON STOCK    824348106         504        23600 SH
  SONOCO PRODS CO                  COMMON STOCK    835495102         421        23300 SH
  TXU CORPORATION                  COMMON STOCK    873168108         452        11400 SH
  TEXACO INC                       COMMON STOCK    881694103         567        10800 SH
  UNION PACIFIC CORP               COMMON STOCK    907818108         533        13700 SH
  UNOCAL CORPORATION               COMMON STOCK    915289102         684        19300 SH
  VERIZON COMMUNICATIONS           COMMON STOCK    92343V104         867        17900 SH
  WORLDCOM INC                     COMMON STOCK    98157D106         282         9300 SH

  NAME OF ISSUER                  INVSTMT OTHER         VOTING AUTHORITY
  SECURITY NAME                   DISCRTN MANAGERS      SOLE         SHARED       NONE

  ABBOTT LABS                     SOLE                  13500
  ALLEGHENY ENERGY INC            SOLE                  9000
  AMER GENL CORP                  SOLE                  5000
  BANK ONE CORPORATION            SOLE                  12900
  BECTON DICKINSON AND CO         SOLE                  20800
  BESTFOODS                       SOLE                  6400
  BRISTOL MYERS SQUIBB CO         SOLE                  10700
  BURLINGTON RES INC              SOLE                  9200
  COLGATE PALMOLIVE CO            SOLE                  4800
  COMPUWARE CORP                  SOLE                  36100
  DPL INC.                        SOLE                  15000
  DONNELLEY R R AND SON           SOLE                  17200
  EMERSON ELEC CO                 SOLE                  8200
  EXXON MOBIL CORP                SOLE                  5300
  FHLMC                           SOLE                  9100
  FNMA                            SOLE                  7800
  FIRST DATA CORP                 SOLE                  18200
  GANNETT CO INC                  SOLE                  4400
  HALLIBURTON CO DEB              SOLE                  18700
  INGERSOLL RAND CO               SOLE                  14300
  IBM CORP                        SOLE                  6400
  INTL FLAVORS & FRAGRANCES       SOLE                  10500
  INTERPUBLIC GROUP COS           SOLE                  14600
  LAFARGE CORP                    SOLE                  18100
  MARSH AND MCLENNAN CO INC.      SOLE                  7800
  MATTEL INC                      SOLE                  51800
  MOTOROLA INC                    SOLE                  18650
  NCR CORPORATION                 SOLE                  18300
  NEWELL RUBBERMAID INC           SOLE                  24400
  PARKER-HANNIFIN CORPORATION     SOLE                  10200
  PEPSICO, INC                    SOLE                  14655
  SBC COMMUNICAIONS INC           SOLE                  8500
  SAFECO CORP                     SOLE                  13800
  SHERWIN-WILLIAMS CO             SOLE                  23600
  SONOCO PRODS CO                 SOLE                  23300
  TXU CORPORATION                 SOLE                  11400
  TEXACO INC                      SOLE                  10800
  UNION PACIFIC CORP              SOLE                  13700
  UNOCAL CORPORATION              SOLE                  19300
  VERIZON COMMUNICATIONS          SOLE                  17900
  WORLDCOM INC                    SOLE                  9300
</TABLE>


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