BANKBOSTON CORP
13F-HR, 1999-05-11
NATIONAL COMMERCIAL BANKS
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<PAGE>
 
                                   FORM 13F

               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
                             Washington, DC  20549
                                        
                  Report for the Quarter ended March 31, 1999

         Check here if Amendment [ ]:  This Amendment (Check only one):
         Amendment Number                   [ ]  is a restatement         
                                 ---        [ ]  adds new holdings entries 
                                                                           
                                                                           

                            BankBoston Corporation
             -----------------------------------------------------
             (Institutional Investment Manager Filing this Report)
                                        
     100 Federal Street
  Boston, Massachusetts  02110                               28-251
  ----------------------------                         ------------------
          (Address)                                    (13F File Number:)

 

     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.

       Robert T. Jefferson                 BANKBOSTON CORPORATION
       Comptroller
       BankBoston Corporation
       (617) 434-2457                      By:                               
       --------------------------------        ------------------------------
       (Person signing this form on            Robert T. Jefferson
       behalf of the Reporting Manager)        Comptroller

     Pursuant to the requirements of the Securities Exchange Act of 1934, the
above signed institutional investment manager has caused this Report to be
signed on its behalf in the City of Boston and the Commonwealth of Massachusetts
on the 11th day of May 1999.

 
Report Type (Check only one):

[ X ]   13F HOLDINGS REPORT (Check here only 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
<PAGE>
 
                                 Summary Page
                                        
                        Form 13F BankBoston Corporation



                                Report Summary
                                        
               Number of Other Included Managers:     9    
                                                    -------------

               Information Table Entry Total:       217,131,845
                                                    -------------

               Information Table Value Total:       $ 12,655,205   (thousands)
                                                    -------------


                        List of Other Included Managers
   List of other institutional investment managers with respect to which this
          report is filed, other  than the manager filing this report.

<TABLE> 
<CAPTION> 
    Manager Code     13F File No.           Name
    ------------     ------------  -----------------------
<C>                 <C>           <S> 
         1             28-251      Bank Boston, N.A
         2             28-3494     Burr, Francis
         3             28-3602     Coolidge, Francis L.
         4             28-1930     Fuller, Alfred W., Esq.
         5             28-3488     Grace, Nichols
         6             28-5798     Hammer, Curtis A.
         7             28-1721     Shaw, George T., Esq.
         99            28-251      BankBoston, NA
</TABLE> 
<PAGE>
 
                                                                   PAGE   3     


                            BANKBOSTON CORPORATION
                FORM 13F   FILE NUMBER 28-251   (SEC USE ONLY)
                             QUARTER END 03/31/99
<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 DAIMLER-CHRYSLER AG     AMER  D1668R123         3,066      35,733     SH        DEFINED    01        35,733           0           0

 DAIMLER-CHRYSLER AG     AMER  D1668R123           447       5,210     SH        OTHER      01         3,299           0       1,911

 HELEN OF TROY CORP LTD  COMM  G4388N106            33       2,600     SH        DEFINED    01         2,600           0           0

 HELEN OF TROY CORP LTD  COMM  G4388N106             0           0     SH        OTHER      01             0           0           0

 HELEN OF TROY CORP LTD  COMM  G4388N106           568      43,960     SH        DEFINED    99        18,500           0      25,460

 XL CAP LTD              AMER  G98255105             0           0     SH        DEFINED    01             0           0           0

 XL CAP LTD              AMER  G98255105            84       1,392     SH        OTHER      01         1,392           0           0

 XL CAP LTD              AMER  G98255105           164       2,700     SH        DEFINED    99             0           0       2,700

 SBS BROADCASTING SA     AMER  L8137F102           321      10,000     SH        DEFINED    99             0           0      10,000

 GILAT SATELLITE NETWORK AMER  M51474100             0           0     SH        DEFINED    01             0           0           0

 GILAT SATELLITE NETWORK AMER  M51474100         4,680      78,000     SH        DEFINED    99             0           0      78,000

 ACM GOVT OPPORTUNITY FD MF C  000918102           110      15,025     SH        OTHER      01        15,025           0           0

 AFLAC INC               COMM  001055102           686      12,603     SH        DEFINED    01        12,229           0         374

 AFLAC INC               COMM  001055102         1,095      20,124     SH        OTHER      01         9,774           0      10,350

 AFLAC INC               COMM  001055102         1,418      26,050     SH        DEFINED    99         8,050           0      18,000

 AES CORP                COMM  00130H105            73       1,965     SH        DEFINED    01         1,965           0           0

 AES CORP                COMM  00130H105             0           0     SH        OTHER      01             0           0           0

 AES CORP                COMM  00130H105           531      14,275     SH        DEFINED    99         4,550           0       9,725

 AK STL HLDG CORP        COMM  001547108           206       9,160     SH        DEFINED    01         9,160           0           0

 AK STL HLDG CORP        COMM  001547108           138       6,160     SH        OTHER      01         6,160           0           0

 AMR CORP DEL            COMM  001765106         6,541     111,701     SH        DEFINED    01       110,651           0       1,050

 AMR CORP DEL            COMM  001765106         1,017      17,380     SH        OTHER      01        14,680         400       2,300

 AMR CORP DEL            COMM  001765106           216       3,700     SH        DEFINED    99             0           0       3,700

 AT&T CORP               COMM  001957109        41,244     516,763     SH        DEFINED    01       509,638           0       7,125

 AT&T CORP               COMM  001957109        39,674     497,099     SH        OTHER      01       460,032       8,781      28,286

 AT&T CORP               COMM  001957109            55         700     SH        OTHER      01 03        700           0           0

 AT&T CORP               COMM  001957109            39         500     SH        OTHER      01 05        500           0           0

 AT&T CORP               COMM  001957109         8,020     100,490     SH        DEFINED    99           400           0     100,090

 AT&T CORP               COMM  001957109            63         800     SH        OTHER      99             0           0         800

 AT & T CORP LIBERTY MED COMM  001957208           255       4,857     SH        DEFINED    01         4,701           0         156

 AT & T CORP LIBERTY MED COMM  001957208           106       2,025     SH        OTHER      01         2,025           0           0

 AT & T CORP LIBERTY MED COMM  001957208           289       5,500     SH        DEFINED    99             0           0       5,500

 ABB AB SPONSORED ADR    AMER  00256Q103         3,344     268,900     SH        DEFINED    01       268,900           0           0

 ABB AB SPONSORED ADR    AMER  00256Q103           595      47,900     SH        OTHER      01        33,200       4,700      10,000

 ABB AB SPONSORED ADR    AMER  00256Q103            27       2,250     SH        DEFINED    99         1,400           0         850

 ABBOTT LABS             COMM  002824100        71,510   1,527,594     SH        DEFINED    01     1,507,410         400      19,784

 ABBOTT LABS             COMM  002824100        58,695   1,253,847     SH        OTHER      01     1,136,300      21,500      96,047

 ABBOTT LABS             COMM  002824100        10,776     230,200     SH        DEFINED    99        30,000           0     200,200

 ACXIOM CORP COM         COMM  005125109            15         600     SH        DEFINED    01           600           0           0

 ACXIOM CORP COM         COMM  005125109           235       8,900     SH        OTHER      01           900           0       8,000

 ACXIOM CORP COM         COMM  005125109             0           0     SH        DEFINED    99             0           0           0

 AEGON N V ORD AMER REG  AMER  007924103           305       3,397     SH        DEFINED    01         2,342           0       1,055

 AEGON N V ORD AMER REG  AMER  007924103           897       9,982     SH        OTHER      01         7,358           0       2,624

 AETNA INC               COMM  008117103         1,069      12,886     SH        DEFINED    01        12,636           0         250

 AETNA INC               COMM  008117103         2,455      29,582     SH        OTHER      01        27,092       1,200       1,290

</TABLE> 
<PAGE>
 
                                                                   PAGE   4     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 AFFLTED COMPUTER SVCS I COMM  008190100             0           0     SH        DEFINED    01             0           0           0

 AFFLTED COMPUTER SVCS I COMM  008190100           343       7,500     SH        OTHER      01             0           0       7,500

 AIR PRODS & CHEMS INC   COMM  009158106         8,359     244,083     SH        DEFINED    01       239,183           0       4,900

 AIR PRODS & CHEMS INC   COMM  009158106         6,601     192,742     SH        OTHER      01       179,596       2,000      11,146

 AIR PRODS & CHEMS INC   COMM  009158106           685      20,000     SH        DEFINED    99        20,000           0           0

 AIRTOUCH COMMUNICATIONS COMM  00949T100        19,322     199,970     SH        DEFINED    01       196,432           0       3,538

 AIRTOUCH COMMUNICATIONS COMM  00949T100        14,071     145,633     SH        OTHER      01       131,259       3,866      10,508

 AIRTOUCH COMMUNICATIONS COMM  00949T100           106       1,100     SH        DEFINED    01 02      1,100           0           0

 AIRTOUCH COMMUNICATIONS COMM  00949T100           154       1,600     SH        OTHER      01 03      1,600           0           0

 AIRTOUCH COMMUNICATIONS COMM  00949T100         2,231      23,099     SH        DEFINED    99         9,274           0      13,825

 ALBERTSONS INC          COMM  013104104           399       7,341     SH        DEFINED    01         7,341           0           0

 ALBERTSONS INC          COMM  013104104         2,092      38,443     SH        OTHER      01        29,262       2,100       7,081

 ALBERTSONS INC          COMM  013104104           751      13,800     SH        DEFINED    99         6,000           0       7,800

 ALCAN ALUM LTD          AMER  013716105           246       9,555     SH        DEFINED    01         9,555           0           0

 ALCAN ALUM LTD          AMER  013716105           162       6,277     SH        OTHER      01         6,277           0           0

 ALCOA INC               COMM  013817101         7,984     193,852     SH        DEFINED    01       193,852           0           0

 ALCOA INC               COMM  013817101         4,547     110,402     SH        OTHER      01       108,602           0       1,800

 ALCOA INC               COMM  013817101            49       1,200     SH        DEFINED    99         1,200           0           0

 ALLAIRE CORP            COMM  016714107           704   1,015,244     SH        DEFINED    01     1,015,244           0           0

 ALLEGHANY CORP DEL      COMM  017175100           445       2,424     SH        OTHER      01         2,424           0           0

 ALLEGHENY ENERGY INC    COMM  017361106         1,978      67,079     SH        DEFINED    01        67,079           0           0

 ALLEGHENY ENERGY INC    COMM  017361106           844      28,617     SH        OTHER      01        27,162         800         655

 ALLEGHENY TELEDYNE INC  COMM  017415100         1,366      72,178     SH        OTHER      01        72,159          19           0

 ALLERGAN INC            COMM  018490102           134       1,530     SH        DEFINED    01         1,530           0           0

 ALLERGAN INC            COMM  018490102            87       1,000     SH        OTHER      01         1,000           0           0

 ALLERGAN INC            COMM  018490102             0           0     SH        DEFINED    99             0           0           0

 ALLIEDSIGNAL INC        COMM  019512102         3,763      76,505     SH        DEFINED    01        76,505           0           0

 ALLIEDSIGNAL INC        COMM  019512102         3,296      67,027     SH        OTHER      01        61,515       4,804         708

 ALLIED WASTE INDS INC P COMM  019589308         1,228      85,060     SH        DEFINED    01        83,560           0       1,500

 ALLIED WASTE INDS INC P COMM  019589308            58       4,050     SH        OTHER      01         3,750           0         300

 ALLIED WASTE INDS INC P COMM  019589308           500      34,650     SH        DEFINED    99        14,500           0      20,150

 ALLMERICA FINL CORP     COMM  019754100           327       5,949     SH        DEFINED    01         5,949           0           0

 ALLMERICA FINL CORP     COMM  019754100           330       5,998     SH        OTHER      01         5,998           0           0

 ALLMERICA FINL CORP     COMM  019754100             0           0     SH        DEFINED    99             0           0           0

 ALLSTATE CORP           COMM  020002101        19,627     529,571     SH        DEFINED    01       520,983       1,200       7,388

 ALLSTATE CORP           COMM  020002101         6,012     162,213     SH        OTHER      01       145,678       1,413      15,122

 ALLSTATE CORP           COMM  020002101           137       3,708     SH        OTHER      01 03      3,708           0           0

 ALLSTATE CORP           COMM  020002101           185       5,000     SH        OTHER      01 04      5,000           0           0

 ALLSTATE CORP           COMM  020002101           537      14,500     SH        DEFINED    99             0           0      14,500

 ALLTEL CORP             COMM  020039103        15,396     246,841     SH        DEFINED    01       193,441           0      53,400

 ALLTEL CORP             COMM  020039103         1,528      24,512     SH        OTHER      01        20,295       1,000       3,217

 ALLTEL CORP             COMM  020039103           324       5,200     SH        DEFINED    99         2,000           0       3,200

 ALZA CORP               COMM  022615108         6,474     169,265     SH        DEFINED    01       112,191           0      57,074

 ALZA CORP               COMM  022615108           331       8,670     SH        OTHER      01         4,670           0       4,000

 ALZA CORP               COMM  022615108           141       3,700     SH        DEFINED    99             0           0       3,700

</TABLE> 
<PAGE>
 
                                                                   PAGE   5     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 AMAZON COM INC          COMM  023135106           551       3,200     SH        DEFINED    01         3,200           0           0

 AMAZON COM INC          COMM  023135106             8          50     SH        OTHER      01            50           0           0

 AMERADA HESS CORP       COMM  023551104           376       7,391     SH        DEFINED    01         6,891           0         500

 AMERADA HESS CORP       COMM  023551104           256       5,034     SH        OTHER      01         4,557           0         477

 AMEREN CORP             COMM  023608102           182       5,031     SH        DEFINED    01         5,031           0           0

 AMEREN CORP             COMM  023608102           370      10,233     SH        OTHER      01        10,233           0           0

 AMERICA ONLINE INC DEL  COMM  02364J104         3,341      22,734     SH        DEFINED    01        22,434           0         300

 AMERICA ONLINE INC DEL  COMM  02364J104         2,041      13,885     SH        OTHER      01        13,685           0         200

 AMERICA ONLINE INC DEL  COMM  02364J104           220       1,500     SH        DEFINED    99           400           0       1,100

 AMERICAN BANKS CONN WAT COMM  024327108            39       2,000     SH        DEFINED    01         2,000           0           0

 AMERICAN BANKS CONN WAT COMM  024327108           187       9,600     SH        OTHER      01         9,600           0           0

 AMERICAN ELEC PWR INC   COMM  025537101           773      19,484     SH        DEFINED    01        17,295           0       2,189

 AMERICAN ELEC PWR INC   COMM  025537101         1,151      29,008     SH        OTHER      01        27,156       1,125         727

 AMERICAN EXPRESS CO     COMM  025816109        16,155     137,200     SH        DEFINED    01       112,381           0      24,819

 AMERICAN EXPRESS CO     COMM  025816109         8,056      68,424     SH        OTHER      01        66,210         704       1,510

 AMERICAN EXPRESS CO     COMM  025816109           105         900     SH        DEFINED    99             0           0         900

 AMERICAN GEN CORP       COMM  026351106           386       5,485     SH        DEFINED    01         5,485           0           0

 AMERICAN GEN CORP       COMM  026351106           767      10,893     SH        OTHER      01        10,893           0           0

 AMERICAN HOME PRODS COR COMM  026609107        97,723   1,497,674     SH        DEFINED    01     1,489,645         240       7,789

 AMERICAN HOME PRODS COR COMM  026609107       103,756   1,590,138     SH        OTHER      01     1,483,228      39,800      67,110

 AMERICAN HOME PRODS COR COMM  026609107           261       4,000     SH        DEFINED    01 02      4,000           0           0

 AMERICAN HOME PRODS COR COMM  026609107            65       1,000     SH        DEFINED    01 04      1,000           0           0

 AMERICAN HOME PRODS COR COMM  026609107           783      12,000     SH        OTHER      01 04     12,000           0           0

 AMERICAN HOME PRODS COR COMM  026609107           313       4,800     SH        OTHER      01 06      4,800           0           0

 AMERICAN HOME PRODS COR COMM  026609107           104       1,600     SH        OTHER      01 07      1,600           0           0

 AMERICAN HOME PRODS COR COMM  026609107           391       6,000     SH        DEFINED    99         6,000           0           0

 AMERICAN HOME PRODS COR COMM  026609107           104       1,600     SH        OTHER      99             0           0       1,600

 AMERICAN HOMEPATIENT IN COMM  026649103            26      20,300     SH        DEFINED    01        20,300           0           0

 AMERICAN INTL GROUP INC COMM  026874107       148,236   1,228,905     SH        DEFINED    01     1,178,573         425      49,907

 AMERICAN INTL GROUP INC COMM  026874107        65,848     545,894     SH        OTHER      01       503,826       5,948      36,120

 AMERICAN INTL GROUP INC COMM  026874107           325       2,700     SH        DEFINED    01 02      2,700           0           0

 AMERICAN INTL GROUP INC COMM  026874107           913       7,575     SH        OTHER      01 04      7,575           0           0

 AMERICAN INTL GROUP INC COMM  026874107           524       4,350     SH        OTHER      01 06      4,350           0           0

 AMERICAN INTL GROUP INC COMM  026874107        20,383     168,983     SH        DEFINED    99        11,766           0     157,216

 AMERICAN INTL GROUP INC COMM  026874107            81         675     SH        OTHER      99             0           0         675

 AMERICAN MGMT SYS INC   COMM  027352103           238       7,000     SH        OTHER      01             0       7,000           0

 AMERICAN PWR CONVERSION COMM  029066107            97       3,615     SH        DEFINED    01         3,615           0           0

 AMERICAN PWR CONVERSION COMM  029066107           663      24,576     SH        OTHER      01        23,076       1,500           0

 AMERICAN PWR CONVERSION COMM  029066107           662      24,525     SH        DEFINED    99         8,950           0      15,575

 AMER TOWER CORP CL A    COMM  029912201         1,472      60,100     SH        DEFINED    01        60,100           0           0

 AMER TOWER CORP CL A    COMM  029912201           183       7,500     SH        OTHER      01             0           0       7,500

 AMER TOWER CORP CL A    COMM  029912201         2,450     100,000     SH        DEFINED    99             0           0     100,000

 AMERICAN STORES CO NEW  COMM  030096101           207       6,300     SH        DEFINED    01         6,300           0           0

 AMERICAN STORES CO NEW  COMM  030096101            66       2,000     SH        OTHER      01         2,000           0           0

 AMERIPATH               COMM  03071D109             4      51,994     SH        DEFINED    01        51,994           0           0

</TABLE> 
<PAGE>
 
                                                                   PAGE   6     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 AMES DEPT STORES INC CO COMM  030789507           233       6,300     SH        OTHER      01         1,000           0       5,300

 AMERITECH CORP NEW      COMM  030954101        12,931     224,402     SH        DEFINED    01       211,556         400      12,446

 AMERITECH CORP NEW      COMM  030954101        12,447     216,017     SH        OTHER      01       196,932       2,624      16,461

 AMERITECH CORP NEW      COMM  030954101           388       6,750     SH        DEFINED    99         5,200           0       1,550

 AMGEN INC COM           COMM  031162100         2,053      27,420     SH        DEFINED    01        27,420           0           0

 AMGEN INC COM           COMM  031162100         4,075      54,428     SH        OTHER      01        47,428       1,400       5,600

 AMGEN INC COM           COMM  031162100         1,797      24,000     SH        DEFINED    99         8,500           0      15,500

 AMP INC                 COMM  031897101        15,966     298,435     SH        DEFINED    01       297,185           0       1,250

 AMP INC                 COMM  031897101        13,778     257,533     SH        OTHER      01       253,514         175       3,844

 AMP INC                 COMM  031897101           933      17,445     SH        DEFINED    99        17,445           0           0

 AMSOUTH BANCORPORATION  COMM  032165102         1,283      28,210     SH        OTHER      01        28,210           0           0

 ANADARKO PETE CORP      COMM  032511107         6,188     163,934     SH        DEFINED    01       161,154           0       2,780

 ANADARKO PETE CORP      COMM  032511107         2,707      71,732     SH        OTHER      01        60,132       1,200      10,400

 ANADARKO PETE CORP      COMM  032511107             0           0     SH        DEFINED    99             0           0           0

 ANALOG DEVICES INC      COMM  032654105        11,825     397,512     SH        DEFINED    01       393,262           0       4,250

 ANALOG DEVICES INC      COMM  032654105         3,574     120,149     SH        OTHER      01       114,569       2,800       2,780

 ANALOG DEVICES INC      COMM  032654105           309      10,400     SH        DEFINED    99           300           0      10,100

 ANDREW CORP             COMM  034425108           114       9,339     SH        DEFINED    01         9,002           0         337

 ANDREW CORP             COMM  034425108            34       2,799     SH        OTHER      01         1,500       1,299           0

 ANGEION CORP            COMM  03462H107             7      10,000     SH        DEFINED    01        10,000           0           0

 ANHEUSER BUSCH COS INC  COMM  035229103        11,152     146,503     SH        DEFINED    01       146,003           0         500

 ANHEUSER BUSCH COS INC  COMM  035229103        12,706     166,922     SH        OTHER      01       156,310       5,700       4,912

 ANHEUSER BUSCH COS INC  COMM  035229103        11,418     150,000     SH        DEFINED    99             0           0     150,000

 AON CORP                COMM  037389103         6,011      95,042     SH        DEFINED    01        95,042           0           0

 AON CORP                COMM  037389103         3,554      56,205     SH        OTHER      01        54,555         450       1,200

 AON CORP                COMM  037389103           332       5,250     SH        DEFINED    99         5,250           0           0

 APEX MORTGAGE CAPITAL I COMM  037564101           189      14,000     SH        DEFINED    01        14,000           0           0

 APPLE COMPUTER INC      COMM  037833100           100       2,800     SH        DEFINED    01         2,800           0           0

 APPLE COMPUTER INC      COMM  037833100           104       2,900     SH        OTHER      01         2,700           0         200

 APPLE COMPUTER INC      COMM  037833100            21         600     SH        DEFINED    99             0           0         600

 APPLIED ANALYTICAL IND  COMM  037939105         2,026     184,269     SH        OTHER      01       184,269           0           0

 APEX PC SOLUTIONS       COMM  037945102             1      10,500     SH        DEFINED    01        10,500           0           0

 APPLIED MATLS INC       COMM  038222105            37         600     SH        DEFINED    01           500           0         100

 APPLIED MATLS INC       COMM  038222105           314       5,100     SH        OTHER      01         5,100           0           0

 APPLIED MATLS INC       COMM  038222105             0           0     SH        DEFINED    99             0           0           0

 ARCHER DANIELS MIDLAND  COMM  039483102           916      62,390     SH        DEFINED    01        60,957           0       1,433

 ARCHER DANIELS MIDLAND  COMM  039483102         1,523     103,699     SH        OTHER      01       101,142         346       2,211

 ARGENTINA FD INC        MF C  040112104             4      53,070     SH        DEFINED    01        53,070           0           0

 ARMCO INC               COMM  042170100            44      10,000     SH        DEFINED    01        10,000           0           0

 ARMCO INC               COMM  042170100             0          32     SH        OTHER      01            32           0           0

 ARMSTRONG WORLD INDS IN COMM  042476101           140       3,101     SH        DEFINED    01         3,101           0           0

 ARMSTRONG WORLD INDS IN COMM  042476101           155       3,441     SH        OTHER      01         3,441           0           0

 ARTHROCARE              COMM  043136100            14      89,457     SH        DEFINED    01        89,457           0           0

 ASCEND COMMUNICATIONS I COMM  043491109         3,643      43,533     SH        DEFINED    01        43,533           0           0

 ASCEND COMMUNICATIONS I COMM  043491109         2,763      33,025     SH        OTHER      01        13,025           0      20,000

</TABLE> 
<PAGE>
 
                                                                   PAGE   7     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 ASCEND COMMUNICATIONS I COMM  043491109            25         300     SH        DEFINED    99           300           0           0

 ASHLAND INC             COMM  044204105            32         800     SH        DEFINED    01           800           0           0

 ASHLAND INC             COMM  044204105           153       3,740     SH        OTHER      01         3,740           0           0

 ASHLAND INC             COMM  044204105           210       5,150     SH        DEFINED    99         3,900           0       1,250

 ASPECT DEV INC          COMM  045234101         2,341     100,691     SH        DEFINED    01        96,691           0       4,000

 ASPECT DEV INC          COMM  045234101           743      31,976     SH        OTHER      01        17,476           0      14,500

 ASPECT DEV INC          COMM  045234101         7,300     314,000     SH        DEFINED    99             0           0     314,000

 AT HOME CORP.           COMM  045919107            23         150     SH        DEFINED    01           150           0           0

 AT HOME CORP.           COMM  045919107           299       1,900     SH        OTHER      01         1,900           0           0

 ASSCTES FIRST CAP CORP  COMM  046008108           767      17,052     SH        DEFINED    01        17,000           0          52

 ASSCTES FIRST CAP CORP  COMM  046008108         1,741      38,696     SH        OTHER      01        35,640         656       2,400

 ASSCTES FIRST CAP CORP  COMM  046008108             0           0     SH        DEFINED    99             0           0           0

 ATLANTIC RICHFIELD CO   COMM  048825103        20,280     277,340     SH        DEFINED    01       276,740           0         600

 ATLANTIC RICHFIELD CO   COMM  048825103        23,509     321,491     SH        OTHER      01       282,331       8,600      30,560

 ATLANTIC RICHFIELD CO   COMM  048825103           175       2,400     SH        DEFINED    99         2,400           0           0

 AUTOMATIC DATA PROCESSI COMM  053015103        54,734   1,322,878     SH        DEFINED    01     1,313,908           0       8,970

 AUTOMATIC DATA PROCESSI COMM  053015103        61,959   1,497,506     SH        OTHER      01     1,417,748      29,866      49,892

 AUTOMATIC DATA PROCESSI COMM  053015103           206       5,000     SH        DEFINED    01 02      5,000           0           0

 AUTOMATIC DATA PROCESSI COMM  053015103            33         800     SH        OTHER      01 07        800           0           0

 AUTOMATIC DATA PROCESSI COMM  053015103         2,176      52,600     SH        DEFINED    99        52,600           0           0

 AVERY DENNISON CORP     COMM  053611109         2,586      44,974     SH        DEFINED    01        42,874           0       2,100

 AVERY DENNISON CORP     COMM  053611109         1,682      29,260     SH        OTHER      01        29,060           0         200

 AVON PRODS INC          COMM  054303102           957      20,354     SH        DEFINED    01        19,754           0         600

 AVON PRODS INC          COMM  054303102           256       5,444     SH        OTHER      01         4,564         800          80

 AXA-UAP SPONSORED ADR   AMER  054536107           978      14,765     SH        DEFINED    01        14,765           0           0

 AXA-UAP SPONSORED ADR   AMER  054536107            44         675     SH        OTHER      01           675           0           0

 AXA-UAP SPONSORED ADR   AMER  054536107            45         680     SH        DEFINED    99           420           0         260

 BEC ENERGY              COMM  05538M101           106       2,900     SH        DEFINED    01         1,400           0       1,500

 BEC ENERGY              COMM  05538M101           220       5,988     SH        OTHER      01         5,188           0         800

 BJS WHSL CLUB INC       COMM  05548J106           131       5,000     SH        OTHER      01             0           0       5,000

 BP AMOCO P L C          AMER  055622104        80,225     794,310     SH        DEFINED    01       788,072         132       6,106

 BP AMOCO P L C          AMER  055622104        68,151     674,763     SH        OTHER      01       633,753       9,541      31,469

 BP AMOCO P L C          AMER  055622104           133       1,323     SH        DEFINED    01 02      1,323           0           0

 BP AMOCO P L C          AMER  055622104           400       3,970     SH        OTHER      01 04      3,970           0           0

 BP AMOCO P L C          AMER  055622104         1,168      11,567     SH        DEFINED    99         8,628           0       2,939

 BMC SOFTWARE INC        COMM  055921100         2,770      74,754     SH        DEFINED    01        71,043         800       2,911

 BMC SOFTWARE INC        COMM  055921100           524      14,150     SH        OTHER      01        13,350           0         800

 BMC SOFTWARE INC        COMM  055921100           185       5,000     SH        DEFINED    99         5,000           0           0

 BAKER FENTRESS & CO     COMM  057213100           213      14,179     SH        DEFINED    01        14,179           0           0

 BAKER HUGHES INC        COMM  057224107         7,999     329,012     SH        DEFINED    01       324,312           0       4,700

 BAKER HUGHES INC        COMM  057224107         1,666      68,530     SH        OTHER      01        68,030           0         500

 BAKER HUGHES INC        COMM  057224107           413      17,000     SH        DEFINED    99           800           0      16,200

 BALTIMORE GAS & ELEC CO COMM  059165100           254      10,036     SH        DEFINED    01         9,886           0         150

 BALTIMORE GAS & ELEC CO COMM  059165100           646      25,465     SH        OTHER      01        24,265       1,200           0

 BANCO BILBAO VIZCAYA SA AMER  059458208            67       4,590     SH        DEFINED    01         4,590           0           0

</TABLE> 
<PAGE>
 
                                                                   PAGE   8     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 BANCO BILBAO VIZCAYA SA AMER  059458208            89       6,120     SH        DEFINED    99         3,800           0       2,320

 BANCO COM PORTUGUES S S AMER  059479303           205       6,940     SH        DEFINED    01         6,940           0           0

 BANCO COM PORTUGUES S S AMER  059479303            29       1,000     SH        OTHER      01         1,000           0           0

 BANCWEST CORP NEW       COMM  059790105           297       7,000     SH        DEFINED    01         7,000           0           0

 BANK NEW YORK INC       COMM  064057102        12,735     354,367     SH        DEFINED    01       350,217           0       4,150

 BANK NEW YORK INC       COMM  064057102         4,540     126,346     SH        OTHER      01       106,162       3,800      16,384

 BANK NEW YORK INC       COMM  064057102            61       1,700     SH        DEFINED    99           200           0       1,500

 BANK ONE CORP NEW COM   COMM  06423A103         4,163      75,623     SH        DEFINED    01        69,903           0       5,720

 BANK ONE CORP NEW COM   COMM  06423A103         3,451      62,679     SH        OTHER      01        56,904           0       5,775

 BANK RHODE ISLAND COM $ COMM  064576101           124      12,000     SH        OTHER      01        12,000           0           0

 BANKAMERICA CORP NEW    COMM  06605F102        83,685   1,184,927     SH        DEFINED    01     1,120,919         878      63,130

 BANKAMERICA CORP NEW    COMM  06605F102        29,048     411,308     SH        OTHER      01       387,216       4,056      20,036

 BANKAMERICA CORP NEW    COMM  06605F102         1,241      17,584     SH        OTHER      01 04     17,584           0           0

 BANKAMERICA CORP NEW    COMM  06605F102         1,338      18,946     SH        DEFINED    99         7,831           0      11,114

 BANKERS TRUST CORP      COMM  066365107         5,709      64,696     SH        DEFINED    01        63,896         300         500

 BANKERS TRUST CORP      COMM  066365107         4,153      47,062     SH        OTHER      01        46,112         200         750

 BANKERS TRUST CORP      COMM  066365107            88       1,000     SH        OTHER      01 04      1,000           0           0

 BARD C R INC            COMM  067383109            80       1,600     SH        DEFINED    01         1,600           0           0

 BARD C R INC            COMM  067383109           241       4,780     SH        OTHER      01         4,100           0         680

 BARD C R INC            COMM  067383109            73       1,450     SH        DEFINED    99             0           0       1,450

 BARNES GROUP INC        COMM  067806109             0           0     SH        DEFINED    01             0           0           0

 BARNES GROUP INC        COMM  067806109           266      14,200     SH        OTHER      01        13,600           0         600

 BAUSCH & LOMB INC       COMM  071707103           294       4,530     SH        DEFINED    01         4,530           0           0

 BAUSCH & LOMB INC       COMM  071707103            96       1,485     SH        OTHER      01         1,485           0           0

 BAXTER INTL INC         COMM  071813109        14,335     217,200     SH        DEFINED    01       212,350           0       4,850

 BAXTER INTL INC         COMM  071813109         4,336      65,711     SH        OTHER      01        56,591       2,350       6,770

 BAXTER INTL INC         COMM  071813109            19         300     SH        DEFINED    99             0           0         300

 BECTON DICKINSON & CO   COMM  075887109         1,011      26,403     SH        DEFINED    01        25,203           0       1,200

 BECTON DICKINSON & CO   COMM  075887109           974      25,436     SH        OTHER      01        19,036       4,800       1,600

 BECTON DICKINSON & CO   COMM  075887109           756      19,750     SH        DEFINED    99         7,300           0      12,450

 BED BATH & BEYOND INC   COMM  075896100        16,367     448,419     SH        DEFINED    01       448,419           0           0

 BED BATH & BEYOND INC   COMM  075896100         1,242      34,035     SH        OTHER      01        34,035           0           0

 BED BATH & BEYOND INC   COMM  075896100        31,108     852,300     SH        DEFINED    99         6,800           0     845,500

 BELDEN INC              COMM  077459105           255      15,000     SH        OTHER      01        15,000           0           0

 BELL ATLANTIC CORP      COMM  077853109        33,342     645,088     SH        DEFINED    01       635,892           0       9,196

 BELL ATLANTIC CORP      COMM  077853109        28,467     550,753     SH        OTHER      01       526,180       9,948      14,625

 BELL ATLANTIC CORP      COMM  077853109            36         706     SH        OTHER      01 05        706           0           0

 BELL ATLANTIC CORP      COMM  077853109            41         800     SH        OTHER      01 07        800           0           0

 BELL ATLANTIC CORP      COMM  077853109         1,094      21,166     SH        DEFINED    99        14,486           0       6,680

 BELLSOUTH CORP          COMM  079860102        35,148     877,338     SH        DEFINED    01       861,976           0      15,362

 BELLSOUTH CORP          COMM  079860102        46,380   1,157,696     SH        OTHER      01     1,095,266      18,140      44,290

 BELLSOUTH CORP          COMM  079860102           194       4,860     SH        OTHER      01 03      4,860           0           0

 BELLSOUTH CORP          COMM  079860102            36         900     SH        OTHER      01 05        900           0           0

 BELLSOUTH CORP          COMM  079860102         2,455      61,300     SH        DEFINED    99        43,600           0      17,700

 BELO A H CORP DEL COM S COMM  080555105        21,461   1,175,968     SH        DEFINED    01     1,175,968           0           0

</TABLE> 
<PAGE>
 
                                                                   PAGE   9     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 BELO A H CORP DEL COM S COMM  080555105       101,948   5,586,243     SH        OTHER      01     5,576,277           0       9,966

 BEMIS INC               COMM  081437105        20,341     654,859     SH        DEFINED    01       654,859           0           0

 BEMIS INC               COMM  081437105         3,052      98,269     SH        OTHER      01        21,094           0      77,175

 BERGEN BRUNSWIG CORP CL COMM  083739102            11         550     SH        DEFINED    01           550           0           0

 BERGEN BRUNSWIG CORP CL COMM  083739102             0           0     SH        OTHER      01             0           0           0

 BERGEN BRUNSWIG CORP CL COMM  083739102           410      20,500     SH        DEFINED    99         7,550           0      12,950

 BERKSHIRE HTHWY INC DEL COMM  084670108         2,784          39     SH        DEFINED    01            39           0           0

 BERKSHIRE HTHWY INC DEL COMM  084670108         9,424         132     SH        OTHER      01           131           0           1

 BERKSHIRE HATHAWAY INC  COMM  084670207        22,571       9,601     SH        DEFINED    01         9,411           0         190

 BERKSHIRE HATHAWAY INC  COMM  084670207        21,443       9,121     SH        OTHER      01         9,017          46          58

 BESTFOODS               COMM  08658U101         9,072     193,027     SH        DEFINED    01       187,757         200       5,070

 BESTFOODS               COMM  08658U101         6,352     135,153     SH        OTHER      01       114,127       6,584      14,442

 BESTFOODS               COMM  08658U101           658      14,000     SH        DEFINED    99        14,000           0           0

 BIOGEN INC              COMM  090597105           218       1,914     SH        DEFINED    01         1,914           0           0

 BIOGEN INC              COMM  090597105            94         825     SH        OTHER      01           825           0           0

 BIOGEN INC              COMM  090597105         1,406      12,300     SH        DEFINED    99         3,650           0       8,650

 BIOMET INC              COMM  090613100         2,471      58,925     SH        DEFINED    01        58,725           0         200

 BIOMET INC              COMM  090613100             8         200     SH        OTHER      01           200           0           0

 BIOMET INC              COMM  090613100        12,371     295,000     SH        DEFINED    99             0           0     295,000

 BIOLASE TECHNOLOGY INC  COMM  090911108            48      18,182     SH        DEFINED    01        18,182           0           0

 BLACK & DECKER CORP     COMM  091797100            74       1,350     SH        DEFINED    01         1,350           0           0

 BLACK & DECKER CORP     COMM  091797100           232       4,200     SH        OTHER      01         2,300         400       1,500

 BLACKROCK MUN TARGET TE MF C  09247M105           125      11,500     SH        DEFINED    01        11,500           0           0

 BLOCK H & R INC         COMM  093671105         3,890      82,130     SH        DEFINED    01        81,530           0         600

 BLOCK H & R INC         COMM  093671105           899      18,984     SH        OTHER      01        17,984           0       1,000

 BOEING CO               COMM  097023105         9,008     264,968     SH        DEFINED    01       259,886           0       5,082

 BOEING CO               COMM  097023105         6,129     180,276     SH        OTHER      01       170,827       4,474       4,975

 BOEING CO               COMM  097023105            27         800     SH        DEFINED    01 04        800           0           0

 BOEING CO               COMM  097023105             0           0     SH        OTHER      01 04          0           0           0

 BOEING CO               COMM  097023105             0           0     SH        DEFINED    99             0           0           0

 BOSTON BIOMEDICA, INC   COMM  100560101             4     120,000     SH        DEFINED    01       120,000           0           0

 BOSTON COMMUNICATIONS G COMM  100582105         1,828     187,548     SH        OTHER      01       187,548           0           0

 BOSTON SCIENTIFIC CORP  COMM  101137107        12,454     306,577     SH        DEFINED    01       301,697       1,000       3,880

 BOSTON SCIENTIFIC CORP  COMM  101137107         2,297      56,560     SH        OTHER      01        53,510         400       2,650

 BOSTON SCIENTIFIC CORP  COMM  101137107           825      20,330     SH        DEFINED    99         2,000           0      18,330

 BRADLEY REAL ESTATE INC COMM  104580105            78       4,370     SH        DEFINED    01         3,845           0         525

 BRADLEY REAL ESTATE INC COMM  104580105           225      12,590     SH        OTHER      01        12,590           0           0

 BRIDGEPORT MACHINE      COMM  108228107            12     195,320     SH        DEFINED    01       195,320           0           0

 BRISTOL MYERS SQUIBB CO COMM  110122108       112,226   1,750,127     SH        DEFINED    01     1,694,939         500      54,688

 BRISTOL MYERS SQUIBB CO COMM  110122108       103,356   1,611,789     SH        OTHER      01     1,526,910      24,744      60,135

 BRISTOL MYERS SQUIBB CO COMM  110122108           961      15,000     SH        OTHER      01 03     15,000           0           0

 BRISTOL MYERS SQUIBB CO COMM  110122108           153       2,400     SH        OTHER      01 05      2,400           0           0

 BRISTOL MYERS SQUIBB CO COMM  110122108           827      12,900     SH        DEFINED    99        12,900           0           0

 BRISTOL MYERS SQUIBB CO COMM  110122108            76       1,200     SH        OTHER      99             0           0       1,200

 BROWNING FERRIS INDS IN COMM  115885105           437      11,342     SH        DEFINED    01         7,242           0       4,100

</TABLE> 
<PAGE>
 
                                                                  PAGE   10     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 BROWNING FERRIS INDS IN COMM  115885105           642      16,650     SH        OTHER      01        14,100       2,550           0

 BURLINGTON NORTHRN SANT COMM  12189T104         1,586      48,253     SH        DEFINED    01        45,653           0       2,600

 BURLINGTON NORTHRN SANT COMM  12189T104         2,285      69,514     SH        OTHER      01        67,825           0       1,689

 BURLINGTON RES INC      COMM  122014103           971      24,335     SH        DEFINED    01        21,941           0       2,394

 BURLINGTON RES INC      COMM  122014103         1,512      37,874     SH        OTHER      01        35,374           0       2,500

 CBS CORP                COMM  12490K107         8,506     208,427     SH        DEFINED    01       208,427           0           0

 CBS CORP                COMM  12490K107        29,191     715,262     SH        OTHER      01       712,962           0       2,300

 CIGNA CORP              COMM  125509109         4,434      52,906     SH        DEFINED    01        51,901           0       1,005

 CIGNA CORP              COMM  125509109         6,521      77,805     SH        OTHER      01        72,855       1,200       3,750

 CIGNA CORP              COMM  125509109            92       1,100     SH        DEFINED    99             0           0       1,100

 CLECO CORP              COMM  12561M107            57       1,950     SH        DEFINED    01         1,950           0           0

 CLECO CORP              COMM  12561M107           234       7,964     SH        OTHER      01         5,864           0       2,100

 CLECO CORP              COMM  12561M107           885      30,000     SH        DEFINED    99        30,000           0           0

 CTG RESOURCES INC       COMM  125957100            14         600     SH        DEFINED    01           600           0           0

 CTG RESOURCES INC       COMM  125957100           242      10,053     SH        OTHER      01         6,507       3,072         474

 CSX CORP                COMM  126408103         2,649      68,051     SH        DEFINED    01        67,325           0         726

 CSX CORP                COMM  126408103         3,870      99,405     SH        OTHER      01        95,345       1,200       2,860

 CSX CORP                COMM  126408103             0           0     SH        DEFINED    01 04          0           0           0

 CSX CORP                COMM  126408103            77       2,000     SH        OTHER      01 04      2,000           0           0

 CSX CORP                COMM  126408103             0           0     SH        DEFINED    99             0           0           0

 CVS CORP COM DEL        COMM  126650100        34,937     735,525     SH        DEFINED    01       670,432         700      64,393

 CVS CORP COM DEL        COMM  126650100         6,810     143,372     SH        OTHER      01       126,972       8,700       7,700

 CVS CORP COM DEL        COMM  126650100            47       1,000     SH        DEFINED    01 02      1,000           0           0

 CVS CORP COM DEL        COMM  126650100            23         500     SH        OTHER      01 04        500           0           0

 CVS CORP COM DEL        COMM  126650100         2,064      43,456     SH        DEFINED    99        18,812           0      24,644

 CABLEVISION SYS CORP CL COMM  12686C109           296       4,000     SH        DEFINED    01         4,000           0           0

 CABLEVISION SYS CORP CL COMM  12686C109            22         300     SH        OTHER      01           300           0           0

 CABLETRON SYS INC       COMM  126920107            48       5,900     SH        DEFINED    01         5,900           0           0

 CABLETRON SYS INC       COMM  126920107            35       4,300     SH        OTHER      01         4,300           0           0

 CABOT CORP              COMM  127055101        24,199   1,138,800     SH        DEFINED    01     1,138,800           0           0

 CABOT CORP              COMM  127055101        19,785     931,100     SH        OTHER      01       931,100           0           0

 CABOT OIL & GAS CORP CL COMM  127097103         3,901     270,232     SH        DEFINED    01       270,232           0           0

 CABOT OIL & GAS CORP CL COMM  127097103         1,181      81,817     SH        OTHER      01        81,817           0           0

 CADBURY SCHWEPPES PLC A AMER  127209302         5,455      93,963     SH        DEFINED    01        93,963           0           0

 CADBURY SCHWEPPES PLC A AMER  127209302         4,033      69,473     SH        OTHER      01        68,848           0         625

 CADBURY SCHWEPPES PLC A AMER  127209302            23         400     SH        DEFINED    99           400           0           0

 CADENCE DESIGN SYS INC  COMM  127387108             0           0     SH        DEFINED    01             0           0           0

 CADENCE DESIGN SYS INC  COMM  127387108           318      12,375     SH        OTHER      01        12,375           0           0

 CALLIBER LEARNING       COMM  129914107             0      17,500     SH        DEFINED    01        17,500           0           0

 CAMBRIDGE TCHNLGY PRTNS COMM  132524109         2,103     151,600     SH        DEFINED    01       150,500           0       1,100

 CAMBRIDGE TCHNLGY PRTNS COMM  132524109           710      51,240     SH        OTHER      01        50,240           0       1,000

 CAMBRIDGE TCHNLGY PRTNS COMM  132524109             0           0     SH        DEFINED    99             0           0           0

 CAMDEN PPTY TR SH BEN I COMM  133131102           340      13,750     SH        DEFINED    01        13,750           0           0

 CAMDEN PPTY TR SH BEN I COMM  133131102           543      21,950     SH        OTHER      01        13,100       2,500       6,350

 CAMPBELL SOUP CO        COMM  134429109         1,510      37,122     SH        DEFINED    01        36,122           0       1,000

</TABLE> 
<PAGE>
 
                                                                  PAGE   11     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 CAMPBELL SOUP CO        COMM  134429109         2,354      57,865     SH        OTHER      01        46,665       6,700       4,500

 CAMPBELL SOUP CO        COMM  134429109             0           0     SH        DEFINED    99             0           0           0

 CANADIAN NATL RY CO     AMER  136375102           218       3,921     SH        DEFINED    01         3,921           0           0

 CANADIAN NATL RY CO     AMER  136375102            13         248     SH        OTHER      01           248           0           0

 CANADIAN NATL RY CO     AMER  136375102           834      15,000     SH        DEFINED    99             0           0      15,000

 CANANDAIGUA BRANDS INC  COMM  137219200            37         750     SH        DEFINED    01           750           0           0

 CANANDAIGUA BRANDS INC  COMM  137219200            10         200     SH        OTHER      01           200           0           0

 CANANDAIGUA BRANDS INC  COMM  137219200           941      18,694     SH        DEFINED    99         6,000           0      12,694

 CAPITAL ONE FINL CORP   COMM  14040H105        17,411     115,310     SH        DEFINED    01       114,610           0         700

 CAPITAL ONE FINL CORP   COMM  14040H105         7,206      47,725     SH        OTHER      01        45,925       1,800           0

 CAPITAL ONE FINL CORP   COMM  14040H105         3,242      21,475     SH        DEFINED    99         7,000           0      14,475

 CARDINAL HEALTH INC     COMM  14149Y108         8,920     135,155     SH        DEFINED    01        96,155           0      39,000

 CARDINAL HEALTH INC     COMM  14149Y108           392       5,953     SH        OTHER      01         4,859         547         547

 CARDINAL HEALTH INC     COMM  14149Y108        11,121     168,500     SH        DEFINED    99         5,625           0     162,875

 CAREY DIVERSIFIED LLC   MAST  14174P105            17         989     SH        DEFINED    01           989           0           0

 CAREY DIVERSIFIED LLC   MAST  14174P105           359      20,349     SH        OTHER      01        20,349           0           0

 CARNIVAL CORPORATION    COMM  143658102           217       4,472     SH        DEFINED    01         4,472           0           0

 CARNIVAL CORPORATION    COMM  143658102           194       4,000     SH        OTHER      01         4,000           0           0

 CARNIVAL CORPORATION    COMM  143658102             9         200     SH        DEFINED    99             0           0         200

 CAROLINA PWR & LT CO    COMM  144141108         3,324      87,926     SH        DEFINED    01        87,926           0           0

 CAROLINA PWR & LT CO    COMM  144141108         1,797      47,534     SH        OTHER      01        45,534           0       2,000

 CARPENTER TECHNOLOGY CO COMM  144285103           120       4,627     SH        DEFINED    01         4,627           0           0

 CARPENTER TECHNOLOGY CO COMM  144285103            33       1,300     SH        OTHER      01         1,300           0           0

 CASTLE (A M) & CO       COMM  148411101           187      15,300     SH        OTHER      01        15,300           0           0

 CATERPILLAR INC         COMM  149123101         3,138      68,311     SH        DEFINED    01        68,311           0           0

 CATERPILLAR INC         COMM  149123101         6,289     136,914     SH        OTHER      01        69,238         900      66,776

 CATERPILLAR INC         COMM  149123101            82       1,800     SH        OTHER      01 06      1,800           0           0

 CENTEX CORP             COMM  152312104            59       1,770     SH        DEFINED    01         1,770           0           0

 CENTEX CORP             COMM  152312104             0           0     SH        OTHER      01             0           0           0

 CENTEX CORP             COMM  152312104         1,271      38,100     SH        DEFINED    99        14,100           0      24,000

 CENTOCOR INC            COMM  152342101         4,832     130,829     SH        DEFINED    01       126,439           0       4,390

 CENTOCOR INC            COMM  152342101           134       3,645     SH        OTHER      01         3,545           0         100

 CENTOCOR INC            COMM  152342101           214       5,800     SH        DEFINED    99             0           0       5,800

 CENTRAL & SOUTH WEST CO COMM  152357109         2,218      94,660     SH        DEFINED    01        94,660           0           0

 CENTRAL & SOUTH WEST CO COMM  152357109         2,571     109,716     SH        OTHER      01       107,016           0       2,700

 CENTRAL FD CDA LTD CL A AMER  153501101            40      10,000     SH        OTHER      01        10,000           0           0

 CENTRAL HUDSON GAS & EL COMM  153609102           214       6,000     SH        DEFINED    01         6,000           0           0

 CENTRAL HUDSON GAS & EL COMM  153609102            96       2,700     SH        OTHER      01         2,700           0           0

 CENTURY TEL ENTERPRISES COMM  156686107        15,219     216,654     SH        DEFINED    01       165,394           0      51,260

 CENTURY TEL ENTERPRISES COMM  156686107           671       9,562     SH        OTHER      01         8,550           0       1,012

 CENTURY TEL ENTERPRISES COMM  156686107            35         500     SH        OTHER      01 04        500           0           0

 CENTURY TEL ENTERPRISES COMM  156686107         3,045      43,349     SH        DEFINED    99        15,312           0      28,037

 CHAMPION ENTERPRISES IN COMM  158496109             0           0     SH        DEFINED    01             0           0           0

 CHAMPION ENTERPRISES IN COMM  158496109           752      38,850     SH        DEFINED    99        14,700           0      24,150

 CHAMPION INTL CORP      COMM  158525105            90       2,200     SH        DEFINED    01         2,200           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   12     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 CHAMPION INTL CORP      COMM  158525105           118       2,889     SH        OTHER      01         2,889           0           0

 CHARTER ONE FINL INC    COMM  160903100        26,754     927,077     SH        DEFINED    01       807,919           0     119,158

 CHARTER ONE FINL INC    COMM  160903100         2,544      88,179     SH        OTHER      01        77,876           0      10,303

 CHARTER ONE FINL INC    COMM  160903100            51       1,773     SH        DEFINED    99         1,773           0           0

 CHASE MANHATTAN CORP NE COMM  16161A108        21,937     269,589     SH        DEFINED    01       267,509           0       2,080

 CHASE MANHATTAN CORP NE COMM  16161A108        14,990     184,214     SH        OTHER      01       160,118       4,036      20,060

 CHASE MANHATTAN CORP NE COMM  16161A108         1,908      23,456     SH        DEFINED    99        23,456           0           0

 CHEVRON CORP            COMM  166751107        27,439     309,178     SH        DEFINED    01       305,856         568       2,754

 CHEVRON CORP            COMM  166751107        41,706     469,929     SH        OTHER      01       461,188       3,200       5,541

 CHEVRON CORP            COMM  166751107            35         400     SH        DEFINED    01 04        400           0           0

 CHEVRON CORP            COMM  166751107            53         600     SH        OTHER      01 07        600           0           0

 CHEVRON CORP            COMM  166751107            57         650     SH        DEFINED    99             0           0         650

 CHITTENDEN CORP         COMM  170228100            26       1,000     SH        DEFINED    01         1,000           0           0

 CHITTENDEN CORP         COMM  170228100           224       8,425     SH        OTHER      01         5,025           0       3,400

 CHOICEPOINT INC         COMM  170388102           164       3,290     SH        DEFINED    01         3,250           0          40

 CHOICEPOINT INC         COMM  170388102            63       1,265     SH        OTHER      01           820           0         445

 CHUBB CORP              COMM  171232101           609      10,410     SH        DEFINED    01        10,410           0           0

 CHUBB CORP              COMM  171232101           618      10,563     SH        OTHER      01         9,363         200       1,000

 CINAR CORP MULT VTG SH  COMM  171905300           225       9,800     SH        OTHER      01             0           0       9,800

 CINCINNATI FINL CORP    COMM  172062101         1,347      36,980     SH        DEFINED    01        33,842           0       3,138

 CINCINNATI FINL CORP    COMM  172062101         1,630      44,738     SH        OTHER      01        41,555       1,983       1,200

 CIRCUIT CITY STORE INC  COMM  172737108           344       4,500     SH        DEFINED    01         4,500           0           0

 CIRCUIT CITY STORE INC  COMM  172737108            30         400     SH        OTHER      01           400           0           0

 CISCO SYS INC           COMM  17275R102       185,243   1,690,754     SH        DEFINED    01     1,627,371         725      62,658

 CISCO SYS INC           COMM  17275R102        63,059     575,559     SH        OTHER      01       544,393      10,529      20,637

 CISCO SYS INC           COMM  17275R102           419       3,825     SH        DEFINED    01 02      3,825           0           0

 CISCO SYS INC           COMM  17275R102           739       6,750     SH        OTHER      01 04      6,750           0           0

 CISCO SYS INC           COMM  17275R102            32         300     SH        OTHER      01 05        300           0           0

 CISCO SYS INC           COMM  17275R102           246       2,250     SH        OTHER      01 06      2,250           0           0

 CISCO SYS INC           COMM  17275R102             5          50     SH        OTHER      01 07         50           0           0

 CISCO SYS INC           COMM  17275R102        27,553     251,484     SH        DEFINED    99        18,587           0     232,897

 CINTAS CORP             COMM  172908105         5,228      79,977     SH        DEFINED    01        79,976           0           1

 CINTAS CORP             COMM  172908105           718      10,985     SH        OTHER      01        10,985           0           0

 CINTAS CORP             COMM  172908105        23,481     359,175     SH        DEFINED    99         4,850           0     354,325

 CITIGROUP INC           COMM  172967101        56,960     891,751     SH        DEFINED    01       829,059           0      62,692

 CITIGROUP INC           COMM  172967101        32,569     509,892     SH        OTHER      01       470,141       7,102      32,649

 CITIGROUP INC           COMM  172967101           159       2,500     SH        DEFINED    01 02      2,500           0           0

 CITIGROUP INC           COMM  172967101           304       4,760     SH        OTHER      01 03      4,760           0           0

 CITIGROUP INC           COMM  172967101           479       7,500     SH        OTHER      01 04      7,500           0           0

 CITIGROUP INC           COMM  172967101         2,693      42,176     SH        DEFINED    99        25,200           0      16,976

 CITIZENS UTILS CO DEL C COMM  177342201           203      26,212     SH        DEFINED    01        26,212           0           0

 CITIZENS UTILS CO DEL C COMM  177342201           336      43,395     SH        OTHER      01        43,395           0           0

 CLAYTON HOMES INC       COMM  184190106         1,884     170,364     SH        DEFINED    01       167,364           0       3,000

 CLAYTON HOMES INC       COMM  184190106           410      37,148     SH        OTHER      01        35,898           0       1,250

 CLAYTON HOMES INC       COMM  184190106             0           0     SH        DEFINED    99             0           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   13     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 CLEAR CHANNEL COMMUNICA COMM  184502102             6         100     SH        DEFINED    01           100           0           0

 CLEAR CHANNEL COMMUNICA COMM  184502102           462       6,890     SH        OTHER      01             0           0       6,890

 CLEAR CHANNEL COMMUNICA COMM  184502102           314       4,690     SH        DEFINED    99             0           0       4,690

 CLOROX CO               COMM  189054109            23         200     SH        DEFINED    01           200           0           0

 CLOROX CO               COMM  189054109         2,115      18,056     SH        OTHER      01        17,256         800           0

 CLOROX CO               COMM  189054109            70         600     SH        DEFINED    99             0           0         600

 COCA COLA CO            COMM  191216100       121,534   1,980,197     SH        DEFINED    01     1,973,447         200       6,550

 COCA COLA CO            COMM  191216100       106,045   1,727,821     SH        OTHER      01     1,622,349      33,602      71,870

 COCA COLA CO            COMM  191216100           491       8,000     SH        DEFINED    01 02      8,000           0           0

 COCA COLA CO            COMM  191216100           491       8,000     SH        OTHER      01 04      8,000           0           0

 COCA COLA CO            COMM  191216100        11,342     184,800     SH        DEFINED    99        22,000           0     162,800

 COCA COLA CO            COMM  191216100           122       2,000     SH        OTHER      99             0           0       2,000

 COCA COLA ENTERPRISES I COMM  191219104            57       1,910     SH        DEFINED    01         1,910           0           0

 COCA COLA ENTERPRISES I COMM  191219104           204       6,771     SH        OTHER      01         6,771           0           0

 COLGATE PALMOLIVE CO    COMM  194162103         9,619     104,558     SH        DEFINED    01       103,458           0       1,100

 COLGATE PALMOLIVE CO    COMM  194162103        11,820     128,481     SH        OTHER      01       126,881         800         800

 COLGATE PALMOLIVE CO    COMM  194162103           598       6,500     SH        DEFINED    99         4,500           0       2,000

 COLONIAL INTER HI INC F MF C  195763107            83      13,000     SH        DEFINED    01        13,000           0           0

 COMCAST CORP CL A SPL   COMM  200300200        10,808     171,733     SH        DEFINED    01       128,303           0      43,430

 COMCAST CORP CL A SPL   COMM  200300200           305       4,859     SH        OTHER      01         4,859           0           0

 COMCAST CORP CL A SPL   COMM  200300200           327       5,200     SH        DEFINED    99           500           0       4,700

 COMERICA INC            COMM  200340107           828      13,262     SH        DEFINED    01        13,262           0           0

 COMERICA INC            COMM  200340107           654      10,485     SH        OTHER      01        10,485           0           0

 COMMERCE BANCSHARES INC COMM  200525103           576      14,982     SH        DEFINED    01        14,982           0           0

 COMMERCE GROUP          COMM  200641108             4      17,000     SH        DEFINED    01        17,000           0           0

 COMMONWEALTH ENGY SYS S COMM  202800108           310       8,174     SH        DEFINED    01         4,400           0       3,774

 COMMONWEALTH ENGY SYS S COMM  202800108           247       6,500     SH        OTHER      01         6,500           0           0

 COMPAQ COMPUTER CORP    COMM  204493100        13,153     424,991     SH        DEFINED    01       417,496       1,200       6,295

 COMPAQ COMPUTER CORP    COMM  204493100         5,122     161,653     SH        OTHER      01       155,553       2,000       4,100

 COMPAQ COMPUTER CORP    COMM  204493100            28         900     SH        DEFINED    99           600           0         300

 COMPLETE WELLNESS       COMM  20452H103             0      25,000     SH        DEFINED    01        25,000           0           0

 COMPUTER ASSOC INTL INC COMM  204912109        10,043     282,430     SH        DEFINED    01       279,543           0       2,887

 COMPUTER ASSOC INTL INC COMM  204912109         4,370     122,890     SH        OTHER      01       118,553       1,825       2,512

 COMPUTER ASSOC INTL INC COMM  204912109           364      10,262     SH        DEFINED    99             0           0      10,262

 COMPUTER NETWORK TECHNO COMM  204925101         1,701     105,540     SH        DEFINED    01       105,540           0           0

 COMPUTER NETWORK TECHNO COMM  204925101           483      30,000     SH        DEFINED    99             0           0      30,000

 COMPUSA INC             COMM  204932107           100      14,300     SH        DEFINED    01        14,300           0           0

 COMPUTER SCIENCES CORP  COMM  205363104           278       5,049     SH        DEFINED    01         5,049           0           0

 COMPUTER SCIENCES CORP  COMM  205363104           711      12,884     SH        OTHER      01        12,884           0           0

 COMPUTER SCIENCES CORP  COMM  205363104         1,190      21,575     SH        DEFINED    99         6,900           0      14,675

 COMVERSE TECH INC COM P COMM  205862402           242       2,857     SH        DEFINED    01         2,857           0           0

 CONAGRA INC             COMM  205887102         2,553      99,640     SH        DEFINED    01        96,290           0       3,350

 CONAGRA INC             COMM  205887102         1,444      56,380     SH        OTHER      01        54,580           0       1,800

 CONAGRA INC             COMM  205887102             7         300     SH        DEFINED    99           300           0           0

 CONCORD EFS INC         COMM  206197105         2,594      94,144     SH        DEFINED    01        94,144           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   14     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 CONCORD EFS INC         COMM  206197105           789      28,650     SH        OTHER      01        28,650           0           0

 CONCORD EFS INC         COMM  206197105         3,486     126,500     SH        DEFINED    99             0           0     126,500

 CONOCO INC              COMM  208251306           518      21,100     SH        OTHER      01        21,100           0           0

 CONOCO INC              COMM  208251306             0           0     SH        DEFINED    99             0           0           0

 CONSECO INC COM         COMM  208464107            70       2,287     SH        DEFINED    01         2,287           0           0

 CONSECO INC COM         COMM  208464107         1,090      35,324     SH        OTHER      01        24,124      11,200           0

 CONSOLIDATED EDISON INC COMM  209115104           102       2,272     SH        DEFINED    01         2,072           0         200

 CONSOLIDATED EDISON INC COMM  209115104           587      12,972     SH        OTHER      01        12,972           0           0

 CONSOLIDATED NATURAL GA COMM  209615103         1,547      31,793     SH        DEFINED    01        31,793           0           0

 CONSOLIDATED NATURAL GA COMM  209615103         2,081      42,755     SH        OTHER      01        38,223       1,700       2,832

 COOPER INDUSTRIES INC   COMM  216669101           114       2,687     SH        DEFINED    01         2,687           0           0

 COOPER INDUSTRIES INC   COMM  216669101           469      11,023     SH        OTHER      01        10,523           0         500

 COORS ADOLPH CO CL B    COMM  217016104            54       1,010     SH        DEFINED    01         1,010           0           0

 COORS ADOLPH CO CL B    COMM  217016104             0           0     SH        OTHER      01             0           0           0

 COORS ADOLPH CO CL B    COMM  217016104           831      15,400     SH        DEFINED    99         6,150           0       9,250

 COPLEY PHARMACEUTICAL I COMM  21745K101         1,393     163,932     SH        DEFINED    01       163,932           0           0

 CORN PRODS INTL INC COM COMM  219023108            86       3,598     SH        DEFINED    01         3,498           0         100

 CORN PRODS INTL INC COM COMM  219023108           165       6,900     SH        OTHER      01         6,675         225           0

 CORNING INC             COMM  219350105         7,495     124,932     SH        DEFINED    01       123,212           0       1,720

 CORNING INC             COMM  219350105        18,562     309,375     SH        OTHER      01        81,185         700     227,490

 CORNING INC             COMM  219350105           150       2,500     SH        OTHER      01 06      2,500           0           0

 COSTCO CO INC           COMM  22160Q102        11,395     124,460     SH        DEFINED    01        87,075           0      37,385

 COSTCO CO INC           COMM  22160Q102           458       5,010     SH        OTHER      01         4,310         200         500

 COSTCO CO INC           COMM  22160Q102         2,749      30,025     SH        DEFINED    99         8,700           0      21,325

 COUNTRYWIDE CR INDS INC COMM  222372104             0           0     SH        DEFINED    01             0           0           0

 COUNTRYWIDE CR INDS INC COMM  222372104             5         150     SH        OTHER      01           150           0           0

 COUNTRYWIDE CR INDS INC COMM  222372104           645      17,200     SH        DEFINED    99         5,550           0      11,650

 COVANCE INC             COMM  222816100            39       1,563     SH        DEFINED    01         1,312           0         251

 COVANCE INC             COMM  222816100         1,672      66,714     SH        OTHER      01        10,596           0      56,118

 COX COMMUNICATIONS INC  COMM  224044107            21         280     SH        DEFINED    01           280           0           0

 COX COMMUNICATIONS INC  COMM  224044107           231       3,063     SH        OTHER      01         3,063           0           0

 CRAWFORD & CO CL B      COMM  224633107           272      26,079     SH        OTHER      01        26,079           0           0

 CRAWFORD & CO CL A      COMM  224633206           225      22,096     SH        OTHER      01        22,096           0           0

 CREE RESH INC           COMM  225447101         2,463      52,475     SH        DEFINED    01        52,475           0           0

 CREE RESH INC           COMM  225447101         2,464      52,500     SH        DEFINED    99             0           0      52,500

 CROWN CORK & SEAL INC   COMM  228255105            17         614     SH        DEFINED    01             0           0         614

 CROWN CORK & SEAL INC   COMM  228255105           247       8,650     SH        OTHER      01         8,650           0           0

 DII GROUP INC           COMM  232949107            25         860     SH        DEFINED    01            60           0         800

 DII GROUP INC           COMM  232949107             3         120     SH        OTHER      01           120           0           0

 DII GROUP INC           COMM  232949107           222       7,600     SH        DEFINED    99             0           0       7,600

 DPL INC                 COMM  233293109            66       4,009     SH        DEFINED    01         4,009           0           0

 DPL INC                 COMM  233293109           129       7,872     SH        OTHER      01         7,872           0           0

 DST SYS INC DEL         COMM  233326107         9,226     153,615     SH        DEFINED    01       150,965         600       2,050

 DST SYS INC DEL         COMM  233326107         1,229      20,467     SH        OTHER      01        18,852         900         715

 DST SYS INC DEL         COMM  233326107           330       5,500     SH        DEFINED    99             0           0       5,500

</TABLE> 
<PAGE>
 
                                                                  PAGE   15     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 DANA CORP               COMM  235811106           120       3,170     SH        DEFINED    01         3,170           0           0

 DANA CORP               COMM  235811106           413      10,887     SH        OTHER      01        10,887           0           0

 DANAHER CORP DEL        COMM  235851102         3,701      70,834     SH        DEFINED    01        70,834           0           0

 DANAHER CORP DEL        COMM  235851102           306       5,866     SH        OTHER      01         3,866           0       2,000

 DANAHER CORP DEL        COMM  235851102         6,337     121,300     SH        DEFINED    99             0           0     121,300

 DARDEN RESTAURANTS INC  COMM  237194105           460      22,309     SH        DEFINED    01        22,309           0           0

 DARDEN RESTAURANTS INC  COMM  237194105           420      20,399     SH        OTHER      01        16,399           0       4,000

 DARDEN RESTAURANTS INC  COMM  237194105         1,071      51,950     SH        DEFINED    99        22,600           0      29,350

 DATA GEN CORP           COMM  237688106         1,994     196,969     SH        DEFINED    01       191,269           0       5,700

 DATA GEN CORP           COMM  237688106           574      56,766     SH        OTHER      01        28,766           0      28,000

 DATA GEN CORP           COMM  237688106         7,087     700,000     SH        DEFINED    99             0           0     700,000

 DAYTON HUDSON CORP      COMM  239753106         3,435      51,570     SH        DEFINED    01        50,670           0         900

 DAYTON HUDSON CORP      COMM  239753106         4,859      72,940     SH        OTHER      01        64,690       4,800       3,450

 DAYTON HUDSON CORP      COMM  239753106           133       2,000     SH        DEFINED    01 04      2,000           0           0

 DAYTON HUDSON CORP      COMM  239753106         2,766      41,525     SH        DEFINED    99        13,450           0      28,075

 DEERE & CO              COMM  244199105         5,997     155,269     SH        DEFINED    01       155,269           0           0

 DEERE & CO              COMM  244199105         1,736      44,945     SH        OTHER      01        44,745           0         200

 DELL COMPUTER CORP      COMM  247025109           730      17,870     SH        DEFINED    01        17,870           0           0

 DELL COMPUTER CORP      COMM  247025109           536      13,114     SH        OTHER      01        13,114           0           0

 DELL COMPUTER CORP      COMM  247025109         4,148     101,500     SH        DEFINED    99        34,800           0      66,700

 DELTA AIR LINES INC DEL COMM  247361108         2,916      41,970     SH        DEFINED    01        41,870           0         100

 DELTA AIR LINES INC DEL COMM  247361108           670       9,653     SH        OTHER      01         9,603          50           0

 DELTA AIR LINES INC DEL COMM  247361108         1,080      15,550     SH        DEFINED    99         4,550           0      11,000

 DENAMERICA CORPORATION  COMM  248225104            21   2,124,352     SH        DEFINED    01     2,124,352           0           0

 DENTSPLY INTL INC NEW   COMM  249030107           588      25,316     SH        DEFINED    01        25,316           0           0

 DENTSPLY INTL INC NEW   COMM  249030107            69       3,000     SH        OTHER      01         3,000           0           0

 DESCARTES SYS GROUP INC AMER  249906108         1,230     160,000     SH        DEFINED    01       160,000           0           0

 DESCARTES SYS GROUP INC AMER  249906108         1,883     245,000     SH        DEFINED    99             0           0     245,000

 DEVRY INC DEL           COMM  251893103           780      26,908     SH        DEFINED    01        26,908           0           0

 DEVRY INC DEL           COMM  251893103           348      12,012     SH        OTHER      01         2,812           0       9,200

 DEVRY INC DEL           COMM  251893103         1,263      43,575     SH        DEFINED    99        17,750           0      25,825

 DEXTER CORP             COMM  252165105           312       9,924     SH        DEFINED    01         9,924           0           0

 DEXTER CORP             COMM  252165105           668      21,232     SH        OTHER      01        21,232           0           0

 DIAGEO PLC SPON ADR NEW AMER  25243Q205           231       5,065     SH        DEFINED    01         5,065           0           0

 DIAGEO PLC SPON ADR NEW AMER  25243Q205           138       3,024     SH        OTHER      01             0           0       3,024

 DIAGEO PLC SPON ADR NEW AMER  25243Q205            44         970     SH        DEFINED    99           600           0         370

 SECURITY CAPITAL US REA COMM  252747000            38     491,764     SH        DEFINED    01       491,764           0           0

 DIEBOLD INC             COMM  253651103           198       8,275     SH        DEFINED    01         8,275           0           0

 DIEBOLD INC             COMM  253651103           179       7,462     SH        OTHER      01         7,462           0           0

 DIEBOLD INC             COMM  253651103             0           0     SH        DEFINED    99             0           0           0

 DIME BANCORP INC NEW    COMM  25429Q102            87       3,775     SH        DEFINED    01         3,775           0           0

 DIME BANCORP INC NEW    COMM  25429Q102             6         300     SH        OTHER      01           300           0           0

 DIME BANCORP INC NEW    COMM  25429Q102         1,295      55,850     SH        DEFINED    99        18,550           0      37,300

 DISNEY WALT CO (HOLDING COMM  254687106        46,794   1,503,429     SH        DEFINED    01     1,492,264       1,200       9,965

 DISNEY WALT CO (HOLDING COMM  254687106        15,984     513,551     SH        OTHER      01       476,013      10,825      26,713

</TABLE> 
<PAGE>
 
                                                                  PAGE   16     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 DISNEY WALT CO (HOLDING COMM  254687106             0           0     SH        DEFINED    01 02          0           0           0

 DISNEY WALT CO (HOLDING COMM  254687106           423      13,600     SH        OTHER      01 06     13,600           0           0

 DISNEY WALT CO (HOLDING COMM  254687106        11,547     371,000     SH        DEFINED    99        10,800           0     360,200

 DOLLAR GEN CORP COM (TE COMM  256669102           234       6,903     SH        DEFINED    01         6,903           0           0

 DOLLAR GEN CORP COM (TE COMM  256669102           264       7,768     SH        OTHER      01         7,768           0           0

 DOLLAR GEN CORP COM (TE COMM  256669102           142       4,192     SH        DEFINED    99         4,092           0         100

 DOLLAR TREE STORES INC  COMM  256747106         1,652      53,400     SH        DEFINED    01        53,400           0           0

 DOLLAR TREE STORES INC  COMM  256747106         2,846      92,000     SH        DEFINED    99             0           0      92,000

 DOMINION RESOURCES INC  COMM  257470104         1,557      42,172     SH        DEFINED    01        41,872           0         300

 DOMINION RESOURCES INC  COMM  257470104         1,359      36,795     SH        OTHER      01        34,095         700       2,000

 DOMINION RESOURCES INC  COMM  257470104            55       1,500     SH        OTHER      01 03      1,500           0           0

 DOMINION RESOURCES INC  COMM  257470104             0           0     SH        DEFINED    99             0           0           0

 DONNELLEY R R & SONS CO COMM  257867101         1,789      55,602     SH        DEFINED    01        55,602           0           0

 DONNELLEY R R & SONS CO COMM  257867101         2,013      62,549     SH        OTHER      01        59,549         300       2,700

 DOVER CORP              COMM  260003108        10,624     323,188     SH        DEFINED    01       320,928           0       2,260

 DOVER CORP              COMM  260003108         6,780     206,239     SH        OTHER      01       189,280       2,200      14,759

 DOVER CORP              COMM  260003108           230       7,000     SH        OTHER      01 06      7,000           0           0

 DOVER CORP              COMM  260003108            39       1,200     SH        DEFINED    99             0           0       1,200

 DOW CHEMICAL CO         COMM  260543103        17,239     184,994     SH        DEFINED    01       183,454           0       1,540

 DOW CHEMICAL CO         COMM  260543103        16,517     177,249     SH        OTHER      01       173,435       2,404       1,410

 DOW CHEMICAL CO         COMM  260543103           167       1,800     SH        OTHER      01 03      1,800           0           0

 DOW CHEMICAL CO         COMM  260543103           139       1,500     SH        OTHER      01 04      1,500           0           0

 DOW JONES & CO INC      COMM  260561105           108       2,300     SH        DEFINED    01         2,300           0           0

 DOW JONES & CO INC      COMM  260561105           163       3,458     SH        OTHER      01         3,458           0           0

 DREYFUS STRATEGIC MUN B MF C  26202F107           112      12,200     SH        OTHER      01        12,200           0           0

 DU PONT E I DE NEMOURS  COMM  263534109        70,800   1,219,392     SH        DEFINED    01     1,203,018           0      16,374

 DU PONT E I DE NEMOURS  COMM  263534109        50,256     865,561     SH        OTHER      01       773,283      12,620      79,658

 DU PONT E I DE NEMOURS  COMM  263534109           290       5,000     SH        DEFINED    01 02      5,000           0           0

 DU PONT E I DE NEMOURS  COMM  263534109           116       2,000     SH        OTHER      01 03      2,000           0           0

 DU PONT E I DE NEMOURS  COMM  263534109            46         800     SH        OTHER      01 05        800           0           0

 DU PONT E I DE NEMOURS  COMM  263534109            33         570     SH        DEFINED    99             0           0         570

 DUKE ENERGY CORP        COMM  264399106        16,502     301,067     SH        DEFINED    01       298,398           0       2,669

 DUKE ENERGY CORP        COMM  264399106         4,419      80,633     SH        OTHER      01        67,310       1,300      12,023

 DUKE ENERGY CORP        COMM  264399106             0           0     SH        DEFINED    99             0           0           0

 DUKE RLTY INVTS INC COM COMM  264411505           320      14,898     SH        DEFINED    01        14,898           0           0

 DUKE RLTY INVTS INC COM COMM  264411505           124       5,800     SH        OTHER      01         5,800           0           0

 DUN & BRADSTREET CORP D COMM  26483B106         1,484      41,665     SH        DEFINED    01        41,665           0           0

 DUN & BRADSTREET CORP D COMM  26483B106         2,270      63,728     SH        OTHER      01        58,828         300       4,600

 EG & G INC              COMM  268457108            74       2,830     SH        DEFINED    01         2,830           0           0

 EG & G INC              COMM  268457108         2,561      97,130     SH        OTHER      01        97,130           0           0

 E M C CORP MASS         COMM  268648102        89,623     701,555     SH        DEFINED    01       655,980         400      45,175

 E M C CORP MASS         COMM  268648102        17,187     134,540     SH        OTHER      01       124,840         700       9,000

 E M C CORP MASS         COMM  268648102           127       1,000     SH        DEFINED    01 02      1,000           0           0

 E M C CORP MASS         COMM  268648102           191       1,500     SH        OTHER      01 04      1,500           0           0

 E M C CORP MASS         COMM  268648102         4,311      33,750     SH        DEFINED    99        13,400           0      20,350

</TABLE> 
<PAGE>
 
                                                                  PAGE   17     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 EASTERN CO              COMM  276317104           660      29,874     SH        DEFINED    01        29,874           0           0

 EASTERN CO              COMM  276317104         2,527     114,228     SH        OTHER      01       112,228       2,000           0

 EASTERN UTILS ASSOC     COMM  277173100           196       6,958     SH        DEFINED    01         6,958           0           0

 EASTERN UTILS ASSOC     COMM  277173100            36       1,300     SH        OTHER      01         1,300           0           0

 EASTMAN CHEM CO         COMM  277432100           949      22,585     SH        DEFINED    01        22,485           0         100

 EASTMAN CHEM CO         COMM  277432100           959      22,818     SH        OTHER      01        21,203         518       1,097

 EASTMAN CHEM CO         COMM  277432100            15         375     SH        OTHER      01 03        375           0           0

 EASTMAN KODAK CO        COMM  277461109         9,853     154,268     SH        DEFINED    01       151,193           0       3,075

 EASTMAN KODAK CO        COMM  277461109         9,692     151,749     SH        OTHER      01       143,538       2,299       5,912

 EASTMAN KODAK CO        COMM  277461109            95       1,500     SH        OTHER      01 03      1,500           0           0

 ECLIPSYS CORP           COMM  278856109           469      47,945     SH        DEFINED    01        47,945           0           0

 ECOLAB INC              COMM  278865100         4,923     138,694     SH        DEFINED    01       136,444           0       2,250

 ECOLAB INC              COMM  278865100         1,101      31,036     SH        OTHER      01        30,396          40         600

 ECOLAB INC              COMM  278865100            24         700     SH        DEFINED    99             0           0         700

 EDISON INTL             COMM  281020107           945      42,495     SH        DEFINED    01        39,695           0       2,800

 EDISON INTL             COMM  281020107         1,039      46,707     SH        OTHER      01        45,255           0       1,452

 EDWARDS A G INC         COMM  281760108         5,626     172,116     SH        DEFINED    01       169,816           0       2,300

 EDWARDS A G INC         COMM  281760108         3,220      98,514     SH        OTHER      01        91,239           0       7,275

 EDWARDS A G INC         COMM  281760108             9         300     SH        DEFINED    99           300           0           0

 EL PASO ENERGY CORP DEL COMM  283905107         1,525      46,668     SH        DEFINED    01        46,002           0         666

 EL PASO ENERGY CORP DEL COMM  283905107           592      18,122     SH        OTHER      01        18,122           0           0

 EL PASO ENERGY CORP DEL COMM  283905107           156       4,800     SH        DEFINED    99             0           0       4,800

 ELAN PLC ADR            AMER  284131208        80,244   1,150,458     SH        DEFINED    01     1,097,514       1,000      51,944

 ELAN PLC ADR            AMER  284131208        12,502     179,245     SH        OTHER      01       167,470       3,200       8,575

 ELAN PLC ADR            AMER  284131208           139       2,000     SH        DEFINED    01 02      2,000           0           0

 ELAN PLC ADR            AMER  284131208        11,002     157,740     SH        DEFINED    99         9,060           0     148,680

 ELAN CORP PLC WTS CL A  RIGH  284131703           213       5,000     SH        DEFINED    01         5,000           0           0

 ELECTRONIC DATA SYS COR COMM  285661104         7,856     161,371     SH        DEFINED    01       108,191           0      53,180

 ELECTRONIC DATA SYS COR COMM  285661104         2,348      48,242     SH        OTHER      01        45,786         416       2,040

 ELECTRONIC DATA SYS COR COMM  285661104           111       2,300     SH        DEFINED    99             0           0       2,300

 ELF AQUITAINE SPONSORED AMER  286269105           244       3,635     SH        DEFINED    01         3,635           0           0

 ELF AQUITAINE SPONSORED AMER  286269105            26         395     SH        DEFINED    99           245           0         150

 EMERGING MKTS TLCMMNCTN MF C  290887108           465      50,000     SH        OTHER      01             0           0      50,000

 EMERSON ELECTRIC CO     COMM  291011104        26,140     493,792     SH        DEFINED    01       491,260           0       2,532

 EMERSON ELECTRIC CO     COMM  291011104        22,820     431,088     SH        OTHER      01       413,738       4,150      13,200

 EMERSON ELECTRIC CO     COMM  291011104             0           0     SH        DEFINED    01 02          0           0           0

 EMERSON ELECTRIC CO     COMM  291011104           211       4,000     SH        OTHER      01 03      4,000           0           0

 EMERSON ELECTRIC CO     COMM  291011104            63       1,200     SH        OTHER      01 05      1,200           0           0

 EMERSON ELECTRIC CO     COMM  291011104           847      16,000     SH        DEFINED    99        16,000           0           0

 EMULEX CORP COM NEW     COMM  292475209         3,903     118,300     SH        DEFINED    01       118,200           0         100

 EMULEX CORP COM NEW     COMM  292475209           389      11,800     SH        OTHER      01         4,300           0       7,500

 EMULEX CORP COM NEW     COMM  292475209         7,095     215,000     SH        DEFINED    99             0           0     215,000

 ENDESA SA SPONSORED ADR AMER  29258N107         1,073      43,170     SH        DEFINED    01        43,170           0           0

 ENERGY EAST CORP        COMM  29266M109            37         710     SH        DEFINED    01           710           0           0

 ENERGY EAST CORP        COMM  29266M109            88       1,691     SH        OTHER      01         1,691           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   18     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 ENERGY EAST CORP        COMM  29266M109         1,450      27,600     SH        DEFINED    99         9,650           0      17,950

 ENGELHARD CORP          COMM  292845104            68       4,017     SH        DEFINED    01         4,017           0           0

 ENGELHARD CORP          COMM  292845104           130       7,677     SH        OTHER      01         7,677           0           0

 ENGELHARD CORP          COMM  292845104           116       6,900     SH        DEFINED    99         3,100           0       3,800

 ENRON CORP              COMM  293561106        19,909     309,874     SH        DEFINED    01       303,274           0       6,600

 ENRON CORP              COMM  293561106         9,423     146,663     SH        OTHER      01       130,697      12,266       3,700

 ENRON CORP              COMM  293561106        16,081     250,300     SH        DEFINED    99           300           0     250,000

 ENVOY CORP NEW          COMM  293982104           381       8,550     SH        DEFINED    01         8,550           0           0

 ENVOY CORP NEW          COMM  293982104           124       2,800     SH        OTHER      01         2,800           0           0

 EQUANT N V SHS-N Y REGI AMER  294409107           199       2,650     SH        DEFINED    01         2,650           0           0

 EQUANT N V SHS-N Y REGI AMER  294409107         9,978     132,600     SH        DEFINED    99             0           0     132,600

 EQUIFAX INC             COMM  294429105         3,478     101,189     SH        DEFINED    01       100,189           0       1,000

 EQUIFAX INC             COMM  294429105         1,672      48,665     SH        OTHER      01        35,065       3,000      10,600

 EQUITABLE COMPANIES INC COMM  29444G107         2,260      32,295     SH        DEFINED    01        31,195           0       1,100

 EQUITABLE COMPANIES INC COMM  29444G107           147       2,103     SH        OTHER      01         2,103           0           0

 EQUITABLE COMPANIES INC COMM  29444G107         1,471      21,025     SH        DEFINED    99         6,025           0      15,000

 EQUITY INC FD UT 1ST EX MF C  294700703            26         150     SH        DEFINED    01           150           0           0

 EQUITY INC FD UT 1ST EX MF C  294700703         1,026       5,793     SH        OTHER      01         4,536           0       1,257

 ERICSSON L M TEL ADR CL AMER  294821400         7,714     323,982     SH        DEFINED    01       321,782           0       2,200

 ERICSSON L M TEL ADR CL AMER  294821400         1,564      65,700     SH        OTHER      01        62,100       1,600       2,000

 ERICSSON L M TEL ADR CL AMER  294821400            97       4,080     SH        DEFINED    99         2,530           0       1,550

 ESTERLINE TECHNOLOGIES  COMM  297425100             0           0     SH        DEFINED    01             0           0           0

 ETHAN ALLEN INTERIORS I COMM  297602104            94       2,280     SH        DEFINED    01         2,280           0           0

 ETHAN ALLEN INTERIORS I COMM  297602104             0           0     SH        OTHER      01             0           0           0

 ETHAN ALLEN INTERIORS I COMM  297602104         1,213      29,195     SH        DEFINED    99        11,050           0      18,145

 ETHYL CORP              COMM  297659104            53      12,480     SH        OTHER      01        12,480           0           0

 EXXON CORP              COMM  302290101       283,360   4,015,743     SH        DEFINED    01     3,949,564           0      66,179

 EXXON CORP              COMM  302290101       357,124   5,061,106     SH        OTHER      01     4,833,590      39,738     187,778

 EXXON CORP              COMM  302290101           423       6,000     SH        DEFINED    01 02      6,000           0           0

 EXXON CORP              COMM  302290101           613       8,700     SH        OTHER      01 03      8,700           0           0

 EXXON CORP              COMM  302290101            56         800     SH        DEFINED    01 04        800           0           0

 EXXON CORP              COMM  302290101           987      14,000     SH        OTHER      01 04     14,000           0           0

 EXXON CORP              COMM  302290101            98       1,400     SH        OTHER      01 05      1,400           0           0

 EXXON CORP              COMM  302290101           141       2,000     SH        OTHER      01 06      2,000           0           0

 EXXON CORP              COMM  302290101           169       2,400     SH        OTHER      01 07      2,400           0           0

 EXXON CORP              COMM  302290101        12,048     170,750     SH        DEFINED    99        14,800           0     155,950

 FPL GROUP INC           COMM  302571104         3,950      74,185     SH        DEFINED    01        73,460           0         725

 FPL GROUP INC           COMM  302571104         6,192     116,293     SH        OTHER      01       105,223           0      11,070

 FPL GROUP INC           COMM  302571104             0           0     SH        DEFINED    99             0           0           0

 FX ENERGY INC           COMM  302695101           101      21,467     SH        DEFINED    01        21,467           0           0

 FALL RIVER GAS CO       COMM  306279100             0           0     SH        DEFINED    01             0           0           0

 FALL RIVER GAS CO       COMM  306279100           243      14,226     SH        OTHER      01        14,226           0           0

 FAMILY DLR STORES INC   COMM  307000109           211       9,180     SH        DEFINED    01         8,280           0         900

 FAMILY DLR STORES INC   COMM  307000109           121       5,300     SH        OTHER      01         4,400           0         900

 FAMILY DLR STORES INC   COMM  307000109         1,276      55,488     SH        DEFINED    99        21,000           0      34,488

</TABLE> 
<PAGE>
 
                                                                  PAGE   19     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 FAMOUS DAVE'S OF AMERIC COMM  307068106           134      56,800     SH        DEFINED    01        56,800           0           0

 FAMOUS DAVE'S OF AMERIC COMM  307068106            19       8,000     SH        OTHER      01         8,000           0           0

 FAMOUS DAVE'S OF AMERIC COMM  307068106             0           0     SH        DEFINED    99             0           0           0

 FASTENAL CO             COMM  311900104         1,881      53,652     SH        DEFINED    01        53,652           0           0

 FASTENAL CO             COMM  311900104           266       7,608     SH        OTHER      01         7,608           0           0

 FASTENAL CO             COMM  311900104         2,279      65,000     SH        DEFINED    99             0           0      65,000

 FDX CORP                COMM  31304N107           166       1,795     SH        DEFINED    01         1,645           0         150

 FDX CORP                COMM  31304N107           160       1,725     SH        OTHER      01         1,425           0         300

 FEDERAL HOME LN MTG COR COMM  313400301           437       7,627     SH        DEFINED    01         7,627           0           0

 FEDERAL HOME LN MTG COR COMM  313400301           298       5,208     SH        OTHER      01         5,208           0           0

 FEDERAL HOME LN MTG COR COMM  313400301           805      14,050     SH        DEFINED    99         4,900           0       9,150

 FEDERAL MOGUL CORP      COMM  313549107             0           0     SH        DEFINED    01             0           0           0

 FEDERAL MOGUL CORP      COMM  313549107           177       4,150     SH        OTHER      01         4,150           0           0

 FEDERAL MOGUL CORP      COMM  313549107         1,147      26,850     SH        DEFINED    99        10,300           0      16,550

 FANNIE MAE              COMM  313586109        87,817   1,268,117     SH        DEFINED    01     1,216,560         600      50,957

 FANNIE MAE              COMM  313586109        26,438     381,780     SH        OTHER      01       339,980       8,600      33,200

 FANNIE MAE              COMM  313586109            48         700     SH        DEFINED    01 02        700           0           0

 FANNIE MAE              COMM  313586109            27         400     SH        OTHER      01 06        400           0           0

 FANNIE MAE              COMM  313586109         1,315      19,000     SH        DEFINED    99        12,000           0       7,000

 FEDERAL SIGNAL CORP     COMM  313855108         3,615     173,210     SH        DEFINED    01       173,210           0           0

 FEDERAL SIGNAL CORP     COMM  313855108           788      37,763     SH        OTHER      01        35,043       2,720           0

 FEDERATED DEPT STORES I COMM  31410H101             6         174     SH        DEFINED    01           174           0           0

 FEDERATED DEPT STORES I COMM  31410H101           294       7,350     SH        OTHER      01         7,350           0           0

 FIFTH THIRD BANCORP     COMM  316773100         4,847      73,515     SH        DEFINED    01        73,515           0           0

 FIFTH THIRD BANCORP     COMM  316773100           399       6,059     SH        OTHER      01         6,059           0           0

 FIFTH THIRD BANCORP     COMM  316773100        13,923     211,164     SH        DEFINED    99         7,350           0     203,814

 FINOVA GROUP INC        COMM  317928109            25         500     SH        DEFINED    01           500           0           0

 FINOVA GROUP INC        COMM  317928109         1,373      26,475     SH        DEFINED    99        10,600           0      15,875

 FIRST DATA CORP         COMM  319963104         4,612     107,889     SH        DEFINED    01       105,689           0       2,200

 FIRST DATA CORP         COMM  319963104         2,195      51,367     SH        OTHER      01        47,119       1,700       2,548

 FIRST DATA CORP         COMM  319963104            37         870     SH        DEFINED    99           300           0         570

 FIRST SECURITY CORP DEL COMM  336294103            34       1,800     SH        DEFINED    01         1,800           0           0

 FIRST SECURITY CORP DEL COMM  336294103           211      10,950     SH        OTHER      01        10,950           0           0

 FIRST TENN NATL CORP    COMM  337162101        20,864     569,668     SH        DEFINED    01       562,388           0       7,280

 FIRST TENN NATL CORP    COMM  337162101         7,060     192,768     SH        OTHER      01       170,998       2,200      19,570

 FIRST TENN NATL CORP    COMM  337162101           321       8,770     SH        DEFINED    99         7,400           0       1,370

 FIRST UN CORP           COMM  337358105        33,309     623,332     SH        DEFINED    01       621,882           0       1,450

 FIRST UN CORP           COMM  337358105         9,507     177,918     SH        OTHER      01       167,286       4,300       6,332

 FIRST UN CORP           COMM  337358105           494       9,250     SH        DEFINED    99         9,250           0           0

 FIRSTLINK COMMUNICATION COMM  33762W108            18      10,500     SH        OTHER      01        10,500           0           0

 FIRSTAR CORPORATION     COMM  33763V109         9,287     103,766     SH        DEFINED    01       103,766           0           0

 FIRSTAR CORPORATION     COMM  33763V109         1,059      11,833     SH        OTHER      01         5,133           0       6,700

 FIRSTAR CORPORATION     COMM  33763V109        20,081     224,375     SH        DEFINED    99         8,950           0     215,425

 FISERV INC WISCONSIN    COMM  337738108            30         560     SH        DEFINED    01           560           0           0

 FISERV INC WISCONSIN    COMM  337738108           119       2,237     SH        OTHER      01         2,237           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   20     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 FISERV INC WISCONSIN    COMM  337738108           573      10,700     SH        DEFINED    99         4,450           0       6,250

 FIRSTMERIT CORP         COMM  337915102           192       7,461     SH        DEFINED    01         7,461           0           0

 FIRSTMERIT CORP         COMM  337915102            66       2,600     SH        OTHER      01             0           0       2,600

 FIRSTENERGY CORP        COMM  337932107            28       1,015     SH        DEFINED    01         1,015           0           0

 FIRSTENERGY CORP        COMM  337932107           182       6,523     SH        OTHER      01         5,723           0         800

 FLEET FINANCIAL GROUP I COMM  338915101        10,999     292,343     SH        DEFINED    01       283,791           0       8,552

 FLEET FINANCIAL GROUP I COMM  338915101        28,023     744,807     SH        OTHER      01       694,726       7,464      42,617

 FLEET FINANCIAL GROUP I COMM  338915101            50       1,348     SH        OTHER      99             0           0       1,348

 FLORIDA PROGRESS CORP   COMM  341109106           902      23,917     SH        DEFINED    01        23,917           0           0

 FLORIDA PROGRESS CORP   COMM  341109106         1,269      33,623     SH        OTHER      01        33,223           0         400

 FLORIDA PROGRESS CORP   COMM  341109106            33         900     SH        OTHER      01 07        900           0           0

 FLUOR CORP              COMM  343861100           309      11,452     SH        DEFINED    01        11,052           0         400

 FLUOR CORP              COMM  343861100           274      10,155     SH        OTHER      01         9,705           0         450

 FLUOR CORP              COMM  343861100            10         400     SH        OTHER      01 03        400           0           0

 FORD MTR CO DEL         COMM  345370100        13,263     233,982     SH        DEFINED    01       233,882           0         100

 FORD MTR CO DEL         COMM  345370100         5,502      97,068     SH        OTHER      01        93,515       1,253       2,300

 FORD MTR CO DEL         COMM  345370100         1,074      18,950     SH        DEFINED    99         7,050           0      11,900

 FOREST LABS INC         COMM  345838106           535       9,500     SH        DEFINED    01         9,500           0           0

 FOREST LABS INC         COMM  345838106           199       3,540     SH        OTHER      01         3,540           0           0

 FORTUNE BRANDS INC      COMM  349631101         6,017     156,308     SH        DEFINED    01       155,433           0         875

 FORTUNE BRANDS INC      COMM  349631101         3,892     101,092     SH        OTHER      01        97,212       1,480       2,400

 FRIENDLY ICE CREAM      COMM  358497105             5      34,500     SH        DEFINED    01        34,505           0           0

 FRONTIER CORP           COMM  35906P105           235       4,548     SH        DEFINED    01         3,348           0       1,200

 FRONTIER CORP           COMM  35906P105           415       8,000     SH        OTHER      01         5,000       3,000           0

 FULTON FINL CORP PA     COMM  360271100           502      21,917     SH        OTHER      01        21,917           0           0

 GPU INC                 COMM  36225X100           145       3,896     SH        DEFINED    01         3,896           0           0

 GPU INC                 COMM  36225X100           223       5,995     SH        OTHER      01         4,995       1,000           0

 GTE CORP                COMM  362320103        22,014     363,874     SH        DEFINED    01       357,574           0       6,300

 GTE CORP                COMM  362320103        17,128     283,116     SH        OTHER      01       263,916       3,992      15,208

 GTE CORP                COMM  362320103           605      10,000     SH        DEFINED    99        10,000           0           0

 GALLAHER GROUP PLC SPON AMER  363595109           429      18,286     SH        DEFINED    01        17,986           0         300

 GALLAHER GROUP PLC SPON AMER  363595109         1,453      61,858     SH        OTHER      01        60,178         480       1,200

 GANNETT INC             COMM  364730101         5,744      91,180     SH        DEFINED    01        91,180           0           0

 GANNETT INC             COMM  364730101         3,671      58,277     SH        OTHER      01        54,877         800       2,600

 GANNETT INC             COMM  364730101           132       2,100     SH        OTHER      01 06      2,100           0           0

 GAP INC DEL             COMM  364760108         8,958     133,086     SH        DEFINED    01       131,474           0       1,612

 GAP INC DEL             COMM  364760108         2,110      31,349     SH        OTHER      01        29,974           0       1,375

 GAP INC DEL             COMM  364760108           277       4,125     SH        DEFINED    99             0           0       4,125

 GARTNER GROUP INC NEW C COMM  366651107           281      12,473     SH        DEFINED    01        12,473           0           0

 GARTNER GROUP INC NEW C COMM  366651107             0           0     SH        DEFINED    99             0           0           0

 GATEWAY 2000 INC        COMM  367833100           107       1,565     SH        DEFINED    01         1,565           0           0

 GATEWAY 2000 INC        COMM  367833100            68       1,000     SH        OTHER      01         1,000           0           0

 GATEWAY 2000 INC        COMM  367833100         2,591      37,800     SH        DEFINED    99        12,200           0      25,600

 GENCORP INC COM         COMM  368682100           124       6,908     SH        DEFINED    01         6,908           0           0

 GENCORP INC COM         COMM  368682100            90       5,000     SH        OTHER      01         5,000           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   21     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 GENENTECH INC SPL COM   COMM  368710307            13         150     SH        DEFINED    01           150           0           0

 GENENTECH INC SPL COM   COMM  368710307           331       3,740     SH        OTHER      01         3,740           0           0

 GENERAL DYNAMICS CORP   COMM  369550108            31         495     SH        DEFINED    01           495           0           0

 GENERAL DYNAMICS CORP   COMM  369550108            32         500     SH        OTHER      01           500           0           0

 GENERAL DYNAMICS CORP   COMM  369550108         1,089      16,950     SH        DEFINED    99         4,875           0      12,075

 GENERAL ELECTRIC CO     COMM  369604103       543,786   4,915,583     SH        DEFINED    01     4,784,084       1,322     130,177

 GENERAL ELECTRIC CO     COMM  369604103       484,976   4,383,967     SH        OTHER      01     4,118,588      54,856     210,523

 GENERAL ELECTRIC CO     COMM  369604103           885       8,000     SH        DEFINED    01 02      8,000           0           0

 GENERAL ELECTRIC CO     COMM  369604103           774       7,000     SH        OTHER      01 03      7,000           0           0

 GENERAL ELECTRIC CO     COMM  369604103           121       1,100     SH        DEFINED    01 04      1,100           0           0

 GENERAL ELECTRIC CO     COMM  369604103         1,438      13,000     SH        OTHER      01 04     13,000           0           0

 GENERAL ELECTRIC CO     COMM  369604103           199       1,800     SH        OTHER      01 07      1,800           0           0

 GENERAL ELECTRIC CO     COMM  369604103        13,718     124,010     SH        DEFINED    99        27,575           0      96,435

 GENERAL ELECTRIC CO     COMM  369604103           132       1,200     SH        OTHER      99             0           0       1,200

 GENERAL MAGNAPLATE CORP COMM  370262206           157      34,000     SH        DEFINED    01             0           0      34,000

 GENERAL MLS INC         COMM  370334104        12,538     165,932     SH        DEFINED    01       164,532           0       1,400

 GENERAL MLS INC         COMM  370334104        13,724     181,633     SH        OTHER      01       168,033           0      13,600

 GENERAL MLS INC         COMM  370334104           340       4,500     SH        OTHER      01 03      4,500           0           0

 GENERAL MOTORS CORP     COMM  370442105         9,302     106,930     SH        DEFINED    01       105,804           0       1,126

 GENERAL MOTORS CORP     COMM  370442105        26,908     309,293     SH        OTHER      01       175,679       3,388     130,226

 GENERAL MOTORS CORP     COMM  370442105            47         550     SH        OTHER      01 03        550           0           0

 GENERAL MOTORS CORP     COMM  370442105            43         500     SH        DEFINED    99             0           0         500

 GENERAL MTRS CORP CL H  COMM  370442832           136       2,709     SH        DEFINED    01         2,683           0          26

 GENERAL MTRS CORP CL H  COMM  370442832           301       5,986     SH        OTHER      01         5,176           0         810

 GENERAL MTRS CORP CL H  COMM  370442832           191       3,800     SH        DEFINED    99             0           0       3,800

 GENTEX CORP             COMM  371901109           462      21,450     SH        OTHER      01        14,750           0       6,700

 GENSIA SICOR INC        COMM  372450106            43      15,600     SH        DEFINED    01        15,600           0           0

 GENUINE PARTS CO        COMM  372460105         2,417      83,910     SH        DEFINED    01        82,580           0       1,330

 GENUINE PARTS CO        COMM  372460105         1,517      52,679     SH        OTHER      01        45,967           0       6,712

 GENZYME CORP/GENERAL DI COMM  372917104         2,682      53,182     SH        DEFINED    01        52,857           0         325

 GENZYME CORP/GENERAL DI COMM  372917104           814      16,146     SH        OTHER      01        15,646           0         500

 GENZYME CORP/GENERAL DI COMM  372917104           807      16,000     SH        DEFINED    99             0           0      16,000

 GEORGIA PAC CORP COM (G COMM  373298108         1,513      20,387     SH        DEFINED    01        20,387           0           0

 GEORGIA PAC CORP COM (G COMM  373298108         1,925      25,929     SH        OTHER      01        25,429           0         500

 GEORGIA PAC CORP-TIMBER COMM  373298702           281      12,563     SH        DEFINED    01        12,559           0           4

 GEORGIA PAC CORP-TIMBER COMM  373298702           445      19,863     SH        OTHER      01        19,863           0           0

 GIANT GROUP             COMM  374503100             2      41,164     SH        DEFINED    01        41,164           0           0

 GILLETTE CO             COMM  375766102        77,646   1,306,362     SH        DEFINED    01     1,276,668           0      29,694

 GILLETTE CO             COMM  375766102        63,111   1,061,807     SH        OTHER      01       986,995      26,740      48,072

 GILLETTE CO             COMM  375766102           213       3,600     SH        DEFINED    01 02      3,600           0           0

 GILLETTE CO             COMM  375766102            95       1,600     SH        OTHER      01 05      1,600           0           0

 GILLETTE CO             COMM  375766102            71       1,200     SH        OTHER      01 07      1,200           0           0

 GILLETTE CO             COMM  375766102         8,594     144,600     SH        DEFINED    99        23,800           0     120,800

 GILLETTE CO             COMM  375766102            95       1,600     SH        OTHER      99             0           0       1,600

 GLAXO WELLCOME PLC SPON AMER  37733W105         5,786      86,443     SH        DEFINED    01        85,743           0         700

</TABLE> 
<PAGE>
 
                                                                  PAGE   22     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 GLAXO WELLCOME PLC SPON AMER  37733W105         4,685      69,993     SH        OTHER      01        64,593           0       5,400

 GLAXO WELLCOME PLC SPON AMER  37733W105            26         400     SH        DEFINED    01 04        400           0           0

 GLAXO WELLCOME PLC SPON AMER  37733W105             0           0     SH        OTHER      01 04          0           0           0

 GLOBAL TELESYSTEMS GROU COMM  37936U104           363       6,500     SH        DEFINED    01         6,500           0           0

 GLOBAL TELESYSTEMS GROU COMM  37936U104         4,318      77,200     SH        DEFINED    99             0           0      77,200

 GOODYEAR TIRE & RUBBER  COMM  382550101           279       5,620     SH        DEFINED    01         4,470           0       1,150

 GOODYEAR TIRE & RUBBER  COMM  382550101           438       8,810     SH        OTHER      01         8,410           0         400

 GRAINGER W W INC        COMM  384802104         1,598      37,109     SH        DEFINED    01        37,109           0           0

 GRAINGER W W INC        COMM  384802104         2,459      57,108     SH        OTHER      01        56,908           0         200

 GRAINGER W W INC        COMM  384802104           861      20,000     SH        DEFINED    99        20,000           0           0

 GREAT LAKES CHEM CORP   COMM  390568103           257       7,008     SH        DEFINED    01         7,008           0           0

 GREAT LAKES CHEM CORP   COMM  390568103           202       5,500     SH        OTHER      01         4,800           0         700

 GROUPE DANONES SPONSORE AMER  399449107           445       8,925     SH        DEFINED    01         8,925           0           0

 GRUPO                   COMM  40049F105             0      10,000     SH        DEFINED    01        10,000           0           0

 GUIDANT CORP            COMM  401698105        13,093     216,424     SH        DEFINED    01       216,320           0         104

 GUIDANT CORP            COMM  401698105         1,893      31,300     SH        OTHER      01        31,300           0           0

 GUIDANT CORP            COMM  401698105        32,331     534,400     SH        DEFINED    99         9,800           0     524,600

 GUITAR CTR MGMT INC COM COMM  402040109         1,997      97,750     SH        DEFINED    01        97,750           0           0

 GUITAR CTR MGMT INC COM COMM  402040109         3,270     160,000     SH        DEFINED    99             0           0     160,000

 HTE                     COMM  403926108            17     580,332     SH        DEFINED    01       580,332           0           0

 HIE INC                 COMM  40419W100         2,001     444,700     SH        DEFINED    01       424,700           0      20,000

 HIE INC                 COMM  40419W100           249      55,500     SH        OTHER      01         5,500           0      50,000

 HIE INC                 COMM  40419W100         2,362     525,000     SH        DEFINED    99             0           0     525,000

 HSB GROUP INC           COMM  40428N109         2,492      67,125     SH        DEFINED    01        67,125           0           0

 HSB GROUP INC           COMM  40428N109         1,248      33,625     SH        OTHER      01        30,925       2,700           0

 HALLIBURTON CO HLDNG    COMM  406216101        15,702     407,845     SH        DEFINED    01       404,419           0       3,426

 HALLIBURTON CO HLDNG    COMM  406216101         4,693     121,905     SH        OTHER      01       116,645         660       4,600

 HALLIBURTON CO HLDNG    COMM  406216101           921      23,930     SH        DEFINED    99         8,300           0      15,630

 HANCOCK JHN BK & THRFT  MF C  409735107            92      10,140     SH        DEFINED    01        10,140           0           0

 HANNAFORD BROS CO       COMM  410550107           240       5,300     SH        DEFINED    01         5,000           0         300

 HANNAFORD BROS CO       COMM  410550107           295       6,500     SH        OTHER      01         2,300           0       4,200

 HARCOURT GENERAL INC CO COMM  41163G101           364       8,224     SH        DEFINED    01         3,224           0       5,000

 HARCOURT GENERAL INC CO COMM  41163G101           941      21,250     SH        OTHER      01        21,250           0           0

 HARLEY DAVIDSON INC     COMM  412822108           384       6,700     SH        DEFINED    01         6,450           0         250

 HARLEY DAVIDSON INC     COMM  412822108           481       8,400     SH        OTHER      01         8,400           0           0

 HARLEY DAVIDSON INC     COMM  412822108            75       1,310     SH        DEFINED    99             0           0       1,310

 HARTFORD FINL SVCS GROU COMM  416515104         3,892      68,507     SH        DEFINED    01        68,307           0         200

 HARTFORD FINL SVCS GROU COMM  416515104         4,450      78,330     SH        OTHER      01        73,332       3,290       1,708

 HARTFORD LIFE INC CL A  COMM  416592103        13,018     236,700     SH        DEFINED    01       232,600           0       4,100

 HARTFORD LIFE INC CL A  COMM  416592103         2,691      48,941     SH        OTHER      01        44,081       1,360       3,500

 HARTFORD LIFE INC CL A  COMM  416592103            77       1,400     SH        DEFINED    99           400           0       1,000

 HASBRO INC              COMM  418056107           123       4,285     SH        DEFINED    01         4,285           0           0

 HASBRO INC              COMM  418056107           121       4,191     SH        OTHER      01         4,191           0           0

 HEINZ H J CO            COMM  423074103         6,072     128,180     SH        DEFINED    01       127,480         250         450

 HEINZ H J CO            COMM  423074103         6,568     138,646     SH        OTHER      01       131,826       3,900       2,920

</TABLE> 
<PAGE>
 
                                                                  PAGE   23     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 HERCULES INC            COMM  427056106            60       2,400     SH        DEFINED    01         2,400           0           0

 HERCULES INC            COMM  427056106         4,411     174,700     SH        OTHER      01       174,700           0           0

 HERSHEY FOODS CORP      COMM  427866108         1,961      34,982     SH        DEFINED    01        34,607           0         375

 HERSHEY FOODS CORP      COMM  427866108         3,837      68,447     SH        OTHER      01        67,147       1,000         300

 HERSHEY FOODS CORP      COMM  427866108           336       6,000     SH        DEFINED    99         6,000           0           0

 HEWLETT PACKARD CO      COMM  428236103        64,138     945,823     SH        DEFINED    01       937,956         600       7,267

 HEWLETT PACKARD CO      COMM  428236103        54,350     801,487     SH        OTHER      01       752,778       5,500      43,209

 HEWLETT PACKARD CO      COMM  428236103           352       5,200     SH        DEFINED    01 02      5,200           0           0

 HEWLETT PACKARD CO      COMM  428236103            94       1,400     SH        DEFINED    01 04      1,400           0           0

 HEWLETT PACKARD CO      COMM  428236103         1,017      15,000     SH        OTHER      01 04     15,000           0           0

 HEWLETT PACKARD CO      COMM  428236103           990      14,600     SH        DEFINED    99        14,600           0           0

 HEWLETT PACKARD CO      COMM  428236103            40         600     SH        OTHER      99             0           0         600

 HILLENBRAND INDS INC    COMM  431573104            41         900     SH        DEFINED    01           900           0           0

 HILLENBRAND INDS INC    COMM  431573104           184       4,000     SH        OTHER      01         4,000           0           0

 HOME DEPOT INC          CORP  437076AE2            69      25,000     SH        DEFINED    01        25,000           0           0

 HOME DEPOT INC          COMM  437076102        88,278   1,418,122     SH        DEFINED    01     1,348,574       1,200      68,348

 HOME DEPOT INC          COMM  437076102        33,521     538,506     SH        OTHER      01       518,043       2,550      17,913

 HOME DEPOT INC          COMM  437076102            74       1,200     SH        DEFINED    01 02      1,200           0           0

 HOME DEPOT INC          COMM  437076102           373       6,000     SH        OTHER      01 04      6,000           0           0

 HOME DEPOT INC          COMM  437076102        32,659     524,645     SH        DEFINED    99        18,650           0     505,995

 HONEYWELL INC           COMM  438506107        10,349     136,517     SH        DEFINED    01       133,167           0       3,350

 HONEYWELL INC           COMM  438506107         2,995      39,518     SH        OTHER      01        35,568       2,050       1,900

 HONEYWELL INC           COMM  438506107            53         700     SH        DEFINED    99             0           0         700

 HOUGHTON MIFFLIN CO     COMM  441560109         3,096      66,068     SH        DEFINED    01        65,668           0         400

 HOUGHTON MIFFLIN CO     COMM  441560109            65       1,400     SH        OTHER      01         1,400           0           0

 HOUSEHOLD INTL INC      COMM  441815107         1,499      32,857     SH        DEFINED    01        32,557           0         300

 HOUSEHOLD INTL INC      COMM  441815107         1,202      26,365     SH        OTHER      01        24,265         600       1,500

 HOUSEHOLD INTL INC      COMM  441815107             0           0     SH        DEFINED    99             0           0           0

 HUBBELL INC CL A        COMM  443510102            93       2,528     SH        DEFINED    01         2,528           0           0

 HUBBELL INC CL A        COMM  443510102           111       3,000     SH        OTHER      01             0       3,000           0

 HUBBELL INC CL B        COMM  443510201           881      22,028     SH        DEFINED    01        22,028           0           0

 HUBBELL INC CL B        COMM  443510201           399       9,984     SH        OTHER      01         1,280       3,304       5,400

 HUNT J B TRANS SVCS INC COMM  445658107            16         775     SH        DEFINED    01           775           0           0

 HUNT J B TRANS SVCS INC COMM  445658107             0           0     SH        OTHER      01             0           0           0

 HUNT J B TRANS SVCS INC COMM  445658107           624      29,750     SH        DEFINED    99        11,100           0      18,650

 IMC MORTGAGE CO         COMM  449923101             2      16,400     SH        DEFINED    01        16,400           0           0

 IMS HEALTH INC-W/I      COMM  449934108         5,180     156,398     SH        DEFINED    01       155,798           0         600

 IMS HEALTH INC-W/I      COMM  449934108         5,815     175,566     SH        OTHER      01       159,164       2,002      14,400

 ISS GROUP INC OC-COM    COMM  450306105         1,703      33,841     SH        DEFINED    01        33,841           0           0

 ISS GROUP INC OC-COM    COMM  450306105         2,782      35,000     SH        DEFINED    99             0           0      35,000

 ITT INDS INC IND        COMM  450911102           461      13,046     SH        DEFINED    01        13,046           0           0

 ITT INDS INC IND        COMM  450911102           714      20,210     SH        OTHER      01        16,487       1,645       2,078

 IDACORP INC COM         COMM  451107106           427      14,518     SH        DEFINED    01        14,518           0           0

 IDACORP INC COM         COMM  451107106           540      18,366     SH        OTHER      01        17,566           0         800

 ILLINOIS TOOL WKS INC   COMM  452308109         2,799      45,238     SH        DEFINED    01        44,188           0       1,050

</TABLE> 
<PAGE>
 
                                                                  PAGE   24     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 ILLINOIS TOOL WKS INC   COMM  452308109         2,321      37,523     SH        OTHER      01        27,023       5,500       5,000

 IMAGYN MED TECHNOLOGIES COMM  45244E100             0     173,601     SH        DEFINED    01       173,601           0           0

 IMPERIAL OIL LTD COM NE AMER  453038408            80       4,200     SH        DEFINED    01         4,200           0           0

 IMPERIAL OIL LTD COM NE AMER  453038408           427      22,350     SH        OTHER      01             0           0      22,350

 IMPERIAL SUGAR CO NEW   COMM  453096109             0           0     SH        OTHER      01             0           0           0

 INCO LTD DEB CONV       CORP  453258AK1             8      10,000     SH        OTHER      01        10,000           0           0

 INGERSOLL RAND CO       COMM  456866102         2,100      42,336     SH        DEFINED    01        42,336           0           0

 INGERSOLL RAND CO       COMM  456866102         3,057      61,619     SH        OTHER      01        58,919       2,700           0

 INPRISE CORP            COMM  45766C102           581     150,000     SH        DEFINED    01       150,000           0           0

 INTEL CORP              COMM  458140100       150,230   1,263,771     SH        DEFINED    01     1,231,446         200      32,125

 INTEL CORP              COMM  458140100        84,233     708,593     SH        OTHER      01       670,766       4,910      32,917

 INTEL CORP              COMM  458140100           237       2,000     SH        DEFINED    01 02      2,000           0           0

 INTEL CORP              COMM  458140100         2,115      17,800     SH        OTHER      01 04     17,800           0           0

 INTEL CORP              COMM  458140100           689       5,800     SH        OTHER      01 06      5,800           0           0

 INTEL CORP              COMM  458140100             5          50     SH        OTHER      01 07         50           0           0

 INTEL CORP              COMM  458140100        24,654     207,400     SH        DEFINED    99         9,600           0     197,800

 INTERNATIONAL BUSINESS  COMM  459200101       140,062     790,200     SH        DEFINED    01       759,633         150      30,417

 INTERNATIONAL BUSINESS  COMM  459200101        99,758     562,815     SH        OTHER      01       521,610       8,776      32,429

 INTERNATIONAL BUSINESS  COMM  459200101           106         600     SH        DEFINED    01 02        600           0           0

 INTERNATIONAL BUSINESS  COMM  459200101           460       2,600     SH        OTHER      01 03      2,600           0           0

 INTERNATIONAL BUSINESS  COMM  459200101           141         800     SH        DEFINED    01 04        800           0           0

 INTERNATIONAL BUSINESS  COMM  459200101           886       5,000     SH        OTHER      01 04      5,000           0           0

 INTERNATIONAL BUSINESS  COMM  459200101            22         125     SH        OTHER      01 05        125           0           0

 INTERNATIONAL BUSINESS  COMM  459200101            70         400     SH        OTHER      01 06        400           0           0

 INTERNATIONAL BUSINESS  COMM  459200101            17         100     SH        OTHER      01 07        100           0           0

 INTERNATIONAL BUSINESS  COMM  459200101         1,933      10,907     SH        DEFINED    99         5,292           0       5,615

 INTL FLAVORS & FRAGRANC COMM  459506101           454      12,088     SH        DEFINED    01        12,088           0           0

 INTL FLAVORS & FRAGRANC COMM  459506101           570      15,185     SH        OTHER      01        13,885         900         400

 INTERNATIONAL PAPER CO  COMM  460146103         4,374     103,702     SH        DEFINED    01       101,702           0       2,000

 INTERNATIONAL PAPER CO  COMM  460146103         2,881      68,308     SH        OTHER      01        65,908           0       2,400

 INTERPUBLIC GROUP COS I COMM  460690100         1,298      16,669     SH        DEFINED    01        14,869           0       1,800

 INTERPUBLIC GROUP COS I COMM  460690100           691       8,875     SH        OTHER      01         5,125           0       3,750

 INTERSTATE ENERGY CORP  COMM  460845100            14         550     SH        DEFINED    01           400           0         150

 INTERSTATE ENERGY CORP  COMM  460845100           347      13,067     SH        OTHER      01         9,739       3,328           0

 IRON MTN INC DEL        COMM  46284P104         1,325      42,400     SH        OTHER      01        37,500           0       4,900

 I2 TECHNOLOGIES INC     COMM  465754109           907      34,140     SH        DEFINED    01        30,740           0       3,400

 I2 TECHNOLOGIES INC     COMM  465754109           223       8,400     SH        OTHER      01         8,400           0           0

 I2 TECHNOLOGIES INC     COMM  465754109         3,989     150,000     SH        DEFINED    99             0           0     150,000

 JACOBSON STORES INC     CORP  469834AC9            11      15,000     SH        DEFINED    01        15,000           0           0

 JAKKS PAC INC           COMM  47012E106         1,572      85,000     SH        DEFINED    01        85,000           0           0

 JAKKS PAC INC           COMM  47012E106         2,127     115,000     SH        DEFINED    99             0           0     115,000

 JEFFERSON PILOT CORP    COMM  475070108           337       4,987     SH        DEFINED    01         4,987           0           0

 JEFFERSON PILOT CORP    COMM  475070108           914      13,500     SH        OTHER      01        11,701           0       1,799

 MEDITRUST COMPANIES     COMM  476909106            13     111,551     SH        DEFINED    01       111,551           0           0

 JOHNSON & JOHNSON       COMM  478160104        98,693   1,055,549     SH        DEFINED    01     1,049,949         700       4,900

</TABLE> 
<PAGE>
 
                                                                  PAGE   25     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 JOHNSON & JOHNSON       COMM  478160104        97,570   1,043,530     SH        OTHER      01       967,013       8,534      67,983

 JOHNSON & JOHNSON       COMM  478160104           280       3,000     SH        DEFINED    01 02      3,000           0           0

 JOHNSON & JOHNSON       COMM  478160104           748       8,000     SH        OTHER      01 04      8,000           0           0

 JOHNSON & JOHNSON       COMM  478160104           607       6,500     SH        OTHER      01 06      6,500           0           0

 JOHNSON & JOHNSON       COMM  478160104            56         600     SH        OTHER      01 07        600           0           0

 JOHNSON & JOHNSON       COMM  478160104        13,482     144,200     SH        DEFINED    99        14,400           0     129,800

 JOHNSON CTLS INC        COMM  478366107           501       8,040     SH        DEFINED    01         8,040           0           0

 JOHNSON CTLS INC        COMM  478366107           268       4,299     SH        OTHER      01         2,900           0       1,399

 JOHNSON CTLS INC        COMM  478366107           180       2,900     SH        DEFINED    99             0           0       2,900

 JONES APPAREL GROUP INC COMM  480074103            42       1,510     SH        DEFINED    01         1,510           0           0

 JONES APPAREL GROUP INC COMM  480074103             8         296     SH        OTHER      01           296           0           0

 JONES APPAREL GROUP INC COMM  480074103           977      35,000     SH        DEFINED    99        12,800           0      22,200

 JOURNAL REGISTER CO     COMM  481138105           270      22,500     SH        OTHER      01        22,500           0           0

 KLA-TENCOR CORP         COMM  482480100           291       6,000     SH        DEFINED    01             0           0       6,000

 KLA-TENCOR CORP         COMM  482480100             0           0     SH        OTHER      01             0           0           0

 KLA-TENCOR CORP         COMM  482480100             0           0     SH        DEFINED    99             0           0           0

 KANEB SVCS INC          COMM  484170105           114      28,200     SH        OTHER      01        28,200           0           0

 KANSAS CITY SOUTHN INDS COMM  485170104            55         975     SH        DEFINED    01           975           0           0

 KANSAS CITY SOUTHN INDS COMM  485170104         1,149      20,160     SH        OTHER      01        20,160           0           0

 KANSAS CITY SOUTHN INDS COMM  485170104         1,097      19,250     SH        DEFINED    99         7,350           0      11,900

 KAUFMAN & BROAD HOME CO COMM  486168107            51       2,280     SH        DEFINED    01         2,280           0           0

 KAUFMAN & BROAD HOME CO COMM  486168107             9         400     SH        OTHER      01           400           0           0

 KAUFMAN & BROAD HOME CO COMM  486168107         1,216      53,900     SH        DEFINED    99        20,350           0      33,550

 KEANE INC               COMM  486665102            22       1,046     SH        DEFINED    01           790           0         256

 KEANE INC               COMM  486665102            25       1,200     SH        OTHER      01         1,000           0         200

 KEANE INC               COMM  486665102           257      12,075     SH        DEFINED    99         4,150           0       7,925

 KELLEY OIL & GAS PARTNE CORP  487736AA8            38     120,000     SH        OTHER      01       120,000           0           0

 KELLOGG CO              COMM  487836108         1,433      42,383     SH        DEFINED    01        41,733           0         650

 KELLOGG CO              COMM  487836108         3,018      89,264     SH        OTHER      01        82,664       4,800       1,800

 KEMPER MUN INC TR COM S MF C  48842C104           151      11,800     SH        OTHER      01        11,800           0           0

 KERR MCGEE CORP         COMM  492386107           108       3,300     SH        DEFINED    01         3,300           0           0

 KERR MCGEE CORP         COMM  492386107           185       5,652     SH        OTHER      01         5,652           0           0

 KEY PRODUCTIONS INC     COMM  493138101             0           0     SH        OTHER      01             0           0           0

 KEYCORP NEW             COMM  493267108           639      21,094     SH        DEFINED    01        14,510           0       6,584

 KEYCORP NEW             COMM  493267108         3,242     106,970     SH        OTHER      01        99,970           0       7,000

 KEYSPAN ENERGY          COMM  49337K106           120       4,784     SH        DEFINED    01         4,784           0           0

 KEYSPAN ENERGY          COMM  49337K106           102       4,087     SH        OTHER      01         3,999           0          88

 KIMBERLY CLARK CORP     COMM  494368103        11,847     247,150     SH        DEFINED    01       244,650           0       2,500

 KIMBERLY CLARK CORP     COMM  494368103        10,062     209,905     SH        OTHER      01       206,505       2,600         800

 KIMBERLY CLARK CORP     COMM  494368103            47       1,000     SH        OTHER      01 03      1,000           0           0

 KIMBERLY CLARK CORP     COMM  494368103             9         200     SH        DEFINED    99             0           0         200

 KINDER MORGAN ENERGY PA MAST  494550106            76       2,207     SH        DEFINED    01         2,207           0           0

 KINDER MORGAN ENERGY PA MAST  494550106           134       3,892     SH        OTHER      01         1,390           0       2,502

 KOLLMORGEN CORP         COMM  500440102             0           0     SH        DEFINED    01             0           0           0

 KONINKLIJKE AHOLD N V S AMER  500467303         1,034      27,046     SH        DEFINED    01        27,046           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   26     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 KONINKLIJKE AHOLD N V S AMER  500467303            30         800     SH        OTHER      01           800           0           0

 KONINKLIJKE PHILIPS ELE AMER  500472105           921      11,175     SH        DEFINED    01        11,175           0           0

 KONINKLIJKE PHILIPS ELE AMER  500472105           107       1,300     SH        OTHER      01         1,300           0           0

 KONINKLIJKE PHILIPS ELE AMER  500472105           103       1,250     SH        DEFINED    99           775           0         475

 KROGER CO               COMM  501044101        12,639     211,093     SH        DEFINED    01       160,780           0      50,313

 KROGER CO               COMM  501044101           379       6,341     SH        OTHER      01         6,341           0           0

 KROGER CO               COMM  501044101         1,963      32,800     SH        DEFINED    99        10,400           0      22,400

 LG AND E ENERGY CORP    COMM  501917108           168       8,095     SH        DEFINED    01         8,095           0           0

 LG AND E ENERGY CORP    COMM  501917108           261      12,552     SH        OTHER      01        12,552           0           0

 LSI LOGIC CORP          COMM  502161102             0           0     SH        DEFINED    01             0           0           0

 LSI LOGIC CORP          COMM  502161102            46       1,500     SH        OTHER      01         1,500           0           0

 LAKEVIEW FINL CORP      COMM  512222100           430      20,000     SH        DEFINED    01        20,000           0           0

 LAMAR ADVERTISING CO CL COMM  512815101           407      12,000     SH        DEFINED    01        12,000           0           0

 LAUDER ESTEE COS INC CL COMM  518439104           614       6,500     SH        DEFINED    01         6,500           0           0

 LAUDER ESTEE COS INC CL COMM  518439104            18         200     SH        OTHER      01           200           0           0

 LAUDER ESTEE COS INC CL COMM  518439104           264       2,800     SH        DEFINED    99             0           0       2,800

 LEGATO SYS INC          COMM  524651106         5,224     101,204     SH        DEFINED    01       100,204           0       1,000

 LEGATO SYS INC          COMM  524651106           875      16,966     SH        OTHER      01         8,966           0       8,000

 LEGATO SYS INC          COMM  524651106         5,420     105,000     SH        DEFINED    99             0           0     105,000

 LEGGETT & PLATT INC     COMM  524660107         1,629      81,490     SH        DEFINED    01        81,490           0           0

 LEHMAN BROTHERS HOLDING COMM  524908100            62       1,048     SH        DEFINED    01         1,048           0           0

 LEHMAN BROTHERS HOLDING COMM  524908100           116       1,953     SH        OTHER      01         1,953           0           0

 LEHMAN BROTHERS HOLDING COMM  524908100         1,502      25,150     SH        DEFINED    99         9,250           0      15,900

 LEXMARK INTL GROUP INC  COMM  529771107           823       7,360     SH        DEFINED    01         7,360           0           0

 LEXMARK INTL GROUP INC  COMM  529771107             0           0     SH        OTHER      01             0           0           0

 LEXMARK INTL GROUP INC  COMM  529771107         1,308      11,700     SH        DEFINED    99         4,075           0       7,625

 LILLY ELI & CO          COMM  532457108        69,518     819,074     SH        DEFINED    01       807,057         900      11,117

 LILLY ELI & CO          COMM  532457108        36,214     426,675     SH        OTHER      01       403,137      13,100      10,438

 LILLY ELI & CO          COMM  532457108        14,591     171,918     SH        DEFINED    99        10,793           0     161,125

 LINCOLN NATL CORP IND   COMM  534187109         1,149      11,630     SH        DEFINED    01        11,630           0           0

 LINCOLN NATL CORP IND   COMM  534187109         1,160      11,734     SH        OTHER      01        11,734           0           0

 LINEAR TECHNOLOGY CORP  COMM  535678106         1,127      22,000     SH        OTHER      01        20,000       2,000           0

 LINENS 'N' THINGS       COMM  535679104           222       4,900     SH        OTHER      01             0           0       4,900

 LITCHFIELD FINL CORP    COMM  536619109           930      54,750     SH        DEFINED    01        54,750           0           0

 LITCHFIELD FINL CORP    COMM  536619109            45       2,700     SH        OTHER      01             0           0       2,700

 LITCHFIELD FINL CORP    COMM  536619109         3,034     178,500     SH        DEFINED    99             0           0     178,500

 LOCKHEED MARTIN CORP    COMM  539830109           322       8,544     SH        DEFINED    01         8,544           0           0

 LOCKHEED MARTIN CORP    COMM  539830109         1,174      31,111     SH        OTHER      01        31,111           0           0

 LONGVIEW FIBRE CO       COMM  543213102           289      25,000     SH        OTHER      01        25,000           0           0

 LOWES COS INC           COMM  548661107           290       4,795     SH        DEFINED    01         4,795           0           0

 LOWES COS INC           COMM  548661107         4,519      74,700     SH        OTHER      01        74,700           0           0

 LOWES COS INC           COMM  548661107         2,029      33,550     SH        DEFINED    99        11,100           0      22,450

 LUBRIZOL CORP           COMM  549271104            46       2,050     SH        DEFINED    01         2,050           0           0

 LUBRIZOL CORP           COMM  549271104           299      13,300     SH        OTHER      01        13,300           0           0

 LUCENT TECHNOLOGIES INC COMM  549463107       105,134     973,469     SH        DEFINED    01       918,919         116      54,434

</TABLE> 
<PAGE>
 
                                                                  PAGE   27     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 LUCENT TECHNOLOGIES INC COMM  549463107        67,449     624,537     SH        OTHER      01       579,385      10,198      34,954

 LUCENT TECHNOLOGIES INC COMM  549463107           259       2,400     SH        DEFINED    01 02      2,400           0           0

 LUCENT TECHNOLOGIES INC COMM  549463107            48         452     SH        OTHER      01 03        452           0           0

 LUCENT TECHNOLOGIES INC COMM  549463107            27         258     SH        OTHER      01 07        258           0           0

 LUCENT TECHNOLOGIES INC COMM  549463107         3,639      33,702     SH        DEFINED    99        21,402           0      12,300

 LUCENT TECHNOLOGIES INC COMM  549463107            55         518     SH        OTHER      99             0           0         518

 LUXOTTICA GRP S P A SPO AMER  55068R202         2,423     188,200     SH        DEFINED    01       182,950           0       5,250

 LUXOTTICA GRP S P A SPO AMER  55068R202           961      74,675     SH        OTHER      01        58,000           0      16,675

 LUXOTTICA GRP S P A SPO AMER  55068R202            14       1,130     SH        DEFINED    99           700           0         430

 MBIA INC                COMM  55262C100           474       8,184     SH        DEFINED    01         7,984           0         200

 MBIA INC                COMM  55262C100           866      14,940     SH        OTHER      01        11,740       1,200       2,000

 MBNA CORP               COMM  55262L100           559      23,432     SH        DEFINED    01        23,432           0           0

 MBNA CORP               COMM  55262L100           282      11,816     SH        OTHER      01        10,554           0       1,262

 MBNA CORP               COMM  55262L100           970      40,636     SH        DEFINED    99        13,746           0      26,889

 MCI WORLDCOM INC        COMM  55268B106        50,461     569,788     SH        DEFINED    01       526,324           0      43,464

 MCI WORLDCOM INC        COMM  55268B106        17,572     198,421     SH        OTHER      01       187,325       1,730       9,366

 MCI WORLDCOM INC        COMM  55268B106            53         600     SH        DEFINED    01 02        600           0           0

 MCI WORLDCOM INC        COMM  55268B106         1,247      14,084     SH        OTHER      01 04     14,084           0           0

 MCI WORLDCOM INC        COMM  55268B106         3,168      35,781     SH        DEFINED    99        19,042           0      16,739

 MFS INTER INCOME TR SH  MF C  55273C107            38       5,800     SH        DEFINED    01         5,800           0           0

 MFS INTER INCOME TR SH  MF C  55273C107            41       6,217     SH        OTHER      01         6,217           0           0

 MGI PHARMA INC          COMM  552880106            92      11,000     SH        OTHER      01        11,000           0           0

 MACDERMID INC           COMM  554273102        16,280     479,730     SH        DEFINED    01       479,730           0           0

 MACDERMID INC           COMM  554273102        47,369   1,395,794     SH        OTHER      01       193,600   1,133,205      68,989

 MACDERMID INC           COMM  554273102         3,733     110,000     SH        DEFINED    99             0           0     110,000

 MAGYAR TAVKOZLESI RT    AMER  559776109         2,033      76,000     SH        DEFINED    99             0           0      76,000

 MANITOWOC INC           COMM  563571108            45       1,095     SH        DEFINED    01         1,095           0           0

 MANITOWOC INC           COMM  563571108             0           0     SH        OTHER      01             0           0           0

 MANITOWOC INC           COMM  563571108           313       7,486     SH        DEFINED    99         2,762           0       4,724

 MARSH & MCLENNAN COS IN COMM  571748102         3,887      52,358     SH        DEFINED    01        52,358           0           0

 MARSH & MCLENNAN COS IN COMM  571748102         6,566      88,433     SH        OTHER      01        84,983       2,600         850

 MARSHALL & ILSLEY CORP  COMM  571834100           242       4,370     SH        DEFINED    01         4,370           0           0

 MARSHALL & ILSLEY CORP  COMM  571834100           105       1,900     SH        OTHER      01         1,900           0           0

 MARRIOT INTL INC NEW CL COMM  571903202             0           0     SH        DEFINED    01             0           0           0

 MARRIOT INTL INC NEW CL COMM  571903202           369      11,000     SH        OTHER      01        11,000           0           0

 MARRIOT INTL INC NEW CL COMM  571903202             0          10     SH        DEFINED    99            10           0           0

 MASCO CORP              COMM  574599106         2,102      74,416     SH        DEFINED    01        74,416           0           0

 MASCO CORP              COMM  574599106         6,336     224,318     SH        OTHER      01       211,650           0      12,668

 MASCOTECH INC           COMM  574670105           391      25,250     SH        OTHER      01        25,250           0           0

 MASSMUTUAL CORPORATE IN COMM  576292106           265      11,131     SH        OTHER      01         1,500           0       9,631

 MATTEL INC              COMM  577081102           220       8,858     SH        DEFINED    01         8,077           0         781

 MATTEL INC              COMM  577081102           595      23,863     SH        OTHER      01        23,863           0           0

 MAY DEPT STORES CO      COMM  577778103        14,098     360,335     SH        DEFINED    01       358,334         450       1,550

 MAY DEPT STORES CO      COMM  577778103         5,677     145,101     SH        OTHER      01       136,227       3,099       5,775

 MAY DEPT STORES CO      COMM  577778103             0           0     SH        DEFINED    99             0           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   28     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 MAYTAG CORP             COMM  578592107           109       1,817     SH        DEFINED    01         1,817           0           0

 MAYTAG CORP             COMM  578592107           186       3,083     SH        OTHER      01         3,083           0           0

 MAYTAG CORP             COMM  578592107         2,368      39,225     SH        DEFINED    99        12,650           0      26,575

 MCDONALDS CORP          COMM  580135101        30,234     667,234     SH        DEFINED    01       651,584           0      15,650

 MCDONALDS CORP          COMM  580135101        21,797     481,042     SH        OTHER      01       451,392       6,700      22,950

 MCDONALDS CORP          COMM  580135101            45       1,000     SH        OTHER      01 03      1,000           0           0

 MCDONALDS CORP          COMM  580135101            72       1,600     SH        DEFINED    01 04      1,600           0           0

 MCDONALDS CORP          COMM  580135101         1,359      30,000     SH        OTHER      01 04     30,000           0           0

 MCDONALDS CORP          COMM  580135101           267       5,900     SH        DEFINED    99             0           0       5,900

 MCDONALDS CORP          COMM  580135101            90       2,000     SH        OTHER      99             0           0       2,000

 MCGRAW HILL COS INC     COMM  580645109           632      11,600     SH        DEFINED    01        11,600           0           0

 MCGRAW HILL COS INC     COMM  580645109         2,534      46,500     SH        OTHER      01        45,700           0         800

 MCKESSON HBOC INC COM   COMM  58155Q103        15,339     232,413     SH        DEFINED    01       177,412           0      55,001

 MCKESSON HBOC INC COM   COMM  58155Q103         1,134      17,191     SH        OTHER      01        16,891         300           0

 MCKESSON HBOC INC COM   COMM  58155Q103           244       3,700     SH        OTHER      01 04      3,700           0           0

 MCKESSON HBOC INC COM   COMM  58155Q103         2,096      31,758     SH        DEFINED    99        10,470           0      21,288

 MEDIAONE GROUP INC      COMM  58440J104        40,378     636,503     SH        DEFINED    01       635,572           0         931

 MEDIAONE GROUP INC      COMM  58440J104        58,905     928,563     SH        OTHER      01       925,347         316       2,900

 MEDIAONE GROUP INC      COMM  58440J104           236       3,732     SH        DEFINED    99           332           0       3,400

 MEDIAONE GROUP INC PFD  PREF  58440J203        34,267     266,547     SH        DEFINED    01       266,547           0           0

 MEDIAONE GROUP INC PFD  PREF  58440J203       141,372   1,099,641     SH        OTHER      01     1,098,042           0       1,599

 MEDPARTNERS INC NEW     COMM  58503X107             2         604     SH        DEFINED    01           604           0           0

 MEDPARTNERS INC NEW     COMM  58503X107           180      37,907     SH        OTHER      01         2,421           0      35,486

 MEDTRONIC INC           COMM  585055106        33,629     467,894     SH        DEFINED    01       410,661       1,000      56,233

 MEDTRONIC INC           COMM  585055106         8,177     113,772     SH        OTHER      01       112,472       1,100         200

 MEDTRONIC INC           COMM  585055106        31,630     440,079     SH        DEFINED    99        14,130           0     425,949

 MELLON BK CORP          COMM  585509102         1,592      22,630     SH        DEFINED    01        22,030           0         600

 MELLON BK CORP          COMM  585509102         1,070      15,216     SH        OTHER      01        13,516       1,700           0

 MEMBERWORKS INC         COMM  586002107        15,406     425,000     SH        DEFINED    01       425,000           0           0

 MENS WEARHOUSE INC      COMM  587118100            18         650     SH        DEFINED    01           650           0           0

 MENS WEARHOUSE INC      COMM  587118100           718      24,900     SH        DEFINED    99         9,450           0      15,450

 MERCANTILE BANKSHARES C COMM  587405101            49       1,350     SH        DEFINED    01         1,350           0           0

 MERCANTILE BANKSHARES C COMM  587405101           183       4,956     SH        OTHER      01         1,206       2,700       1,050

 MERCK & CO INC          COMM  589331107       354,531   4,424,730     SH        DEFINED    01     4,314,917       1,122     108,691

 MERCK & CO INC          COMM  589331107       285,970   3,569,058     SH        OTHER      01     3,438,190      27,440     103,428

 MERCK & CO INC          COMM  589331107           592       7,400     SH        DEFINED    01 02      7,400           0           0

 MERCK & CO INC          COMM  589331107            72         900     SH        DEFINED    01 04        900           0           0

 MERCK & CO INC          COMM  589331107         2,243      28,000     SH        OTHER      01 04     28,000           0           0

 MERCK & CO INC          COMM  589331107           576       7,200     SH        OTHER      01 06      7,200           0           0

 MERCK & CO INC          COMM  589331107            72         900     SH        OTHER      01 07        900           0           0

 MERCK & CO INC          COMM  589331107         3,837      47,900     SH        DEFINED    99        30,300           0      17,600

 MERIDIAN MEDICAL TECH   COMM  589658103             7     126,985     SH        DEFINED    01       126,985           0           0

 MERRILL LYNCH & CO INC  COMM  590188108           351       3,967     SH        DEFINED    01         3,967           0           0

 MERRILL LYNCH & CO INC  COMM  590188108         1,647      18,620     SH        OTHER      01        10,460         160       8,000

 MERRILL LYNCH & CO INC  COMM  590188108            11         125     SH        DEFINED    99             0           0         125

</TABLE> 
<PAGE>
 
                                                                  PAGE   29     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 MESTEK INC              COMM  590829107           256      13,481     SH        DEFINED    01        13,481           0           0

 MESTEK INC              COMM  590829107         6,846     360,359     SH        OTHER      01           159           0     360,200

 MICROSOFT CORP          COMM  594918104       124,384   1,387,836     SH        DEFINED    01     1,298,476           0      89,360

 MICROSOFT CORP          COMM  594918104        76,991     859,038     SH        OTHER      01       794,848      17,068      47,122

 MICROSOFT CORP          COMM  594918104            89       1,000     SH        DEFINED    01 02      1,000           0           0

 MICROSOFT CORP          COMM  594918104            89       1,000     SH        OTHER      01 04      1,000           0           0

 MICROSOFT CORP          COMM  594918104            35         400     SH        OTHER      01 06        400           0           0

 MICROSOFT CORP          COMM  594918104        42,912     478,800     SH        DEFINED    99        12,900           0     465,900

 MIDAMERICAN ENERGY HOLD COMM  59562V107            10         375     SH        DEFINED    01           375           0           0

 MIDAMERICAN ENERGY HOLD COMM  59562V107            75       2,686     SH        OTHER      01         2,686           0           0

 MIDAMERICAN ENERGY HOLD COMM  59562V107           551      19,700     SH        DEFINED    99         6,750           0      12,950

 MIDCITY                 COMM  59563R105            10     160,000     SH        DEFINED    01       160,000           0           0

 MILLENNIUM PHARMACEUTIC COMM  599902103         1,659      53,100     SH        DEFINED    01        53,100           0           0

 MILLENNIUM PHARMACEUTIC COMM  599902103            31       1,000     SH        OTHER      01             0           0       1,000

 MILLENNIUM PHARMACEUTIC COMM  599902103         2,812      90,000     SH        DEFINED    99             0           0      90,000

 MILLIPORE CORP          COMM  601073109         1,491      61,819     SH        DEFINED    01        61,819           0           0

 MILLIPORE CORP          COMM  601073109         1,087      45,083     SH        OTHER      01        45,083           0           0

 MINNESOTA MNG & MFG CO  COMM  604059105        31,367     443,359     SH        DEFINED    01       440,367         142       2,850

 MINNESOTA MNG & MFG CO  COMM  604059105        31,853     450,223     SH        OTHER      01       430,397       7,056      12,770

 MINNESOTA MNG & MFG CO  COMM  604059105           120       1,700     SH        DEFINED    01 02      1,700           0           0

 MINNESOTA MNG & MFG CO  COMM  604059105           247       3,500     SH        OTHER      01 03      3,500           0           0

 MINNESOTA MNG & MFG CO  COMM  604059105           283       4,000     SH        OTHER      01 04      4,000           0           0

 MINNESOTA MNG & MFG CO  COMM  604059105            49         700     SH        OTHER      01 05        700           0           0

 MINNESOTA MNG & MFG CO  COMM  604059105           113       1,600     SH        OTHER      01 06      1,600           0           0

 MINNESOTA MNG & MFG CO  COMM  604059105            70       1,000     SH        DEFINED    99         1,000           0           0

 MOBIL CORP              COMM  607059102        68,840     782,279     SH        DEFINED    01       776,127           0       6,152

 MOBIL CORP              COMM  607059102        46,476     528,140     SH        OTHER      01       491,494      13,120      23,526

 MOBIL CORP              COMM  607059102         9,380     106,600     SH        DEFINED    99             0           0     106,600

 MODERN CTLS INC         COMM  607556107             0           0     SH        DEFINED    01             0           0           0

 MODERN CTLS INC         COMM  607556107            51      11,437     SH        OTHER      01        11,437           0           0

 MOLEX INC               COMM  608554101         9,714     330,717     SH        DEFINED    01       328,012         300       2,405

 MOLEX INC               COMM  608554101         3,430     116,766     SH        OTHER      01       113,316         750       2,700

 MOLEX INC               COMM  608554101           207       7,050     SH        DEFINED    99         1,550           0       5,500

 MONSANTO CO             COMM  611662107        31,404     683,635     SH        DEFINED    01       676,640           0       6,995

 MONSANTO CO             COMM  611662107        18,863     410,639     SH        OTHER      01       386,084       9,655      14,900

 MONSANTO CO             COMM  611662107             0           0     SH        DEFINED    01 02          0           0           0

 MONSANTO CO             COMM  611662107           275       6,000     SH        DEFINED    99         5,400           0         600

 MONTANA PWR CO          COMM  612085100            19         265     SH        DEFINED    01           265           0           0

 MONTANA PWR CO          COMM  612085100           191       2,600     SH        OTHER      01         2,600           0           0

 MONTANA PWR CO          COMM  612085100           772      10,500     SH        DEFINED    99         3,900           0       6,600

 MOORE LTD               AMER  615785102            91       9,300     SH        DEFINED    01         9,300           0           0

 MOORE LTD               AMER  615785102            50       5,100     SH        OTHER      01         5,100           0           0

 MORGAN J P & CO INC     COMM  616880100        47,993     389,005     SH        DEFINED    01       387,129           0       1,876

 MORGAN J P & CO INC     COMM  616880100        55,015     445,923     SH        OTHER      01       398,363       7,042      40,518

 MORGAN J P & CO INC     COMM  616880100           123       1,000     SH        DEFINED    01 02      1,000           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   30     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 MORGAN J P & CO INC     COMM  616880100            74         600     SH        DEFINED    01 04        600           0           0

 MORGAN J P & CO INC     COMM  616880100           308       2,500     SH        OTHER      01 04      2,500           0           0

 MORGAN J P & CO INC     COMM  616880100            30         250     SH        OTHER      01 07        250           0           0

 MORGAN J P & CO INC     COMM  616880100           616       5,000     SH        DEFINED    99         5,000           0           0

 MORGAN STANLEY ASIA-PAC MF C  61744U106            25       3,195     SH        DEFINED    01         3,195           0           0

 MORGAN STANLEY ASIA-PAC MF C  61744U106           622      77,800     SH        OTHER      01        73,800           0       4,000

 MORGAN STANLEY DEAN WIT COMM  617446448         2,590      25,923     SH        DEFINED    01        25,823           0         100

 MORGAN STANLEY DEAN WIT COMM  617446448         1,611      16,128     SH        OTHER      01        12,640           0       3,488

 MORGAN STANLEY DEAN WIT MF C  61745P478            63       7,050     SH        DEFINED    01         7,050           0           0

 MORGAN STANLEY DEAN WIT MF C  61745P478            36       4,000     SH        OTHER      01         4,000           0           0

 MORTON INTL INC IND NEW COMM  619335102         1,667      45,369     SH        DEFINED    01        44,869           0         500

 MORTON INTL INC IND NEW COMM  619335102           939      25,571     SH        OTHER      01        24,671         300         600

 MORTON INTL INC IND NEW COMM  619335102             0           0     SH        DEFINED    99             0           0           0

 MOTOROLA INC            COMM  620076109        17,451     238,252     SH        DEFINED    01       201,052           0      37,200

 MOTOROLA INC            COMM  620076109         8,062     110,070     SH        OTHER      01       103,270       2,850       3,950

 MOTOROLA INC            COMM  620076109         1,120      15,300     SH        DEFINED    99        13,000           0       2,300

 MURPHY OIL CORP         COMM  626717102           598      14,420     SH        DEFINED    01        14,420           0           0

 MURPHY OIL CORP         COMM  626717102           214       5,180     SH        OTHER      01         5,180           0           0

 MUTUAL RISK MGMT LTD    AMER  628351108            15         400     SH        DEFINED    01           400           0           0

 MUTUAL RISK MGMT LTD    AMER  628351108           190       4,950     SH        DEFINED    99         2,950           0       2,000

 NCI BLDG SYS INC        COMM  628852105             4         200     SH        DEFINED    01           200           0           0

 NCR CORP NEW            COMM  62886E108            62       1,244     SH        DEFINED    01         1,143           0         101

 NCR CORP NEW            COMM  62886E108           190       3,804     SH        OTHER      01         3,479         119         206

 NCR CORP NEW            COMM  62886E108             0           0     SH        DEFINED    99             0           0           0

 NIPSCO INDS INC         COMM  629140104         2,100      77,798     SH        DEFINED    01        73,225         184       4,389

 NIPSCO INDS INC         COMM  629140104         1,183      43,849     SH        OTHER      01        42,799         200         850

 NN BALL & ROLLER INC    COMM  629305103         8,065   1,418,173     SH        DEFINED    01        17,000           0   1,401,173

 NTL INC                 COMM  629407107           146       1,800     SH        DEFINED    01         1,800           0           0

 NTL INC                 COMM  629407107           260       3,200     SH        DEFINED    99             0           0       3,200

 NABISCO HLDGS CORP CL A COMM  629526104        10,994     264,526     SH        DEFINED    01       260,246         500       3,780

 NABISCO HLDGS CORP CL A COMM  629526104         1,133      27,279     SH        OTHER      01        23,954       1,375       1,950

 NABISCO HLDGS CORP CL A COMM  629526104             0           0     SH        DEFINED    01 02          0           0           0

 NABISCO HLDGS CORP CL A COMM  629526104           251       6,040     SH        DEFINED    99           800           0       5,240

 NABORS INDS INC         COMM  629568106            33       1,820     SH        DEFINED    01         1,820           0           0

 NABORS INDS INC         COMM  629568106            10         575     SH        OTHER      01           575           0           0

 NABORS INDS INC         COMM  629568106           262      14,450     SH        DEFINED    99         5,450           0       9,000

 NATIONAL CITY CORP      COMM  635405103        14,135     212,968     SH        DEFINED    01       211,868           0       1,100

 NATIONAL CITY CORP      COMM  635405103         3,813      57,456     SH        OTHER      01        56,656         800           0

 NATIONAL CITY CORP      COMM  635405103         1,062      16,000     SH        DEFINED    99        16,000           0           0

 NATIONAL COMPUTER SYS I COMM  635519101            36       1,475     SH        DEFINED    01         1,475           0           0

 NATIONAL COMPUTER SYS I COMM  635519101             0           0     SH        OTHER      01             0           0           0

 NATIONAL COMPUTER SYS I COMM  635519101           585      23,900     SH        DEFINED    99         8,400           0      15,500

 NATIONAL FUEL GAS CO N  COMM  636180101            50       1,295     SH        DEFINED    01         1,295           0           0

 NATIONAL FUEL GAS CO N  COMM  636180101           345       8,806     SH        OTHER      01         8,806           0           0

 NETWORKS ASSOCS INC     COMM  640938106            15         494     SH        DEFINED    01           344           0         150

</TABLE> 
<PAGE>
 
                                                                  PAGE   31     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 NETWORKS ASSOCS INC     COMM  640938106            29         950     SH        OTHER      01           800           0         150

 NETWORKS ASSOCS INC     COMM  640938106           461      15,037     SH        DEFINED    99         5,550           0       9,487

 NEW AMER HIGH INCOME FD MF C  641876107            57      12,922     SH        DEFINED    01        12,922           0           0

 NEW AMER HIGH INCOME FD MF C  641876107             5       1,250     SH        OTHER      01         1,250           0           0

 NEW CENTY ENERGIES INC  COMM  64352U103         6,010     176,442     SH        DEFINED    01       176,042           0         400

 NEW CENTY ENERGIES INC  COMM  64352U103         1,529      44,903     SH        OTHER      01        44,397           0         506

 NEW ENGLAND ELEC SYSTEM COMM  644001109         2,009      41,432     SH        DEFINED    01        40,782           0         650

 NEW ENGLAND ELEC SYSTEM COMM  644001109         1,855      38,253     SH        OTHER      01        37,093           0       1,160

 NEW ERA OF NETWORKS     COMM  644312100         5,897      87,045     SH        DEFINED    01        84,945           0       2,100

 NEW ERA OF NETWORKS     COMM  644312100           887      13,105     SH        OTHER      01         7,505           0       5,600

 NEW ERA OF NETWORKS     COMM  644312100         6,612      97,600     SH        DEFINED    99             0           0      97,600

 NEW YORK TIMES CO CL A  COMM  650111107           176       6,198     SH        DEFINED    01         6,198           0           0

 NEW YORK TIMES CO CL A  COMM  650111107           162       5,700     SH        OTHER      01         5,700           0           0

 NEWS LTD ADR NEW        AMER  652487703           388      13,165     SH        DEFINED    01        13,165           0           0

 NEWS LTD ADR NEW        AMER  652487703            33       1,130     SH        DEFINED    99           700           0         430

 NEWSTAR MEDIA           COMM  652503103             0      12,500     SH        DEFINED    01        12,500           0           0

 NEXTEL COMMUNICATIONS I COMM  65332V103            36       1,000     SH        DEFINED    01         1,000           0           0

 NEXTEL COMMUNICATIONS I COMM  65332V103           194       5,300     SH        OTHER      01         5,000           0         300

 NIELSEN MEDIA RESH INC  COMM  653929307           197       8,018     SH        DEFINED    01         8,018           0           0

 NIELSEN MEDIA RESH INC  COMM  653929307           506      20,532     SH        OTHER      01        18,068          66       2,398

 NOBLE AFFILIATES INC    COMM  654894104           626      21,609     SH        DEFINED    01        21,459           0         150

 NOBLE AFFILIATES INC    COMM  654894104           176       6,100     SH        OTHER      01         6,100           0           0

 NOKIA CORP SPONSORED AD AMER  654902204        27,647     177,515     SH        DEFINED    01       174,815           0       2,700

 NOKIA CORP SPONSORED AD AMER  654902204        18,769     120,511     SH        OTHER      01       115,711       3,000       1,800

 NOKIA CORP SPONSORED AD AMER  654902204           498       3,200     SH        DEFINED    99         3,200           0           0

 NORDSTROM INC           COMM  655664100           175       4,300     SH        DEFINED    01         3,800           0         500

 NORDSTROM INC           COMM  655664100           400       9,800     SH        OTHER      01         9,200         600           0

 NORFOLK SOUTHN CORP     COMM  655844108        10,820     410,244     SH        DEFINED    01       409,844           0         400

 NORFOLK SOUTHN CORP     COMM  655844108         6,844     259,510     SH        OTHER      01       226,985      11,025      21,500

 NORTH EUROPEAN OIL REAL COMM  659310106           240      18,008     SH        OTHER      01        18,008           0           0

 NORTHERN STS PWR CO MIN COMM  665772109           369      15,942     SH        DEFINED    01        15,942           0           0

 NORTHERN STS PWR CO MIN COMM  665772109           308      13,318     SH        OTHER      01        13,318           0           0

 NORTHERN TELECOM LTD    AMER  665815106           837      13,488     SH        DEFINED    01        13,488           0           0

 NORTHERN TELECOM LTD    AMER  665815106           685      11,035     SH        OTHER      01        11,035           0           0

 NORTHERN TELECOM LTD    AMER  665815106         1,118      18,000     SH        DEFINED    99             0           0      18,000

 NORTHERN TR CORP        COMM  665859104            32         370     SH        DEFINED    01           370           0           0

 NORTHERN TR CORP        COMM  665859104            82         925     SH        OTHER      01           925           0           0

 NORTHERN TR CORP        COMM  665859104           950      10,700     SH        DEFINED    99         3,600           0       7,100

 NORTHROP GRUMMAN CORP   COMM  666807102           173       2,903     SH        DEFINED    01         2,765           0         138

 NORTHROP GRUMMAN CORP   COMM  666807102            36         608     SH        OTHER      01           608           0           0

 NORTHWAY FINL INC       COMM  667270102           226       7,501     SH        OTHER      01         7,501           0           0

 NOVA CORP GA            COMM  669784100           245       9,364     SH        OTHER      01             0           0       9,364

 NOVAVAX INC             COMM  670002104            37      10,000     SH        DEFINED    01        10,000           0           0

 NOVELL INC              COMM  670006105            12         500     SH        DEFINED    01           500           0           0

 NOVELL INC              COMM  670006105           274      10,900     SH        OTHER      01        10,600         300           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   32     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 NOVELL INC              COMM  670006105            75       3,000     SH        DEFINED    99             0           0       3,000

 NOVO-NORDISK A S ADR    AMER  670100205           163       3,000     SH        OTHER      01         3,000           0           0

 NOVO-NORDISK A S ADR    AMER  670100205            61       1,130     SH        DEFINED    99           700           0         430

 NUCOR CORP              COMM  670346105         3,019      68,522     SH        DEFINED    01        68,522           0           0

 NUCOR CORP              COMM  670346105         1,231      27,960     SH        OTHER      01        27,960           0           0

 NUCOR CORP              COMM  670346105            11         255     SH        DEFINED    99             0           0         255

 NUVEEN PREM INCOME MUN  MF C  67062T100            12         850     SH        DEFINED    01           850           0           0

 NUVEEN PREM INCOME MUN  MF C  67062T100           224      14,966     SH        OTHER      01        14,966           0           0

 NUVEEN PREM INCOME MUN  MF C  67063W102           187      11,500     SH        OTHER      01        11,500           0           0

 OGE ENERGY CORP         COMM  670837103           384      17,056     SH        DEFINED    01        17,056           0           0

 OGE ENERGY CORP         COMM  670837103           454      20,140     SH        OTHER      01        20,140           0           0

 NUVEEN MUN VALUE FD INC MF C  670928100           138      14,016     SH        DEFINED    01        14,016           0           0

 NUVEEN MUN VALUE FD INC MF C  670928100           167      16,994     SH        OTHER      01        12,974           0       4,020

 OCCIDENTAL PETE CORP    COMM  674599105            63       3,551     SH        DEFINED    01         3,551           0           0

 OCCIDENTAL PETE CORP    COMM  674599105           172       9,570     SH        OTHER      01         9,570           0           0

 OCCUPATIONAL HEALTH     COMM  674617105             4     115,636     SH        DEFINED    01       115,636           0           0

 OFFICE DEPOT INC        COMM  676220106           306       8,200     SH        DEFINED    01         8,200           0           0

 OFFICE DEPOT INC        COMM  676220106         1,164      31,100     SH        DEFINED    99         9,700           0      21,400

 OMNICARE INC            COMM  681904108         3,176     166,640     SH        DEFINED    01       166,640           0           0

 OMNICARE INC            COMM  681904108             1         100     SH        OTHER      01           100           0           0

 OMNICARE INC            COMM  681904108        10,484     550,000     SH        DEFINED    99             0           0     550,000

 OMNICOM GROUP           COMM  681919106        12,952     162,031     SH        DEFINED    01       116,753           0      45,278

 OMNICOM GROUP           COMM  681919106         1,208      15,119     SH        OTHER      01        15,119           0           0

 OMNICOM GROUP           COMM  681919106         1,878      23,500     SH        DEFINED    99         8,350           0      15,150

 OPEN MARKET INC         COMM  68370M100            16       1,300     SH        DEFINED    01         1,300           0           0

 OPEN MARKET INC         COMM  68370M100         3,386     261,750     SH        OTHER      01           500           0     261,250

 ORACLE CORP             COMM  68389X105         7,532     285,599     SH        DEFINED    01       283,369           0       2,230

 ORACLE CORP             COMM  68389X105         2,286      86,704     SH        OTHER      01        79,580       4,275       2,849

 ORACLE CORP             COMM  68389X105           889      33,712     SH        DEFINED    99        13,275           0      20,437

 OUTBACK STEAKHOUSE INC  COMM  689899102         2,589      79,081     SH        DEFINED    01        79,081           0           0

 OUTBACK STEAKHOUSE INC  COMM  689899102             0           0     SH        OTHER      01             0           0           0

 OUTBACK STEAKHOUSE INC  COMM  689899102         5,434     165,937     SH        DEFINED    99        19,650           0     146,287

 OUTDOOR SYSTEMS INC     COMM  690057104           372      12,425     SH        OTHER      01             0           0      12,425

 OUTDOOR SYSTEMS INC     COMM  690057104           900      30,000     SH        DEFINED    99             0           0      30,000

 PECO ENERGY CO          COMM  693304107           118       2,555     SH        DEFINED    01         2,055           0         500

 PECO ENERGY CO          COMM  693304107           262       5,672     SH        OTHER      01         5,225         316         131

 PECO ENERGY CO          COMM  693304107         1,045      22,600     SH        DEFINED    99         8,050           0      14,550

 PG&E CORP               COMM  69331C108         1,437      46,272     SH        DEFINED    01        46,272           0           0

 PG&E CORP               COMM  69331C108         1,746      56,221     SH        OTHER      01        55,265         456         500

 PF CHANGS CHINA BISTRO  COMM  69333Y108         1,137      37,300     SH        DEFINED    01        37,300           0           0

 PF CHANGS CHINA BISTRO  COMM  69333Y108         1,936      63,500     SH        DEFINED    99             0           0      63,500

 PNC BANK CORP           COMM  693475105         1,786      32,155     SH        DEFINED    01        31,905           0         250

 PNC BANK CORP           COMM  693475105         2,051      36,918     SH        OTHER      01        32,698       1,100       3,120

 P P & L RESOURCES INC   COMM  693499105           125       5,058     SH        DEFINED    01         3,958           0       1,100

 P P & L RESOURCES INC   COMM  693499105           251      10,156     SH        OTHER      01         9,652         504           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   33     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 PPG INDS INC            COMM  693506107           329       6,420     SH        DEFINED    01         6,420           0           0

 PPG INDS INC            COMM  693506107           927      18,090     SH        OTHER      01        17,890         200           0

 PACIFICORP              COMM  695114108           420      24,371     SH        DEFINED    01        23,371           0       1,000

 PACIFICORP              COMM  695114108           415      24,108     SH        OTHER      01        20,090           0       4,018

 PACKAGED ICE INC        COMM  695148106             0      12,100     SH        DEFINED    01        12,100           0           0

 PAIRGAIN TECHNOLOGIES   COMM  695934109             1      16,000     SH        DEFINED    01        16,000           0           0

 PALOMAR MED TECHNOLOGIE COMM  697529105            11      20,000     SH        DEFINED    01        20,000           0           0

 PAPA JOHNS INTL INC     COMM  698813102         1,193      27,038     SH        DEFINED    01        25,913           0       1,125

 PARKER HANNIFIN CORP    COMM  701094104         4,326     126,313     SH        DEFINED    01       126,313           0           0

 PARKER HANNIFIN CORP    COMM  701094104           433      12,643     SH        OTHER      01        12,643           0           0

 PARKER HANNIFIN CORP    COMM  701094104             6         200     SH        DEFINED    99           200           0           0

 PAYCHEX INC             COMM  704326107           162       3,423     SH        DEFINED    01         3,423           0           0

 PAYCHEX INC             COMM  704326107           957      20,192     SH        OTHER      01        14,142           0       6,050

 PENNEY J C INC          COMM  708160106         1,676      41,398     SH        DEFINED    01        41,398           0           0

 PENNEY J C INC          COMM  708160106         2,584      63,817     SH        OTHER      01        63,717           0         100

 PEOPLESOFT INC          COMM  712713106         4,224     296,793     SH        DEFINED    01       294,293       1,000       1,500

 PEOPLESOFT INC          COMM  712713106           600      41,040     SH        OTHER      01        40,040       1,000           0

 PEOPLESOFT INC          COMM  712713106             0           0     SH        OTHER      01 04          0           0           0

 PEOPLESOFT INC          COMM  712713106             0           0     SH        DEFINED    99             0           0           0

 PEPSICO INC             COMM  713448108        29,608     755,568     SH        DEFINED    01       747,113           0       8,455

 PEPSICO INC             COMM  713448108        20,234     516,363     SH        OTHER      01       473,778      18,860      23,725

 PEPSICO INC             COMM  713448108            20         520     SH        DEFINED    99             0           0         520

 PERITUS SOFTWARE SERVIC COMM  714006103             0      22,000     SH        DEFINED    01        22,000           0           0

 PERKIN ELMER CORP       COMM  714041100         3,699      38,112     SH        DEFINED    01        37,262           0         850

 PERKIN ELMER CORP       COMM  714041100         2,361      24,332     SH        OTHER      01        23,532         500         300

 PHARMACIA & UPJOHN INC  COMM  716941109         1,782      28,578     SH        DEFINED    01        28,578           0           0

 PHARMACIA & UPJOHN INC  COMM  716941109           900      14,442     SH        OTHER      01        14,007           0         435

 PHARMAPRINT INC         COMM  716950100           990     110,000     SH        DEFINED    01       110,000           0           0

 PHARMAPRINT INC         COMM  716950100         2,025     225,000     SH        DEFINED    99             0           0     225,000

 PFIZER INC              COMM  717081103       168,756   1,216,264     SH        DEFINED    01     1,168,607           0      47,657

 PFIZER INC              COMM  717081103       133,893     964,995     SH        OTHER      01       909,520      22,700      32,775

 PFIZER INC              COMM  717081103            83         600     SH        DEFINED    01 02        600           0           0

 PFIZER INC              COMM  717081103        22,501     162,175     SH        DEFINED    99        22,025           0     140,150

 PHELPS DODGE CORP       COMM  717265102           303       6,155     SH        DEFINED    01         6,055           0         100

 PHELPS DODGE CORP       COMM  717265102           267       5,430     SH        OTHER      01         5,430           0           0

 PHILIP MORRIS COS INC   COMM  718154107         8,453     240,235     SH        DEFINED    01       239,310           0         925

 PHILIP MORRIS COS INC   COMM  718154107        16,137     458,628     SH        OTHER      01       423,428       3,700      31,500

 PHILIP MORRIS COS INC   COMM  718154107             5         150     SH        DEFINED    99             0           0         150

 PHILLIPS PETE CO        COMM  718507106           922      19,514     SH        DEFINED    01        19,364           0         150

 PHILLIPS PETE CO        COMM  718507106         1,852      39,200     SH        OTHER      01        38,900         300           0

 PHYMATRIX CORP          COMM  718925100             0           0     SH        DEFINED    01             0           0           0

 PHYMATRIX CORP          COMM  718925100         3,445   2,004,358     SH        OTHER      01     2,004,358           0           0

 PIEDMONT NATURAL GAS IN COMM  720186105           329       9,400     SH        DEFINED    01         9,000           0         400

 PIEDMONT NATURAL GAS IN COMM  720186105           289       8,270     SH        OTHER      01         8,270           0           0

 PIONEER HI BRED INTL IN COMM  723686101            11         300     SH        DEFINED    01           300           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   34     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 PIONEER HI BRED INTL IN COMM  723686101           641      17,050     SH        OTHER      01        11,050           0       6,000

 PITNEY BOWES INC        COMM  724479100         1,736      27,243     SH        DEFINED    01        26,843           0         400

 PITNEY BOWES INC        COMM  724479100         7,757     121,694     SH        OTHER      01       109,194       6,000       6,500

 PITNEY BOWES INC        COMM  724479100           981      15,400     SH        DEFINED    99         4,550           0      10,850

 PLUMCREEK TIMBER CO LP  MAST  729237107         3,033     106,450     SH        DEFINED    01       106,450           0           0

 PLUMCREEK TIMBER CO LP  MAST  729237107            79       2,800     SH        OTHER      01         2,800           0           0

 POLICY MGMT SYS CORP    COMM  731108106           138       4,530     SH        DEFINED    01         4,530           0           0

 POLICY MGMT SYS CORP    COMM  731108106             0           0     SH        OTHER      01             0           0           0

 POLICY MGMT SYS CORP    COMM  731108106           972      31,750     SH        DEFINED    99        12,625           0      19,125

 POTASH CORP SASK INC CO AMER  73755L107           345       6,450     SH        OTHER      01         6,450           0           0

 POTOMAC ELEC PWR CO     CORP  737679BL3            19      19,000     SH        DEFINED    01        19,000           0           0

 POTOMAC ELEC PWR CO     CORP  737679BT6            47      50,000     SH        OTHER      01        50,000           0           0

 POTOMAC ELEC PWR CO     COMM  737679100            53       2,288     SH        DEFINED    01         2,288           0           0

 POTOMAC ELEC PWR CO     COMM  737679100           160       6,912     SH        OTHER      01         4,864       1,748         300

 PRAXAIR INC             COMM  74005P104            47       1,305     SH        DEFINED    01         1,155           0         150

 PRAXAIR INC             COMM  74005P104           275       7,646     SH        OTHER      01         7,646           0           0

 PREVIEW TRAVEL          COMM  74137R101            36      19,000     SH        DEFINED    01        19,000           0           0

 PROCTER & GAMBLE CO     COMM  742718109       167,477   1,710,042     SH        DEFINED    01     1,653,312         600      56,130

 PROCTER & GAMBLE CO     COMM  742718109       115,075   1,174,989     SH        OTHER      01     1,107,179      14,940      52,870

 PROCTER & GAMBLE CO     COMM  742718109           636       6,500     SH        DEFINED    01 02      6,500           0           0

 PROCTER & GAMBLE CO     COMM  742718109           293       3,000     SH        OTHER      01 04      3,000           0           0

 PROCTER & GAMBLE CO     COMM  742718109            39         400     SH        OTHER      01 05        400           0           0

 PROCTER & GAMBLE CO     COMM  742718109           489       5,000     SH        OTHER      01 06      5,000           0           0

 PROCTER & GAMBLE CO     COMM  742718109            78         800     SH        OTHER      01 07        800           0           0

 PROCTER & GAMBLE CO     COMM  742718109         2,546      26,000     SH        DEFINED    99        18,700           0       7,300

 PROGRESSIVE CORP OHIO   COMM  743315103            14         100     SH        DEFINED    01           100           0           0

 PROGRESSIVE CORP OHIO   COMM  743315103        28,568     199,081     SH        OTHER      01       199,081           0           0

 PROGRESSIVE CORP OHIO   COMM  743315103           136         950     SH        DEFINED    99           950           0           0

 PROTECTIVE LIFE CORP    COMM  743674103            15         410     SH        DEFINED    01           410           0           0

 PROTECTIVE LIFE CORP    COMM  743674103             0           0     SH        OTHER      01             0           0           0

 PROTECTIVE LIFE CORP    COMM  743674103           899      23,750     SH        DEFINED    99        10,650           0      13,100

 PROVIDENCE ENERGY CORP  COMM  743743106         1,012      55,099     SH        DEFINED    01        55,098           0           1

 PROVIDENCE ENERGY CORP  COMM  743743106             7         418     SH        OTHER      01           418           0           0

 PROVIDIAN FINL CORP     COMM  74406A102           646       5,880     SH        DEFINED    01         4,080           0       1,800

 PROVIDIAN FINL CORP     COMM  74406A102         1,386      12,600     SH        OTHER      01        12,600           0           0

 PUBLIC SVC ENTERPRISE G COMM  744573106         1,017      26,643     SH        DEFINED    01        26,643           0           0

 PUBLIC SVC ENTERPRISE G COMM  744573106           948      24,845     SH        OTHER      01        24,431         414           0

 PUBLIC SVC ENTERPRISE G COMM  744573106         1,276      33,425     SH        DEFINED    99        10,550           0      22,875

 PULTE CORP              COMM  745867101            24       1,160     SH        DEFINED    01         1,160           0           0

 PULTE CORP              COMM  745867101            24       1,200     SH        OTHER      01         1,200           0           0

 PULTE CORP              COMM  745867101           454      21,850     SH        DEFINED    99         6,250           0      15,600

 QLOGIC CORP             COMM  747277101         7,424     110,600     SH        DEFINED    01       109,600           0       1,000

 QLOGIC CORP             COMM  747277101           778      11,600     SH        OTHER      01         5,600           0       6,000

 QLOGIC CORP             COMM  747277101        17,788     265,000     SH        DEFINED    99             0           0     265,000

 QUAKER OATS CO          COMM  747402105         3,429      55,086     SH        DEFINED    01        54,286           0         800

</TABLE> 
<PAGE>
 
                                                                  PAGE   35     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 QUAKER OATS CO          COMM  747402105         5,149      82,729     SH        OTHER      01        78,329         800       3,600

 QUALCOMM INC            COMM  747525103           236       1,900     SH        DEFINED    01         1,900           0           0

 QUESTAR CORP            COMM  748356102           235      13,900     SH        OTHER      01        13,500           0         400

 QWEST COMMUNICATIONS IN COMM  749121109            33         458     SH        DEFINED    01           458           0           0

 QWEST COMMUNICATIONS IN COMM  749121109           332       4,614     SH        OTHER      01         4,614           0           0

 RCM STRATEGIC GLOBAL GO MF C  74936A101            95      10,000     SH        OTHER      01        10,000           0           0

 RCN CORP                COMM  749361101           131       3,913     SH        DEFINED    01         3,913           0           0

 RCN CORP                COMM  749361101         1,678      50,000     SH        DEFINED    99             0           0      50,000

 RPM INC OHIO            COMM  749685103         1,162      87,344     SH        DEFINED    01        87,344           0           0

 RPM INC OHIO            COMM  749685103           121       9,120     SH        OTHER      01         9,120           0           0

 RAMBUS INC              COMM  750917106            64       1,000     SH        DEFINED    01         1,000           0           0

 RAMBUS INC              COMM  750917106           386       6,000     SH        DEFINED    99             0           0       6,000

 RALSTON-RALSTON PURINA  COMM  751277302           296      11,092     SH        DEFINED    01        11,092           0           0

 RALSTON-RALSTON PURINA  COMM  751277302           595      22,326     SH        OTHER      01        22,326           0           0

 RAYONIER INC            COMM  754907103             7         197     SH        DEFINED    01           197           0           0

 RAYONIER INC            COMM  754907103           242       6,047     SH        OTHER      01         3,518         161       2,368

 RAYTHEON CO-CLASS A     COMM  755111309           126       2,186     SH        DEFINED    01         2,137           0          49

 RAYTHEON CO-CLASS A     COMM  755111309           966      16,743     SH        OTHER      01        11,047          43       5,653

 RAYTHEON CO-CLASS A     COMM  755111309             2          35     SH        OTHER      01 03         35           0           0

 RAYTHEON CO-CLASS B     COMM  755111408        18,931     322,929     SH        DEFINED    01       320,571           0       2,358

 RAYTHEON CO-CLASS B     COMM  755111408        16,601     283,182     SH        OTHER      01       270,862         840      11,480

 RAYTHEON CO-CLASS B     COMM  755111408           117       2,000     SH        DEFINED    01 02      2,000           0           0

 RAYTHEON CO-CLASS B     COMM  755111408           187       3,200     SH        OTHER      01 03      3,200           0           0

 RAYTHEON CO-CLASS B     COMM  755111408            46         800     SH        DEFINED    99           800           0           0

 RAYTHEON CO-CLASS B     COMM  755111408            46         800     SH        OTHER      99             0           0         800

 REGIONS FINANCIAL CORP  COMM  758940100            22         660     SH        DEFINED    01           660           0           0

 REGIONS FINANCIAL CORP  COMM  758940100           219       6,340     SH        OTHER      01         6,340           0           0

 RELIANT ENERGY INC      COMM  75952J108         1,152      44,235     SH        DEFINED    01        44,235           0           0

 RELIANT ENERGY INC      COMM  75952J108         1,226      47,041     SH        OTHER      01        46,141         900           0

 RELIASTAR FINL CORP     COMM  75952U103           157       3,690     SH        DEFINED    01         3,690           0           0

 RELIASTAR FINL CORP     COMM  75952U103         1,409      33,074     SH        OTHER      01        27,074           0       6,000

 RENAL CARE GROUP INC    COMM  759930100         2,233     113,795     SH        DEFINED    01       113,795           0           0

 RENAL CARE GROUP INC    COMM  759930100            47       2,410     SH        OTHER      01         2,410           0           0

 RENAL CARE GROUP INC    COMM  759930100         3,532     180,000     SH        DEFINED    99             0           0     180,000

 RESTORATION HARDWARE    COMM  760981100             2      10,000     SH        DEFINED    01        10,000           0           0

 RESTORATION HARDWARE IN COMM  760981100           330      15,000     SH        OTHER      01        15,000           0           0

 REUTERS GROUP PLC (NEW) AMER  76132M102        10,740     123,627     SH        DEFINED    01       121,015           0       2,612

 REUTERS GROUP PLC (NEW) AMER  76132M102        10,630     122,360     SH        OTHER      01       118,377       1,298       2,685

 REUTERS GROUP PLC (NEW) AMER  76132M102             0           0     SH        DEFINED    99             0           0           0

 REYNOLDS & REYNOLDS CO  COMM  761695105            45       2,400     SH        DEFINED    01         2,400           0           0

 REYNOLDS & REYNOLDS CO  COMM  761695105             0           0     SH        OTHER      01             0           0           0

 REYNOLDS & REYNOLDS CO  COMM  761695105           803      42,300     SH        DEFINED    99        15,250           0      27,050

 REYNOLDS METALS CO      COMM  761763101           246       5,100     SH        DEFINED    01         5,100           0           0

 REYNOLDS METALS CO      COMM  761763101            47         983     SH        OTHER      01           983           0           0

 RISK CAP HLDGS INC      COMM  767711104           121       8,000     SH        DEFINED    01         8,000           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   36     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 RISK CAP HLDGS INC      COMM  767711104         1,972     130,402     SH        OTHER      01       130,402           0           0

 ROBERT HALF INTL INC    COMM  770323103            44       1,362     SH        DEFINED    01         1,362           0           0

 ROBERT HALF INTL INC    COMM  770323103            78       2,400     SH        OTHER      01         2,400           0           0

 ROBERT HALF INTL INC    COMM  770323103         1,588      48,425     SH        DEFINED    99        17,175           0      31,250

 ROCKWELL INTL CORP NEW  COMM  773903109           314       7,409     SH        DEFINED    01         6,473           0         936

 ROCKWELL INTL CORP NEW  COMM  773903109           320       7,564     SH        OTHER      01         6,428       1,136           0

 ROHM & HAAS CO          COMM  775371107           253       7,566     SH        DEFINED    01         7,566           0           0

 ROHM & HAAS CO          COMM  775371107            92       2,748     SH        OTHER      01         2,748           0           0

 ROLLINS TRUCK LEASING C COMM  775741101           217      23,062     SH        OTHER      01        23,062           0           0

 ROSS STORES INC         COMM  778296103            48       1,100     SH        DEFINED    01         1,100           0           0

 ROSS STORES INC         COMM  778296103           162       3,700     SH        OTHER      01           100           0       3,600

 ROSS STORES INC         COMM  778296103         1,090      24,900     SH        DEFINED    99         9,400           0      15,500

 ROWAN COS INC           COMM  779382100            50       4,000     SH        DEFINED    01         4,000           0           0

 ROWAN COS INC           COMM  779382100            86       6,820     SH        OTHER      01         6,820           0           0

 ROWAN COS INC           COMM  779382100             0           0     SH        DEFINED    99             0           0           0

 ROYAL BK SCOTLAND GRP S PREF  780097408            67       2,600     SH        DEFINED    01         2,600           0           0

 ROYAL BK SCOTLAND GRP S PREF  780097408           498      19,300     SH        OTHER      01        19,300           0           0

 ROYAL BK SCOTLAND GRP S PREF  780097408            14         543     SH        OTHER      99           543           0           0

 ROYAL DUTCH PETE CO NY  AMER  780257804        69,057   1,328,038     SH        DEFINED    01     1,250,770         800      76,468

 ROYAL DUTCH PETE CO NY  AMER  780257804        27,280     524,627     SH        OTHER      01       473,901       9,560      41,166

 ROYAL DUTCH PETE CO NY  AMER  780257804           338       6,500     SH        DEFINED    01 02      6,500           0           0

 ROYAL DUTCH PETE CO NY  AMER  780257804           104       2,000     SH        OTHER      01 06      2,000           0           0

 ROYAL DUTCH PETE CO NY  AMER  780257804         1,695      32,600     SH        DEFINED    99        17,160           0      15,440

 RYLAND GROUP INC        COMM  783764103             0           0     SH        DEFINED    01             0           0           0

 RYLAND GROUP INC        COMM  783764103           918      36,275     SH        DEFINED    99        13,400           0      22,875

 SBC COMMUNICATIONS INC  COMM  78387G103        46,419     983,730     SH        DEFINED    01       966,208           0      17,522

 SBC COMMUNICATIONS INC  COMM  78387G103        30,674     650,050     SH        OTHER      01       589,851      32,184      28,015

 SBC COMMUNICATIONS INC  COMM  78387G103           141       3,000     SH        DEFINED    01 02      3,000           0           0

 SBC COMMUNICATIONS INC  COMM  78387G103           110       2,340     SH        OTHER      01 03      2,340           0           0

 SBC COMMUNICATIONS INC  COMM  78387G103            28         600     SH        OTHER      01 05        600           0           0

 SBC COMMUNICATIONS INC  COMM  78387G103         1,247      26,446     SH        DEFINED    99         4,096           0      22,350

 SCB COMPUTER TECHNOLOGY COMM  78388N107           552     121,200     SH        DEFINED    01       121,200           0           0

 SCB COMPUTER TECHNOLOGY COMM  78388N107           462     101,300     SH        DEFINED    99             0           0     101,300

 SFX ENTMT INC CL A      COMM  784178105           232       3,600     SH        OTHER      01             0           0       3,600

 SLM HLDG CORP           COMM  78442A109           383       9,187     SH        DEFINED    01         8,137           0       1,050

 SLM HLDG CORP           COMM  78442A109           471      11,293     SH        OTHER      01        11,293           0           0

 SLM HLDG CORP           COMM  78442A109             0           0     SH        DEFINED    99             0           0           0

 SPS TECHNOLOGIES INC    COMM  784626103            16         410     SH        DEFINED    01           410           0           0

 SPS TECHNOLOGIES INC    COMM  784626103             0           0     SH        OTHER      01             0           0           0

 SPS TECHNOLOGIES INC    COMM  784626103           849      21,651     SH        DEFINED    99         8,250           0      13,401

 SPX CORP                COMM  784635104           130       2,581     SH        DEFINED    01             0           0       2,581

 SPX CORP                COMM  784635104           125       2,479     SH        OTHER      01         2,336         143           0

 SABRATEK CORPORATION    COMM  78571U108         1,449      96,643     SH        DEFINED    01        96,643           0           0

 SABRATEK CORPORATION    COMM  78571U108            66       4,417     SH        OTHER      01         4,417           0           0

 SABRATEK CORPORATION    COMM  78571U108         2,505     167,000     SH        DEFINED    99             0           0     167,000

</TABLE> 
<PAGE>
 
                                                                  PAGE   37     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 SAFECO CORP             COMM  786429100            45       1,124     SH        DEFINED    01           524           0         600

 SAFECO CORP             COMM  786429100           248       6,150     SH        OTHER      01         6,150           0           0

 SAFEGUARD SCIENTIFICS I COMM  786449108            66     110,000     SH        DEFINED    01       110,000           0           0

 SAFESKIN CORPORATION    COMM  786454108            26       3,600     SH        DEFINED    01         3,600           0           0

 SAFESKIN CORPORATION    COMM  786454108             0           0     SH        OTHER      01             0           0           0

 SAFESKIN CORPORATION    COMM  786454108            64       8,650     SH        DEFINED    99         8,200           0         450

 SAFEWAY INC COM NEW     COMM  786514208        17,159     334,407     SH        DEFINED    01       281,114         500      52,793

 SAFEWAY INC COM NEW     COMM  786514208           687      13,402     SH        OTHER      01        12,202         900         300

 SAFEWAY INC COM NEW     COMM  786514208         2,865      55,840     SH        DEFINED    99        24,432           0      31,408

 ST MARY LD & EXPL CO    COMM  792228108           402      23,150     SH        DEFINED    01        20,150           0       3,000

 ST MARY LD & EXPL CO    COMM  792228108           128       7,400     SH        OTHER      01         7,400           0           0

 ST PAUL COS INC         COMM  792860108           332      10,712     SH        DEFINED    01        10,712           0           0

 ST PAUL COS INC         COMM  792860108           921      29,652     SH        OTHER      01        27,428         224       2,000

 SALOMON BROS FD INC     MF C  795477108           114       6,419     SH        DEFINED    01         6,419           0           0

 SALOMON BROS FD INC     MF C  795477108           293      16,488     SH        OTHER      01        12,397           0       4,091

 SANMINA CORP            COMM  800907107           645      10,122     SH        DEFINED    01        10,122           0           0

 SAP AKTIENGESELLSCHAFT  AMER  803054204           590      22,430     SH        DEFINED    01        21,930           0         500

 SAP AKTIENGESELLSCHAFT  AMER  803054204            90       3,450     SH        OTHER      01           100           0       3,350

 SAP AKTIENGESELLSCHAFT  AMER  803054204             0           0     SH        DEFINED    99             0           0           0

 SARA LEE CORP           COMM  803111103        17,079     690,086     SH        DEFINED    01       676,446         600      13,040

 SARA LEE CORP           COMM  803111103        11,424     461,616     SH        OTHER      01       428,016      15,200      18,400

 SARA LEE CORP           COMM  803111103            19         800     SH        OTHER      01 05        800           0           0

 SARA LEE CORP           COMM  803111103            39       1,600     SH        OTHER      01 07      1,600           0           0

 SARA LEE CORP           COMM  803111103           356      14,400     SH        DEFINED    99        12,800           0       1,600

 SCANA CORP              COMM  805898103           198       9,160     SH        DEFINED    01         9,160           0           0

 SCANA CORP              COMM  805898103           176       8,152     SH        OTHER      01         6,752       1,200         200

 SCHERING PLOUGH CORP    COMM  806605101        48,512     878,053     SH        DEFINED    01       813,505           0      64,548

 SCHERING PLOUGH CORP    COMM  806605101        40,235     728,236     SH        OTHER      01       717,697       7,200       3,339

 SCHERING PLOUGH CORP    COMM  806605101         2,446      44,278     SH        DEFINED    99        15,400           0      28,878

 SCHLUMBERGER LTD        COMM  806857108        53,917     895,820     SH        DEFINED    01       822,855         750      72,215

 SCHLUMBERGER LTD        COMM  806857108        16,664     276,880     SH        OTHER      01       260,041       5,074      11,765

 SCHLUMBERGER LTD        COMM  806857108           300       5,000     SH        OTHER      01 03      5,000           0           0

 SCHLUMBERGER LTD        COMM  806857108           108       1,800     SH        OTHER      01 04      1,800           0           0

 SCHLUMBERGER LTD        COMM  806857108         1,516      25,195     SH        DEFINED    99        14,300           0      10,895

 SCHWAB CHARLES CORP NEW COMM  808513105           709       7,386     SH        DEFINED    01         7,386           0           0

 SCHWAB CHARLES CORP NEW COMM  808513105           121       1,269     SH        OTHER      01         1,269           0           0

 SCHWAB CHARLES CORP NEW COMM  808513105           134       1,400     SH        DEFINED    99           300           0       1,100

 SCOTTS CO CL A          COMM  810186106            34         935     SH        DEFINED    01           935           0           0

 SCOTTS CO CL A          COMM  810186106             0           0     SH        OTHER      01             0           0           0

 SCOTTS CO CL A          COMM  810186106           594      15,900     SH        DEFINED    99         6,150           0       9,750

 SEACHANGE INTL          COMM  811699107             5      20,500     SH        DEFINED    01        20,500           0           0

 SEALED AIR CORP NEW     COMM  81211K100            11         231     SH        DEFINED    01           107           0         124

 SEALED AIR CORP NEW     COMM  81211K100           383       7,806     SH        OTHER      01         7,490         268          48

 SEARS ROEBUCK & CO      COMM  812387108         2,599      57,530     SH        DEFINED    01        56,324           0       1,206

 SEARS ROEBUCK & CO      COMM  812387108         2,109      46,684     SH        OTHER      01        38,816           0       7,868

</TABLE> 
<PAGE>
 
                                                                  PAGE   38     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 SEARS ROEBUCK & CO      COMM  812387108            45       1,000     SH        OTHER      01 03      1,000           0           0

 SERAGEN                 COMM  817474109             0     175,000     SH        DEFINED    01       175,000           0           0

 SERVICE CORP INTL       COMM  817565104           125       8,800     SH        DEFINED    01         3,400           0       5,400

 SERVICE CORP INTL       COMM  817565104           152      10,731     SH        OTHER      01        10,731           0           0

 SERVICE CORP INTL       COMM  817565104            31       2,200     SH        OTHER      01 04      2,200           0           0

 SERVICE CORP INTL       COMM  817565104             0           0     SH        DEFINED    99             0           0           0

 SERVICEMASTER CO        COMM  81760N109           412      20,329     SH        DEFINED    01        20,329           0           0

 SERVICEMASTER CO        COMM  81760N109           194       9,598     SH        OTHER      01         2,005           0       7,593

 SHANDONG HUANENG PWR DE AMER  819419102           144      38,600     SH        DEFINED    99             0           0      38,600

 SHELL TRANS & TRADING P AMER  822703609           560      13,800     SH        DEFINED    01        13,800           0           0

 SHELL TRANS & TRADING P AMER  822703609           292       7,200     SH        OTHER      01         7,200           0           0

 SHERWIN WILLIAMS CO     COMM  824348106         2,969     105,589     SH        DEFINED    01       102,339         500       2,750

 SHERWIN WILLIAMS CO     COMM  824348106           708      25,195     SH        OTHER      01        22,720          75       2,400

 SHERWIN WILLIAMS CO     COMM  824348106             0           0     SH        DEFINED    99             0           0           0

 SIGMA ALDRICH CORP      COMM  826552101           776      26,558     SH        DEFINED    01        24,558           0       2,000

 SIGMA ALDRICH CORP      COMM  826552101         1,014      34,696     SH        OTHER      01        26,696       4,000       4,000

 SIGCORP INC             COMM  826912107            20         750     SH        DEFINED    01           750           0           0

 SIGCORP INC             COMM  826912107           180       6,609     SH        OTHER      01         6,609           0           0

 SKYTEL COMMUNICATIONS   COMM  83087Q104         1,956     117,700     SH        DEFINED    01       117,600           0         100

 SKYTEL COMMUNICATIONS   COMM  83087Q104           174      10,494     SH        OTHER      01           494           0      10,000

 SKYTEL COMMUNICATIONS   COMM  83087Q104         3,408     205,000     SH        DEFINED    99             0           0     205,000

 SLADES FERRY BANCORP    COMM  830896106           103       7,963     SH        DEFINED    01         7,963           0           0

 SLADES FERRY BANCORP    COMM  830896106           123       9,463     SH        OTHER      01         9,463           0           0

 SLADES FERRY BANCORP    COMM  830896106             6         525     SH        DEFINED    99             0           0         525

 SMITH INTL INC          COMM  832110100            19         490     SH        DEFINED    01           490           0           0

 SMITH INTL INC          COMM  832110100             0           0     SH        OTHER      01             0           0           0

 SMITH INTL INC          COMM  832110100           739      18,495     SH        DEFINED    99         7,000           0      11,495

 SMITHFIELD FOODS INC    COMM  832248108           365      16,125     SH        DEFINED    01        16,125           0           0

 SMITHFIELD FOODS INC    COMM  832248108           220       9,740     SH        OTHER      01         9,740           0           0

 SMITHFIELD FOODS INC    COMM  832248108             6         300     SH        DEFINED    99           300           0           0

 SMITHKLINE BEECHAM ADR  AMER  832378301        18,460     258,189     SH        DEFINED    01       252,549           0       5,640

 SMITHKLINE BEECHAM ADR  AMER  832378301         7,318     102,362     SH        OTHER      01        85,922       4,200      12,240

 SMITHKLINE BEECHAM ADR  AMER  832378301           114       1,600     SH        DEFINED    01 02      1,600           0           0

 SMITHKLINE BEECHAM ADR  AMER  832378301           420       5,880     SH        DEFINED    99         1,500           0       4,380

 SNAP ON INC             COMM  833034101            22         789     SH        DEFINED    01           639           0         150

 SNAP ON INC             COMM  833034101           253       8,739     SH        OTHER      01         4,689           0       4,050

 SOLUTIA INC             COMM  834376105           932      53,692     SH        DEFINED    01        49,692           0       4,000

 SOLUTIA INC             COMM  834376105           764      44,019     SH        OTHER      01        42,628       1,391           0

 SONAT INC               COMM  835415100         2,850      95,009     SH        DEFINED    01        95,009           0           0

 SONAT INC               COMM  835415100         1,901      63,386     SH        OTHER      01        61,386       1,200         800

 SONOCO PRODS CO         COMM  835495102           613      26,689     SH        DEFINED    01        26,458           0         231

 SONOCO PRODS CO         COMM  835495102           556      24,211     SH        OTHER      01        21,791           0       2,420

 SONY CORP AMER SH NEW A AMER  835699307           450       4,929     SH        DEFINED    01         4,929           0           0

 SONY CORP AMER SH NEW A AMER  835699307           178       1,960     SH        OTHER      01         1,960           0           0

 SONY CORP AMER SH NEW A AMER  835699307            41         450     SH        DEFINED    99           280           0         170

</TABLE> 
<PAGE>
 
                                                                  PAGE   39     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 SOURCE MEDIA INC        COMM  836153304           306      20,000     SH        DEFINED    01        20,000           0           0

 SOUTHDOWN INC           COMM  841297104            16         315     SH        DEFINED    01           315           0           0

 SOUTHDOWN INC           COMM  841297104           141       2,640     SH        OTHER      01         2,640           0           0

 SOUTHDOWN INC           COMM  841297104           927      17,275     SH        DEFINED    99         8,625           0       8,650

 SOUTHERN CO             COMM  842587107         1,298      55,704     SH        DEFINED    01        55,304           0         400

 SOUTHERN CO             COMM  842587107         1,473      63,210     SH        OTHER      01        58,985           0       4,225

 SOUTHERN CO             COMM  842587107            23       1,000     SH        OTHER      99             0           0       1,000

 SOUTHTRUST CORP         COMM  844730101         2,207      59,167     SH        DEFINED    01        57,265           0       1,902

 SOUTHTRUST CORP         COMM  844730101           430      11,542     SH        OTHER      01         8,492           0       3,050

 SOUTHTRUST CORP         COMM  844730101             7         200     SH        DEFINED    99           200           0           0

 SOUTHWEST AIRLS CO      COMM  844741108        10,194     337,015     SH        DEFINED    01       282,055           0      54,960

 SOUTHWEST AIRLS CO      COMM  844741108           938      31,038     SH        OTHER      01        24,513           0       6,525

 SOUTHWEST AIRLS CO      COMM  844741108            60       2,000     SH        OTHER      01 04      2,000           0           0

 SOUTHWEST AIRLS CO      COMM  844741108         1,587      52,475     SH        DEFINED    99        20,400           0      32,075

 SPIEKER PPTYS INC       COMM  848497103           810      23,000     SH        OTHER      01             0           0      23,000

 SPRINT CORP (FON GROUP) COMM  852061100        20,928     213,285     SH        DEFINED    01       176,614           0      36,671

 SPRINT CORP (FON GROUP) COMM  852061100         5,643      57,512     SH        OTHER      01        53,239           0       4,273

 SPRINT CORP (FON GROUP) COMM  852061100           152       1,550     SH        DEFINED    99             0           0       1,550

 SPRINT CORP             COMM  852061506         1,061      23,964     SH        DEFINED    01        23,964           0           0

 SPRINT CORP             COMM  852061506         1,060      23,936     SH        OTHER      01        22,225           0       1,711

 STAFF LEASING INC       COMM  852381102           810      56,658     SH        OTHER      01        56,658           0           0

 STANLEY WKS             COMM  854616109           901      35,198     SH        DEFINED    01        33,350           0       1,848

 STANLEY WKS             COMM  854616109         1,216      47,474     SH        OTHER      01        45,474       2,000           0

 STAPLES INC             COMM  855030102        36,504   1,110,390     SH        DEFINED    01     1,100,420       1,250       8,720

 STAPLES INC             COMM  855030102         7,330     222,971     SH        OTHER      01       219,824         372       2,775

 STAPLES INC             COMM  855030102        12,446     378,602     SH        DEFINED    99         1,152           0     377,450

 STARRETT L S CO CL A    COMM  855668109           162       6,000     SH        DEFINED    01         6,000           0           0

 STARRETT L S CO CL A    COMM  855668109           342      12,680     SH        OTHER      01        12,680           0           0

 STATE STR CORP          COMM  857477103         6,533      79,439     SH        DEFINED    01        77,719           0       1,720

 STATE STR CORP          COMM  857477103        11,997     145,872     SH        OTHER      01       145,872           0           0

 STATE STR CORP          COMM  857477103         1,850      22,500     SH        DEFINED    99         8,100           0      14,400

 STERICYCLE              COMM  858912106             2      18,527     SH        DEFINED    01        18,527           0           0

 STERIS CORP             COMM  859152100           311      11,700     SH        DEFINED    01        11,500           0         200

 STERIS CORP             COMM  859152100           223       8,400     SH        OTHER      01         3,200           0       5,200

 STERIS CORP             COMM  859152100           705      26,500     SH        DEFINED    99             0           0      26,500

 STEWART ENTERPRISES INC COMM  860370105         1,445      90,000     SH        OTHER      01             0           0      90,000

 STORAGE TECH CORP COM P COMM  862111200           669      24,000     SH        DEFINED    01             0           0      24,000

 STORAGE TECH CORP COM P COMM  862111200             0           0     SH        OTHER      01             0           0           0

 STORAGE TECH CORP COM P COMM  862111200             0           0     SH        DEFINED    99             0           0           0

 STRIDE RITE CORP        COMM  863314100         1,107      90,400     SH        OTHER      01        90,400           0           0

 SUMMIT BANCORP          COMM  866005101           124       3,200     SH        DEFINED    01         3,200           0           0

 SUMMIT BANCORP          COMM  866005101           152       3,900     SH        OTHER      01         3,300           0         600

 SUN MICROSYSTEMS INC    COMM  866810104        13,523     108,130     SH        DEFINED    01       105,820         100       2,210

 SUN MICROSYSTEMS INC    COMM  866810104         6,316      50,507     SH        OTHER      01        48,168          50       2,289

 SUN MICROSYSTEMS INC    COMM  866810104         3,783      30,255     SH        DEFINED    99        12,750           0      17,505

</TABLE> 
<PAGE>
 
                                                                  PAGE   40     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 SUNDSTRAND CORP         COMM  867323107           427       6,150     SH        DEFINED    01         6,150           0           0

 SUNDSTRAND CORP         COMM  867323107           571       8,225     SH        OTHER      01         8,225           0           0

 SUNGARD DATA SYS INC    COMM  867363103           179       4,485     SH        DEFINED    01         4,485           0           0

 SUNGARD DATA SYS INC    COMM  867363103           641      16,025     SH        OTHER      01         7,425           0       8,600

 SUNGARD DATA SYS INC    COMM  867363103           896      22,400     SH        DEFINED    99         8,300           0      14,100

 SUNOCO INC              COMM  86764P109           103       2,875     SH        DEFINED    01         2,875           0           0

 SUNOCO INC              COMM  86764P109           169       4,702     SH        OTHER      01         4,702           0           0

 SUNOCO INC              COMM  86764P109           366      10,150     SH        DEFINED    99         3,900           0       6,250

 SUNTRUST BKS INC        COMM  867914103           308       4,949     SH        DEFINED    01         3,399           0       1,550

 SUNTRUST BKS INC        COMM  867914103           826      13,279     SH        OTHER      01        13,279           0           0

 SWISS HELVETIA FUND INC MF C  870875101           146      10,428     SH        DEFINED    01        10,428           0           0

 SWISS HELVETIA FUND INC MF C  870875101           270      19,226     SH        OTHER      01        16,026           0       3,200

 SYBRON INTERNATIONAL CO COMM  87114F106           150       6,003     SH        DEFINED    01         6,000           0           3

 SYBRON INTERNATIONAL CO COMM  87114F106           212       8,500     SH        OTHER      01         8,500           0           0

 SYLVAN LEARNING SYS INC COMM  871399101           303      11,100     SH        OTHER      01           600           0      10,500

 SYMBOL TECHNOLOGIES INC COMM  871508107           918      20,415     SH        DEFINED    01        20,415           0           0

 SYMBOL TECHNOLOGIES INC COMM  871508107           108       2,400     SH        OTHER      01         2,400           0           0

 SYMBOL TECHNOLOGIES INC COMM  871508107           885      19,675     SH        DEFINED    99         6,850           0      12,825

 SYNOVUS FINL CORP       COMM  87161C105            30       1,512     SH        DEFINED    01         1,062           0         450

 SYNOVUS FINL CORP       COMM  87161C105           368      17,998     SH        OTHER      01         1,968           0      16,030

 SYNOVUS FINL CORP       COMM  87161C105           318      15,521     SH        DEFINED    99         4,180           0      11,341

 SYSCO CORP              COMM  871829107        38,932   1,479,604     SH        DEFINED    01     1,458,229         500      20,875

 SYSCO CORP              COMM  871829107        15,793     600,236     SH        OTHER      01       562,438       8,766      29,032

 SYSCO CORP              COMM  871829107            78       3,000     SH        DEFINED    01 02      3,000           0           0

 SYSCO CORP              COMM  871829107           452      17,200     SH        OTHER      01 04     17,200           0           0

 SYSCO CORP              COMM  871829107            36       1,400     SH        OTHER      01 06      1,400           0           0

 SYSCO CORP              COMM  871829107         1,150      43,740     SH        DEFINED    99        18,800           0      24,940

 TCW CONV SECS FD INC    MF C  872340104           118      12,015     SH        DEFINED    01        12,015           0           0

 TCW CONV SECS FD INC    MF C  872340104            51       5,200     SH        OTHER      01         5,200           0           0

 TECO ENERGY INC         COMM  872375100         2,435     122,541     SH        DEFINED    01       122,141           0         400

 TECO ENERGY INC         COMM  872375100         3,670     184,702     SH        OTHER      01       181,662       3,040           0

 TJX COS INC COM NEW     COMM  872540109         7,248     213,180     SH        DEFINED    01       213,180           0           0

 TJX COS INC COM NEW     COMM  872540109            47       1,400     SH        OTHER      01         1,400           0           0

 TJX COS INC COM NEW     COMM  872540109         2,979      87,630     SH        DEFINED    99        29,700           0      57,930

 TRW INC                 COMM  872649108           506      11,138     SH        DEFINED    01         9,878           0       1,260

 TRW INC                 COMM  872649108           835      18,358     SH        OTHER      01        16,794       1,564           0

 TRW INC                 COMM  872649108             1          34     SH        OTHER      99            34           0           0

 TSI INTL SOFTWARE LTD   COMM  872879101         3,959      81,110     SH        DEFINED    01        80,010           0       1,100

 TSI INTL SOFTWARE LTD   COMM  872879101           335       6,875     SH        OTHER      01         5,875           0       1,000

 TSI INTL SOFTWARE LTD   COMM  872879101         5,222     107,000     SH        DEFINED    99             0           0     107,000

 TANDY CORP              COMM  875382103            34         544     SH        DEFINED    01           544           0           0

 TANDY CORP              COMM  875382103           325       5,100     SH        OTHER      01         5,100           0           0

 TANDY CORP              COMM  875382103         2,124      33,300     SH        DEFINED    99        11,500           0      21,800

 TECHNITROL INC          COMM  878555101           230      10,000     SH        OTHER      01        10,000           0           0

 TECUMSEH PRODS CO CL A  COMM  878895200         1,273      25,000     SH        DEFINED    01        25,000           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   41     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 TELECOM ITALIA SPA SPON AMER  87927W106           120       1,150     SH        DEFINED    01           900           0         250

 TELECOM ITALIA SPA SPON AMER  87927W106             0           0     SH        OTHER      01             0           0           0

 TELECOM ITALIA SPA SPON AMER  87927W106            90         865     SH        DEFINED    99           225           0         640

 TELEFONICA S A SPONSORE AMER  879382208         1,579      12,365     SH        DEFINED    01        12,365           0           0

 TELEFONICA S A SPONSORE AMER  879382208            71         561     SH        OTHER      01           561           0           0

 TELEFONICA S A SPONSORE AMER  879382208         1,168       9,145     SH        DEFINED    99           290           0       8,855

 TELFNOS DE MEXICO S A D AMER  879403780           130       1,980     SH        DEFINED    01         1,980           0           0

 TELFNOS DE MEXICO S A D AMER  879403780           156       2,364     SH        OTHER      01           864           0       1,500

 TELFNOS DE MEXICO S A D AMER  879403780         4,686      71,000     SH        DEFINED    99             0           0      71,000

 TELE WEST PLC           AMER  87956P105           342       7,800     SH        DEFINED    01         7,800           0           0

 TELE WEST PLC           AMER  87956P105            30         700     SH        OTHER      01           700           0           0

 TELE WEST PLC           AMER  87956P105           157       3,600     SH        DEFINED    99             0           0       3,600

 TELLABS INC             COMM  879664100         9,299      95,135     SH        DEFINED    01        94,485           0         650

 TELLABS INC             COMM  879664100         2,538      25,970     SH        OTHER      01        24,270           0       1,700

 TELLABS INC             COMM  879664100            48         500     SH        DEFINED    99             0           0         500

 TEMPLE INLAND INC       COMM  879868107            54         862     SH        DEFINED    01           862           0           0

 TEMPLE INLAND INC       COMM  879868107           185       2,950     SH        OTHER      01         2,950           0           0

 TENNECO INC NEW         COMM  88037E101            89       3,218     SH        DEFINED    01         3,218           0           0

 TENNECO INC NEW         COMM  88037E101           384      13,776     SH        OTHER      01        13,776           0           0

 TERADYNE INC            COMM  880770102           218       4,000     SH        DEFINED    01             0           0       4,000

 TERADYNE INC            COMM  880770102           100       1,840     SH        OTHER      01         1,840           0           0

 TEXACO INC              COMM  881694103        18,879     332,673     SH        DEFINED    01       328,549           0       4,124

 TEXACO INC              COMM  881694103        10,761     189,635     SH        OTHER      01       187,135         980       1,520

 TEXACO INC              COMM  881694103            45         800     SH        DEFINED    99           800           0           0

 TEXAS INSTRS INC        COMM  882508104        18,014     181,508     SH        DEFINED    01       181,508           0           0

 TEXAS INSTRS INC        COMM  882508104        13,569     136,716     SH        OTHER      01       130,716           0       6,000

 TEXAS INSTRS INC        COMM  882508104         7,533      75,900     SH        DEFINED    99             0           0      75,900

 TEXAS UTILITIES CO HLDN COMM  882848104         2,175      51,787     SH        DEFINED    01        51,162           0         625

 TEXAS UTILITIES CO HLDN COMM  882848104         2,158      51,397     SH        OTHER      01        48,051         700       2,646

 TEXAS UTILITIES CO HLDN COMM  882848104            37         900     SH        DEFINED    99           900           0           0

 TEXTRON INC             COMM  883203101         8,667     112,024     SH        DEFINED    01       110,374           0       1,650

 TEXTRON INC             COMM  883203101         6,087      78,678     SH        OTHER      01        70,380           0       8,298

 TEXTRON INC             COMM  883203101            15         200     SH        DEFINED    99           200           0           0

 THERMO ELECTRON CORP    COMM  883556102         4,351     320,822     SH        DEFINED    01       318,760           0       2,062

 THERMO ELECTRON CORP    COMM  883556102         2,217     163,538     SH        OTHER      01       157,414         412       5,712

 THERMO ELECTRON CORP    COMM  883556102           208      15,350     SH        DEFINED    99        15,350           0           0

 THERMO INSTR SYS INC    COMM  883559106            96       6,713     SH        DEFINED    01         6,713           0           0

 THERMO INSTR SYS INC    COMM  883559106           375      26,005     SH        OTHER      01        26,005           0           0

 THOMAS & BETTS CORP     COMM  884315102           569      15,158     SH        DEFINED    01        15,158           0           0

 THOMAS & BETTS CORP     COMM  884315102           363       9,668     SH        OTHER      01         8,760         400         508

 TIME WARNER INC         COMM  887315109        35,807     505,665     SH        DEFINED    01       455,620           0      50,045

 TIME WARNER INC         COMM  887315109        14,286     201,755     SH        OTHER      01       193,205       1,300       7,250

 TIME WARNER INC         COMM  887315109            84       1,200     SH        DEFINED    01 02      1,200           0           0

 TIME WARNER INC         COMM  887315109            35         500     SH        OTHER      01 04        500           0           0

 TIME WARNER INC         COMM  887315109         6,227      87,950     SH        DEFINED    99        14,100           0      73,850

</TABLE> 
<PAGE>
 
                                                                  PAGE   42     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 TIMES MIRROR CO COM NEW COMM  887364107           297       5,500     SH        OTHER      01         5,500           0           0

 TIMKEN CO               COMM  887389104            39       2,400     SH        DEFINED    01         2,400           0           0

 TIMKEN CO               COMM  887389104             9         600     SH        OTHER      01           600           0           0

 TOP SOURCE TECHNOLOGIES COMM  890530108            60      40,000     SH        DEFINED    01        40,000           0           0

 TORCHMARK CORP          COMM  891027104         1,477      46,715     SH        DEFINED    01        46,715           0           0

 TORCHMARK CORP          COMM  891027104         1,557      49,239     SH        OTHER      01        48,039           0       1,200

 TOSCO CORP COM NEW      COMM  891490302           223       9,000     SH        DEFINED    01         9,000           0           0

 TOSCO CORP COM NEW      COMM  891490302             0           0     SH        OTHER      01             0           0           0

 TOSCO CORP COM NEW      COMM  891490302             0           0     SH        DEFINED    99             0           0           0

 TOTAL S A SPONSORED ADR AMER  89151E109           428       7,020     SH        DEFINED    01         7,020           0           0

 TOTAL S A SPONSORED ADR AMER  89151E109            91       1,500     SH        OTHER      01         1,500           0           0

 TRNSACTN SYS ARCHITECTS COMM  893416107           234       6,500     SH        OTHER      01             0           0       6,500

 TRANSAMERICA CORP       COMM  893485102           518       7,300     SH        DEFINED    01         7,300           0           0

 TRANSAMERICA CORP       COMM  893485102           516       7,272     SH        OTHER      01         7,172         100           0

 TRANSATLANTIC HLDGS INC COMM  893521104         6,083      81,111     SH        DEFINED    01        80,436           0         675

 TRANSATLANTIC HLDGS INC COMM  893521104         2,237      29,827     SH        OTHER      01        26,752         975       2,100

 TRANSATLANTIC HLDGS INC COMM  893521104             0           0     SH        DEFINED    99             0           0           0

 TRANSOCEAN OFFSHORE INC COMM  893817106           175       6,080     SH        DEFINED    01         6,080           0           0

 TRANSOCEAN OFFSHORE INC COMM  893817106            40       1,400     SH        OTHER      01           600         800           0

 TRANSOCEAN OFFSHORE INC COMM  893817106           128       4,475     SH        DEFINED    99         1,700           0       2,775

 TRI CONTL CORP          MF C  895436103           244       8,443     SH        DEFINED    01         8,443           0           0

 TRI CONTL CORP          MF C  895436103           698      24,070     SH        OTHER      01        23,235           0         835

 TRICON GLOBAL RESTAURAN COMM  895953107           274       3,903     SH        DEFINED    01         3,872           0          31

 TRICON GLOBAL RESTAURAN COMM  895953107           821      11,691     SH        OTHER      01        10,430       1,056         205

 TRICON GLOBAL RESTAURAN COMM  895953107             0           1     SH        DEFINED    99             0           0           1

 TRIBUNE CO NEW          COMM  896047107         4,762      72,774     SH        DEFINED    01        72,399           0         375

 TRIBUNE CO NEW          COMM  896047107         7,007     107,091     SH        OTHER      01        86,255          70      20,766

 TRIBUNE CO NEW          COMM  896047107           104       1,600     SH        DEFINED    99         1,400           0         200

 TRINITY INDS INC        COMM  896522109           226       7,712     SH        DEFINED    01         7,712           0           0

 TRINITY INDS INC        COMM  896522109             0           0     SH        OTHER      01             0           0           0

 TRINITY INDS INC        COMM  896522109           523      17,825     SH        DEFINED    99         9,125           0       8,700

 TYCO INTL LTD NEW       COMM  902124106        34,272     477,667     SH        DEFINED    01       430,992         500      46,175

 TYCO INTL LTD NEW       COMM  902124106         6,679      93,091     SH        OTHER      01        88,560         456       4,075

 TYCO INTL LTD NEW       COMM  902124106         2,005      27,950     SH        DEFINED    99         9,650           0      18,300

 UST CORP                COMM  902900109         1,039      47,590     SH        DEFINED    01        47,590           0           0

 USX-MARATHON GROUP      COMM  902905827           309      11,252     SH        DEFINED    01        11,252           0           0

 USX-MARATHON GROUP      COMM  902905827           136       4,975     SH        OTHER      01         4,900          75           0

 US BANCORP DEL          COMM  902973106         1,555      45,674     SH        DEFINED    01        41,681           0       3,993

 US BANCORP DEL          COMM  902973106         1,684      49,440     SH        OTHER      01        11,358       9,987      28,095

 UNUM CORP               COMM  903192102        17,019     357,843     SH        DEFINED    01       276,600           0      81,243

 UNUM CORP               COMM  903192102         3,334      70,107     SH        OTHER      01        58,809         300      10,998

 UNUM CORP               COMM  903192102           168       3,550     SH        DEFINED    99           650           0       2,900

 U S FOODSERVICE         COMM  90331R101           582      12,525     SH        DEFINED    01        12,525           0           0

 U S FOODSERVICE         COMM  90331R101             0           0     SH        OTHER      01             0           0           0

 U S FOODSERVICE         COMM  90331R101           778      16,750     SH        DEFINED    99         4,600           0      12,150

</TABLE> 
<PAGE>
 
                                                                  PAGE   43     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 ULTIMATE SOFTWARE GROUP COMM  90385D107             7      96,930     SH        DEFINED    01        96,930           0           0

 UNILEVER PLC AMERN SHS  AMER  904767605            29         800     SH        DEFINED    01           800           0           0

 UNILEVER PLC AMERN SHS  AMER  904767605           281       7,600     SH        OTHER      01         7,600           0           0

 UNILEVER N V NY SHS     AMER  904784501         1,412      21,260     SH        DEFINED    01        21,260           0           0

 UNILEVER N V NY SHS     AMER  904784501           896      13,500     SH        OTHER      01         4,700       2,800       6,000

 UNILEVER N V NY SHS     AMER  904784501           724      10,900     SH        DEFINED    99           560           0      10,340

 UNICOM CORP             COMM  904911104           306       8,384     SH        DEFINED    01         8,384           0           0

 UNICOM CORP             COMM  904911104           113       3,110     SH        OTHER      01         3,110           0           0

 UNICOM CORP             COMM  904911104           850      23,250     SH        DEFINED    99         7,450           0      15,800

 UNION CAMP CORP         COMM  905530101         1,751      26,092     SH        DEFINED    01        26,092           0           0

 UNION CAMP CORP         COMM  905530101         1,391      20,734     SH        OTHER      01        19,984         750           0

 UNION CARBIDE CORP      COMM  905581104            81       1,813     SH        DEFINED    01         1,813           0           0

 UNION CARBIDE CORP      COMM  905581104           166       3,680     SH        OTHER      01         3,680           0           0

 UNION PACIFIC CORP      COMM  907818108        11,948     223,589     SH        DEFINED    01       223,289           0         300

 UNION PACIFIC CORP      COMM  907818108        15,069     282,007     SH        OTHER      01       268,454       4,578       8,975

 UNION PACIFIC CORP      COMM  907818108           662      12,400     SH        DEFINED    99        12,400           0           0

 UNION PAC RES GROUP INC COMM  907834105         1,058      89,156     SH        DEFINED    01        88,902           0         254

 UNION PAC RES GROUP INC COMM  907834105         2,186     184,153     SH        OTHER      01       176,329       4,031       3,793

 UNION PAC RES GROUP INC COMM  907834105           128      10,803     SH        DEFINED    99        10,803           0           0

 UNISYS CORP             COMM  909214108           155       5,634     SH        DEFINED    01         5,634           0           0

 UNISYS CORP             COMM  909214108            69       2,527     SH        OTHER      01         2,327           0         200

 UNISYS CORP             COMM  909214108            49       1,800     SH        DEFINED    99             0           0       1,800

 UNITED HEALTHCARE CORP  COMM  910581107           628      11,950     SH        DEFINED    01        11,750           0         200

 UNITED HEALTHCARE CORP  COMM  910581107           538      10,240     SH        OTHER      01         8,615       1,500         125

 UNITED STATES FILTER CO CORP  911843AF7            49      50,000     SH        OTHER      01        50,000           0           0

 UNITED STATES FILTER CO COMM  911843209         5,690     185,819     SH        DEFINED    01       185,119           0         700

 UNITED STATES FILTER CO COMM  911843209           835      27,290     SH        OTHER      01        25,290           0       2,000

 UNITED STATES FILTER CO COMM  911843209            27         900     SH        DEFINED    99           900           0           0

 U S WEST INC NEW        COMM  91273H101         2,717      49,361     SH        DEFINED    01        48,933           0         428

 U S WEST INC NEW        COMM  91273H101         5,334      96,888     SH        OTHER      01        91,112       1,524       4,252

 U S WEST INC NEW        COMM  91273H101            11         200     SH        OTHER      01 05        200           0           0

 U S WEST INC NEW        COMM  91273H101            22         400     SH        DEFINED    99             0           0         400

 UNITED TECHNOLOGIES COR COMM  913017109        12,738      94,051     SH        DEFINED    01        90,035         200       3,816

 UNITED TECHNOLOGIES COR COMM  913017109         6,746      49,814     SH        OTHER      01        44,614       3,440       1,760

 UNITIL CORP             COMM  913259107           697      30,342     SH        DEFINED    01        30,342           0           0

 UNITRIN INC             COMM  913275103         1,448      46,340     SH        OTHER      01        46,320          20           0

 UNIVERSAL HLTH SVCS INC COMM  913903100            24         560     SH        DEFINED    01           560           0           0

 UNIVERSAL HLTH SVCS INC COMM  913903100             0           0     SH        OTHER      01             0           0           0

 UNIVERSAL HLTH SVCS INC COMM  913903100           884      20,450     SH        DEFINED    99         7,700           0      12,750

 UNIVISION COMMNICATNS I COMM  914906102            20         400     SH        DEFINED    01           400           0           0

 UNIVISION COMMNICATNS I COMM  914906102         1,800      36,000     SH        DEFINED    99             0           0      36,000

 UNOCAL CORP             COMM  915289102           116       3,157     SH        DEFINED    01         3,157           0           0

 UNOCAL CORP             COMM  915289102           198       5,377     SH        OTHER      01         5,377           0           0

 USWEB CORPORATION       COMM  917327108           218       5,300     SH        OTHER      01           200           0       5,100

 V F CORP                COMM  918204108            10         212     SH        DEFINED    01           212           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   44     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 V F CORP                COMM  918204108           518      10,908     SH        OTHER      01        10,908           0           0

 VALLEY RES INC          COMM  920062106           117      11,186     SH        DEFINED    01        11,186           0           0

 VALLEY RES INC          COMM  920062106           274      26,165     SH        OTHER      01        26,165           0           0

 VARLEN CORP             COMM  922248109            29       1,338     SH        DEFINED    01         1,338           0           0

 VARLEN CORP             COMM  922248109             0           0     SH        OTHER      01             0           0           0

 VARLEN CORP             COMM  922248109         1,032      46,951     SH        DEFINED    99        14,999           0      31,951

 VENATOR GROUP INC       COMM  922944103             3         475     SH        DEFINED    01           475           0           0

 VENATOR GROUP INC       COMM  922944103           220      31,200     SH        OTHER      01        31,200           0           0

 VERISIGN, INC.          COMM  92343E102         4,231      27,480     SH        DEFINED    01        27,480           0           0

 VERISIGN, INC.          COMM  92343E102         7,007      45,500     SH        DEFINED    99             0           0      45,500

 VIACOM INC CL B COM     COMM  925524308           102       1,225     SH        DEFINED    01         1,225           0           0

 VIACOM INC CL B COM     COMM  925524308             8         100     SH        OTHER      01           100           0           0

 VIACOM INC CL B COM     COMM  925524308         1,775      21,150     SH        DEFINED    99         8,375           0      12,775

 VISUAL NETWORKS         COMM  928444108             6      17,759     SH        DEFINED    01        17,759           0           0

 VITESSE SEMICONDUCTOR C COMM  928497106            30         600     SH        DEFINED    01           600           0           0

 VITESSE SEMICONDUCTOR C COMM  928497106           277       5,475     SH        OTHER      01         5,475           0           0

 VITESSE SEMICONDUCTOR C COMM  928497106            96       1,900     SH        DEFINED    99             0           0       1,900

 VODAFONE GROUP PLC ADR  AMER  92857T107        23,707     126,270     SH        DEFINED    01       125,520           0         750

 VODAFONE GROUP PLC ADR  AMER  92857T107         7,888      42,015     SH        OTHER      01        39,065           0       2,950

 VODAFONE GROUP PLC ADR  AMER  92857T107           106         565     SH        DEFINED    99           350           0         215

 WMX TECHNOLOGIES INC    CORP  92929QAF4            11      12,000     SH        OTHER      01        12,000           0           0

 WACHOVIA CORP NEW       COMM  929771103        10,193     125,559     SH        DEFINED    01       125,559           0           0

 WACHOVIA CORP NEW       COMM  929771103         4,917      60,566     SH        OTHER      01        60,086           0         480

 WACHOVIA CORP NEW       COMM  929771103             0           0     SH        DEFINED    99             0           0           0

 WADDELL & REED FINL INC COMM  930059209           185       9,345     SH        DEFINED    01         9,345           0           0

 WADDELL & REED FINL INC COMM  930059209           197       9,955     SH        OTHER      01         9,882           0          73

 WAL MART STORES INC     COMM  931142103        59,468     645,079     SH        DEFINED    01       587,864           0      57,215

 WAL MART STORES INC     COMM  931142103        18,095     196,290     SH        OTHER      01       168,170       4,570      23,550

 WAL MART STORES INC     COMM  931142103            73         800     SH        DEFINED    01 02        800           0           0

 WAL MART STORES INC     COMM  931142103            55         600     SH        OTHER      01 06        600           0           0

 WAL MART STORES INC     COMM  931142103         2,883      31,275     SH        DEFINED    99        11,750           0      19,525

 WALGREEN CO             COMM  931422109        21,966     777,589     SH        DEFINED    01       763,189           0      14,400

 WALGREEN CO             COMM  931422109        11,828     418,709     SH        OTHER      01       335,161      23,416      60,132

 WALGREEN CO             COMM  931422109        11,664     412,900     SH        DEFINED    99        24,100           0     388,800

 WARNER LAMBERT CO       COMM  934488107        24,438     368,881     SH        DEFINED    01       322,841           0      46,040

 WARNER LAMBERT CO       COMM  934488107        17,246     260,330     SH        OTHER      01       248,651       5,888       5,791

 WARNER LAMBERT CO       COMM  934488107         4,597      69,400     SH        DEFINED    99         6,475           0      62,925

 WASHINGTON GAS LT CO    COMM  938837101         2,197      97,116     SH        DEFINED    01        96,166           0         950

 WASHINGTON GAS LT CO    COMM  938837101         1,183      52,309     SH        OTHER      01        48,009       3,000       1,300

 WASHINGTON GAS LT CO    COMM  938837101            28       1,275     SH        DEFINED    99           400           0         875

 WASHINGTON POST CO CL B COMM  939640108           151         290     SH        DEFINED    01           290           0           0

 WASHINGTON POST CO CL B COMM  939640108           260         500     SH        OTHER      01           500           0           0

 WASHINGTON TR BANCORP I COMM  940610108           202      11,845     SH        DEFINED    01        11,845           0           0

 WASHINGTON TR BANCORP I COMM  940610108           288      16,867     SH        OTHER      01        16,867           0           0

 WASTE MGMT INC DEL      COMM  94106L109         6,251     140,881     SH        DEFINED    01       139,681           0       1,200

</TABLE> 
<PAGE>
 
                                                                  PAGE   45     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>         <C>         <C>       <C>       <C>        <C>         <C>         <C> 
 WASTE MGMT INC DEL      COMM  94106L109         1,880      42,386     SH        OTHER      01        40,296         147       1,943

 WATER CORP              COMM  941848103            31         300     SH        DEFINED    01           300           0           0

 WATER CORP              COMM  941848103           252       2,400     SH        OTHER      01             0           0       2,400

 WATER CORP              COMM  941848103           115       1,100     SH        DEFINED    99             0           0       1,100

 WATSON PHARMACEUTICALS  COMM  942683103            61       1,405     SH        DEFINED    01         1,405           0           0

 WATSON PHARMACEUTICALS  COMM  942683103             0           0     SH        OTHER      01             0           0           0

 WATSON PHARMACEUTICALS  COMM  942683103         1,753      39,750     SH        DEFINED    99        13,650           0      26,100

 WEBSTER FINL CORP WATER COMM  947890109           647      22,436     SH        DEFINED    01        22,436           0           0

 WEBSTER FINL CORP WATER COMM  947890109           393      13,616     SH        OTHER      01        13,616           0           0

 WEBTRENDS CORPORATION   COMM  94844D104           972      20,000     SH        DEFINED    99             0           0      20,000

 WELLPOINT HLTH NTWRKS I COMM  94973H108            14         185     SH        DEFINED    01           185           0           0

 WELLPOINT HLTH NTWRKS I COMM  94973H108             0           0     SH        OTHER      01             0           0           0

 WELLPOINT HLTH NTWRKS I COMM  94973H108           610       8,050     SH        DEFINED    99         2,900           0       5,150

 WELLS FARGO & CO NEW    COMM  949746101        47,633   1,358,518     SH        DEFINED    01     1,248,567       1,800     108,151

 WELLS FARGO & CO NEW    COMM  949746101        14,500     413,560     SH        OTHER      01       397,640       5,150      10,770

 WELLS FARGO & CO NEW    COMM  949746101           140       4,000     SH        DEFINED    01 02      4,000           0           0

 WELLS FARGO & CO NEW    COMM  949746101            17         500     SH        OTHER      01 04        500           0           0

 WELLS FARGO & CO NEW    COMM  949746101         2,004      57,180     SH        DEFINED    99        28,550           0      28,630

 WELLSFORD REAL PROPERTI COMM  950240101            70     811,000     SH        DEFINED    01       811,000           0           0

 WESTERN RESOURCES INC   COMM  959425109            34       1,284     SH        DEFINED    01         1,284           0           0

 WESTERN RESOURCES INC   COMM  959425109           354      13,276     SH        OTHER      01        13,276           0           0

 WESTPOINT STEVENS INC C COMM  961238102            16         600     SH        DEFINED    01           600           0           0

 WESTPOINT STEVENS INC C COMM  961238102            80       2,900     SH        OTHER      01             0           0       2,900

 WESTPOINT STEVENS INC C COMM  961238102           235       8,500     SH        DEFINED    99         8,100           0         400

 WEYERHAEUSER CO         COMM  962166104         2,223      40,061     SH        DEFINED    01        39,911           0         150

 WEYERHAEUSER CO         COMM  962166104         1,294      23,323     SH        OTHER      01        22,823         200         300

 WEYERHAEUSER CO         COMM  962166104            83       1,500     SH        OTHER      01 06      1,500           0           0

 WEYERHAEUSER CO         COMM  962166104            33         600     SH        DEFINED    99           600           0           0

 WHIRLPOOL CORP          COMM  963320106            89       1,650     SH        DEFINED    01         1,650           0           0

 WHIRLPOOL CORP          COMM  963320106           297       5,465     SH        OTHER      01         5,465           0           0

 WHOLE FOODS MKT INC     COMM  966837106            17         500     SH        DEFINED    01           500           0           0

 WHOLE FOODS MKT INC     COMM  966837106           158       4,600     SH        OTHER      01         4,600           0           0

 WHOLE FOODS MKT INC     COMM  966837106           142       4,150     SH        DEFINED    99         3,950           0         200

 WILLAMETTE INDS INC     COMM  969133107         1,781      47,200     SH        DEFINED    01        47,200           0           0

 WILLAMETTE INDS INC     COMM  969133107           453      12,000     SH        OTHER      01         6,800       1,200       4,000

 WILLIAMS COS INC DEL    COMM  969457100         3,580      90,658     SH        DEFINED    01        89,608           0       1,050

 WILLIAMS COS INC DEL    COMM  969457100         1,232      31,205     SH        OTHER      01        27,219       1,900       2,086

 WILLIAMS COS INC DEL    COMM  969457100         7,900     200,000     SH        DEFINED    99             0           0     200,000

 WILMINGTON TR CORP      COMM  971807102           148       2,601     SH        DEFINED    01         2,601           0           0

 WILMINGTON TR CORP      COMM  971807102           146       2,564     SH        OTHER      01           564       2,000           0

 WISCONSIN ENERGY CORP C COMM  976657106         1,234      47,372     SH        DEFINED    01        47,372           0           0

 WISCONSIN ENERGY CORP C COMM  976657106         1,955      75,031     SH        OTHER      01        72,514         600       1,917

 WOODHEAD INDS INC       COMM  979438108             1         200     SH        DEFINED    01           200           0           0

 WORTHINGTON INDS INC    COMM  981811102           191      16,263     SH        DEFINED    01        16,263           0           0

 WORTHINGTON INDS INC    COMM  981811102           324      27,650     SH        OTHER      01        27,650           0           0

</TABLE> 
<PAGE>
 
                                                                  PAGE   46     

<TABLE> 
<CAPTION> 
                        COLUMN                COLUMN 4:                                    COLUMN
                        2:                       FAIR       COLUMN 5:           COLUMN 6:   7:
                        TITLE  COLUMN 3:       MARKET      SHARES OR            INVEST     MGRS                COLUMN 8:
 COLUMN 1:              OF     CUSIP            VALUE      PRINCIPAL   SH/PRN   MENT DIS-  SEE            VOTING   AUTHORITY
 NAME OF ISSUER         CLASS  NUMBER           000 S        AMOUNT   PUT/CALL  CRETION    INST          SOLE     SHARED       NONE
 -------------------    -----  ----------      --------    --------    --------  --------  ------     --------    --------    ------

<S>                     <C>   <C>             <C>           <C>         <C>       <C>       <C>        <C>        <C>        <C> 
 WRIGLEY WM JR CO COM    COMM  982526105           266         2,948     SH        DEFINED    01         2,748          0        200

 WRIGLEY WM JR CO COM    COMM  982526105         1,659        18,350     SH        OTHER      01        17,450        700        200

 WYMAN GORDON CO         COMM  983085101           490        53,018     SH        OTHER      01        53,018          0          0

 XEROX CORP              COMM  984121103        21,567       413,764     SH        DEFINED    01       411,964        200      1,600

 XEROX CORP              COMM  984121103         9,380       179,963     SH        OTHER      01       165,873      6,250      7,840

 XEROX CORP              COMM  984121103           125         2,400     SH        OTHER      01 03      2,400          0          0

 XEROX CORP              COMM  984121103         8,548       164,000     SH        DEFINED    99         1,550          0    162,450

 ZIONS BANCORP           COMM  989701107             0             0     SH        DEFINED    01             0          0          0

 ZIONS BANCORP           COMM  989701107           357         5,375     SH        DEFINED    99         2,000          0      3,375

  GRAND TOTAL                               12,655,205   217,131,845

</TABLE> 




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