FIRST TENNESSEE NATIONAL CORP
13F-HR, 1999-10-13
NATIONAL COMMERCIAL BANKS
Previous: FIRST REPUBLIC CORP OF AMERICA, 10-K405, 1999-10-13
Next: AMERISTEEL CORP, 8-K, 1999-10-13



<TABLE>                                                  <C>          <C>
1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     1 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 LORAL SPACE & COMMUNICATIONS   COM            G56462107     501,862      29,200  X          1             28800       400         0
                                                              37,812       2,200      X   X  1              2200         0         0
                                                         -----------   ---------
                                                             539,674      31,400

 XL CAP LTD                     CL A           G98255105   3,193,245      70,961  X          1             68761      1200      1000
                                                           1,125,000      25,000      X   X  1             14970     10030         0
                                                         -----------   ---------
                                                           4,318,245      95,961

 AMR CORP                       COM            001765106     261,600       4,800  X          1              4800         0         0
                                                              43,600         800      X   X  1                 0       800         0
                                                         -----------   ---------
                                                             305,200       5,600

 AT&T CORP                      COM            001957109   4,371,819     100,501  X          1             95489      4262       750
                                                           1,590,845      36,571      X   X  1             18080     17636       855
                                                               9,788         225  X          2               225         0         0
                                                         -----------   ---------
                                                           5,972,452     137,297

 AT&T CORP                      COM LIB GRP A  001957208     432,819      11,600      X   X  1             11600         0         0
                                                         -----------   ---------
                                                             432,819      11,600

 ABBOTT LABS                    COM            002824100   8,805,877     240,027  X          1            235827      2900      1300
                                                           4,219,485     115,013      X   X  1             60513     54500         0
                                                              11,006         300  X          2               300         0         0
                                                         -----------   ---------
                                                          13,036,368     355,340

 ADAMS EXPRESS CO               COM            006212104     511,271      17,861      X   X  1              8861      9000         0
                                                         -----------   ---------
                                                             511,271      17,861

 ADVANCED MED INC               SB DB CV 7.25% 00754CAA9      30,000      50,000  X          1             50000         0         0
                                                         -----------   ---------
                                                              30,000      50,000

 AEGON N V                      ORD AMER REG   007924103     849,863       9,825  X          1              9825         0         0
                                                             189,176       2,187      X   X  1                 0         0      2187
                                                         -----------   ---------
                                                           1,039,039      12,012

                COLUMN TOTAL                              26,185,068






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     2 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 AETNA INC                      COM            008117103     186,511       3,787  X          1              3787         0         0
                                                              59,100       1,200      X   X  1               900       300         0
                                                         -----------   ---------
                                                             245,611       4,987

 AIR PRODS & CHEMS INC          COM            009158106     648,913      22,185  X          1             21985       200         0
                                                             213,525       7,300      X   X  1               400      6900         0
                                                         -----------   ---------
                                                             862,438      29,485

 ALBERTO CULVER CO              CL A           013068200   1,731,236      88,500  X          1             87700       400       400
                                                             255,775      13,075      X   X  1              8775      4300         0
                                                         -----------   ---------
                                                           1,987,011     101,575

 ALCOA INC                      COM            013817101   2,289,096      36,884  X          1             35484       500       900
                                                             980,579      15,800      X   X  1             13300      2500         0
                                                         -----------   ---------
                                                           3,269,675      52,684

 ALL AMERN TERM TR INC          COM            016440109      47,669       3,952  X          1              3952         0         0
                                                             166,456      13,800      X   X  1             13800         0         0
                                                         -----------   ---------
                                                             214,125      17,752

 ALLIEDSIGNAL INC               COM            019512102     214,335       3,576  X          1              3576         0         0
                                                              59,937       1,000      X   X  1               612         0       388
                                                         -----------   ---------
                                                             274,272       4,576

 ALLSTATE CORP                  COM            020002101     271,863      10,902  X          1              9702         0      1200
                                                             598,438      23,998      X   X  1             21824      2174         0
                                                         -----------   ---------
                                                             870,301      34,900

 ALLTEL CORP                    COM            020039103     307,117       4,364  X          1              4364         0         0
                                                             153,348       2,179      X   X  1                 0      2179         0
                                                         -----------   ---------
                                                             460,465       6,543

                COLUMN TOTAL                               8,183,898










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     3 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 ALZA CORP DEL                  COM            022615108     673,596      15,734  X          1             15534         0       200
                                                              32,109         750      X   X  1               750         0         0
                                                         -----------   ---------
                                                             705,705      16,484

 AMEREN CORP                    COM            023608102     134,460       3,556  X          1              3556         0         0
                                                             103,001       2,724      X   X  1              1500       724       500
                                                         -----------   ---------
                                                             237,461       6,280

 AMERICA ONLINE INC DEL         COM            02364J104     454,228       4,365  X          1              4365         0         0
                                                             561,934       5,400      X   X  1              5400         0         0
                                                         -----------   ---------
                                                           1,016,162       9,765

 AMERICAN ELEC PWR INC          COM            025537101     218,470       6,402  X          1              5702       700         0
                                                              24,195         709      X   X  1                 0       709         0
                                                         -----------   ---------
                                                             242,665       7,111

 AMERICAN EXPRESS CO            COM            025816109     718,335       5,321  X          1              2821      2500         0
                                                           1,484,730      10,998      X   X  1              7200      3798         0
                                                         -----------   ---------
                                                           2,203,065      16,319

 AMERICAN GENERAL CORP          COM            026351106     831,739      13,150  X          1             10750         0      2400
                                                             186,208       2,944      X   X  1              2944         0         0
                                                         -----------   ---------
                                                           1,017,947      16,094

 AMERICAN HOME PRODS CORP       COM            026609107   3,301,906      79,564  X          1             75864      3200       500
                                                           1,037,500      25,000      X   X  1             18600      6400         0
                                                         -----------   ---------
                                                           4,339,406     104,564

 AMERICAN INTL GROUP INC        COM            026874107   3,066,613      35,274  X          1             33829      1020       425
                                                           2,755,728      31,698      X   X  1             25791      5907         0
                                                         -----------   ---------
                                                           5,822,341      66,972

                COLUMN TOTAL                              15,584,752










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     4 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 AMERITECH CORP NEW             COM            030954101   2,178,722      32,640  X          1             32040         0       600
                                                           1,960,049      29,364      X   X  1             23882      5482         0
                                                         -----------   ---------
                                                           4,138,771      62,004

 AMGEN INC                      COM            031162100     995,523      12,215  X          1             12120        95         0
                                                           4,277,120      52,480      X   X  1             52020       460         0
                                                         -----------   ---------
                                                           5,272,643      64,695

 AMSOUTH BANCORPORATION         COM            032165102     455,428      19,432  X          1             19432         0         0
                                                             802,319      34,233      X   X  1              3000     31233         0
                                                         -----------   ---------
                                                           1,257,747      53,665

 ANHEUSER BUSCH COS INC         COM            035229103   1,808,018      25,806  X          1             25606       200         0
                                                           1,212,071      17,300      X   X  1             16300      1000         0
                                                         -----------   ---------
                                                           3,020,089      43,106

 APPLIED MATLS INC              COM            038222105     431,162       5,550  X          1              5550         0         0
                                                           3,977,574      51,200      X   X  1             51200         0         0
                                                         -----------   ---------
                                                           4,408,736      56,750

 ARCHER DANIELS MIDLAND CO      COM            039483102     560,103      46,194  X          1             42411      3783         0
                                                             550,100      45,369      X   X  1             38523      6846         0
                                                         -----------   ---------
                                                           1,110,203      91,563

 ASSOCIATES FIRST CAP CORP      CL A           046008108     150,552       4,182  X          1              4182         0         0
                                                             522,864      14,524      X   X  1             14108       416         0
                                                         -----------   ---------
                                                             673,416      18,706

 ASTEC INDS INC                 COM            046224101     571,763      23,700  X          1             23700         0         0
                                                               7,238         300      X   X  1                 0       300         0
                                                         -----------   ---------
                                                             579,001      24,000

                COLUMN TOTAL                              20,460,606










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     5 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 ATLANTIC RICHFIELD CO          COM            048825103   1,552,803      17,521  X          1             17276       245         0
                                                           1,201,846      13,561      X   X  1             10437      3124         0
                                                         -----------   ---------
                                                           2,754,649      31,082

 AUTOMATIC DATA PROCESSING INC  COM            053015103     504,620      11,308  X          1              9396         0      1912
                                                             809,676      18,144      X   X  1             18144         0         0
                                                         -----------   ---------
                                                           1,314,296      29,452

 AUTOZONE INC                   COM            053332102   1,976,968      70,450  X          1             70450         0         0
                                                              44,899       1,600      X   X  1                 0      1600         0
                                                         -----------   ---------
                                                           2,021,867      72,050

 BP AMOCO P L C                 SPONSORED ADR  055622104   7,448,894      67,221  X          1             64001      2924       296
                                                           2,875,569      25,950      X   X  1              9173     15716      1061
                                                         -----------   ---------
                                                          10,324,463      93,171

 BMC SOFTWARE INC               COM            055921100     558,185       7,800  X          1              7000       800         0
                                                              80,507       1,125      X   X  1              1125         0         0
                                                              10,734         150  X          2               150         0         0
                                                         -----------   ---------
                                                             649,426       9,075

 BANCORPSOUTH INC               COM            059692103     252,988      14,937  X          1             14937         0         0
                                                         -----------   ---------
                                                             252,988      14,937

 BANK OF AMERICA CORPORATION    COM            060505104   6,793,542     121,995  X          1            119854      1428       713
                                                           4,457,188      80,040      X   X  1             38746     41294         0
                                                              12,585         226  X          2               226         0         0
                                                         -----------   ---------
                                                          11,263,315     202,261

 BANK ONE CORP                  COM            06423A103   1,390,319      39,938  X          1             37592      2346         0
                                                             501,431      14,404      X   X  1              2873     11531         0
                                                              10,444         300  X          2               300         0         0
                                                         -----------   ---------
                                                           1,902,194      54,642

                COLUMN TOTAL                              30,483,198








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     6 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 BANKBOSTON CORP                COM            06605R106   6,416,305     147,926  X          1            145976         0      1950
                                                             752,125      17,340      X   X  1              6840     10500         0
                                                         -----------   ---------
                                                           7,168,430     165,266

 BARD C R INC                   COM            067383109     517,677      11,000  X          1             11000         0         0
                                                             183,543       3,900      X   X  1               800      3100         0
                                                         -----------   ---------
                                                             701,220      14,900

 BAXTER INTL INC                COM            071813109     716,434      11,891  X          1             11891         0         0
                                                             775,358      12,869      X   X  1             12869         0         0
                                                         -----------   ---------
                                                           1,491,792      24,760

 BELDEN INC                     COM            077459105     649,850      31,700  X          1             27600      4100         0
                                                             118,900       5,800      X   X  1              1200      4600         0
                                                         -----------   ---------
                                                             768,750      37,500

 BELL ATLANTIC CORP             COM            077853109   4,307,626      63,995  X          1             63395       200       400
                                                           2,547,083      37,840      X   X  1             25873     11967         0
                                                         -----------   ---------
                                                           6,854,709     101,835

 BELLSOUTH CORP                 COM            079860102  14,857,020     330,156  X          1            320756      4400      5000
                                                           6,457,230     143,494      X   X  1             49872     91822      1800
                                                         -----------   ---------
                                                          21,314,250     473,650

 BELO A H CORP DEL              COM SER A      080555105   4,578,017     239,373  X          1            237773         0      1600
                                                             529,763      27,700      X   X  1              3200     24500         0
                                                         -----------   ---------
                                                           5,107,780     267,073

 BERKSHIRE HATHAWAY INC DEL     CL B           084670207     354,496         191  X          1               191         0         0
                                                              37,120          20      X   X  1                20         0         0
                                                         -----------   ---------
                                                             391,616         211

                COLUMN TOTAL                              43,798,547










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     7 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 BESTFOODS                      COM            08658U101     495,332      10,200  X          1             10200         0         0
                                                             437,058       9,000      X   X  1              8200       800         0
                                                         -----------   ---------
                                                             932,390      19,200

 BIRMINGHAM STL CORP            COM            091250100     319,490      41,900  X          1             41300       600         0
                                                              24,400       3,200      X   X  1                 0      3200         0
                                                         -----------   ---------
                                                             343,890      45,100

 BOEING CO                      COM            097023105   1,776,451      41,676  X          1             39476      2200         0
                                                             779,614      18,290      X   X  1             10490      7800         0
                                                         -----------   ---------
                                                           2,556,065      59,966

 BRISTOL MYERS SQUIBB CO        COM            110122108  48,683,431     721,236  X          1            707251     11225      2760
                                                          17,727,188     262,625      X   X  1            118965    143660         0
                                                         -----------   ---------
                                                          66,410,619     983,861

 CBL & ASSOC PPTYS INC          COM            124830100     349,940      14,320  X          1             12020      2300         0
                                                              61,093       2,500      X   X  1              1000      1500         0
                                                         -----------   ---------
                                                             411,033      16,820

 CBRL GROUP INC                 COM            12489V106     105,448       6,803  X          1              6803         0         0
                                                             188,325      12,150      X   X  1             12150         0         0
                                                         -----------   ---------
                                                             293,773      18,953

 CIGNA CORP                     COM            125509109     610,649       7,854  X          1              7854         0         0
                                                              29,156         375      X   X  1                 0       375         0
                                                         -----------   ---------
                                                             639,805       8,229

 CSX CORP                       COM            126408103     557,409      13,154  X          1             12154      1000         0
                                                             354,765       8,372      X   X  1              4172      4200         0
                                                         -----------   ---------
                                                             912,174      21,526

                COLUMN TOTAL                              72,499,749










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     8 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 CARDINAL HEALTH INC            COM            14149Y108      77,174       1,416  X          1              1416         0         0
                                                             170,206       3,123      X   X  1              3123         0         0
                                                         -----------   ---------
                                                             247,380       4,539

 CARNIVAL CORP                  COM            143658102     200,100       4,600  X          1              4600         0         0
                                                             213,150       4,900      X   X  1              4900         0         0
                                                         -----------   ---------
                                                             413,250       9,500

 CAROLINA PWR & LT CO           COM            144141108     345,686       9,772  X          1              9772         0         0
                                                             145,038       4,100      X   X  1              2400      1700         0
                                                         -----------   ---------
                                                             490,724      13,872

 CATERPILLAR INC DEL            COM            149123101     210,095       3,833  X          1              3633       200         0
                                                             117,078       2,136      X   X  1              2136         0         0
                                                         -----------   ---------
                                                             327,173       5,969

 CENTRAL & SOUTH WEST CORP      COM            152357109     234,698      11,110  X          1             11110         0         0
                                                              33,800       1,600      X   X  1              1600         0         0
                                                         -----------   ---------
                                                             268,498      12,710

 CHASE MANHATTAN CORP NEW       COM            16161A108   9,555,388     126,771  X          1            124531       940      1300
                                                           1,863,954      24,729      X   X  1              9050     15679         0
                                                              15,075         200  X          2               200         0         0
                                                         -----------   ---------
                                                          11,434,417     151,700

 CHEVRON CORPORATION            COM            166751107   2,620,616      29,528  X          1             28123        65      1340
                                                           1,527,121      17,207      X   X  1             10407      6000       800
                                                         -----------   ---------
                                                           4,147,737      46,735

 CHUBB CORP                     COM            171232101     688,558      13,875  X          1             13100       775         0
                                                              71,957       1,450      X   X  1              1450         0         0
                                                              11,166         225  X          2               225         0         0
                                                         -----------   ---------
                                                             771,681      15,550

                COLUMN TOTAL                              18,100,860








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     9 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 CINAR CORP                     SUB VTG SHS B  171905300     211,750       7,000  X          1              7000         0         0
                                                         -----------   ---------
                                                             211,750       7,000

 CIRCUIT CITY STORE INC         CIRCT CITY GRP 172737108     166,639       3,950  X          1              3150       800         0
                                                             168,749       4,000      X   X  1              4000         0         0
                                                         -----------   ---------
                                                             335,388       7,950

 CISCO SYS INC                  COM            17275R102   5,628,738      82,097  X          1             81097      1000         0
                                                          10,640,689     155,198      X   X  1            149348      5850         0
                                                              17,141         250  X          2               250         0         0
                                                         -----------   ---------
                                                          16,286,568     237,545

 CINTAS CORP                    COM            172908105      34,687         600  X          1               600         0         0
                                                             572,339       9,900      X   X  1              9900         0         0
                                                         -----------   ---------
                                                             607,026      10,500

 CITIGROUP INC                  COM            172967101   3,197,480      72,670  X          1             70745      1425       500
                                                           4,502,916     102,339      X   X  1             78048     13712     10579
                                                              10,428         237  X          2               237         0         0
                                                         -----------   ---------
                                                           7,710,824     175,246

 CITIZENS UTILS CO DEL          CL B           177342201     116,196      10,272  X          1             10272         0         0
                                                         -----------   ---------
                                                             116,196      10,272

 CLOROX CO DEL                  COM            189054109      61,200       1,600  X          1              1600         0         0
                                                             397,800      10,400      X   X  1             10400         0         0
                                                         -----------   ---------
                                                             459,000      12,000

 COASTAL CORP                   COM            190441105   4,844,690     118,345  X          1            116245       200      1900
                                                             894,474      21,850      X   X  1             17250      4600         0
                                                              12,281         300  X          2               300         0         0
                                                         -----------   ---------
                                                           5,751,445     140,495

                COLUMN TOTAL                              31,478,197









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    10 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 COCA COLA CO                   COM            191216100  10,139,313     210,141  X          1            203941      5500       700
                                                          12,641,937     262,009      X   X  1            181554     80455         0
                                                               9,650         200  X          2               200         0         0
                                                         -----------   ---------
                                                          22,790,900     472,350

 COLGATE PALMOLIVE CO           COM            194162103   1,466,562      32,056  X          1             31456         0       600
                                                           1,019,310      22,280      X   X  1             19680      2600         0
                                                         -----------   ---------
                                                           2,485,872      54,336

 COMERICA INC                   COM            200340107     374,778       7,403  X          1              7403         0         0
                                                              30,375         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             405,153       8,003

 COMPAQ COMPUTER CORP           COM            204493100   1,115,376      48,759  X          1             46659      2100         0
                                                           3,137,310     137,150      X   X  1            126500     10650         0
                                                         -----------   ---------
                                                           4,252,686     185,909

 COMPUTER ASSOC INTL INC        COM            204912109     713,636      11,675  X          1             11675         0         0
                                                              45,844         750      X   X  1               450       300         0
                                                         -----------   ---------
                                                             759,480      12,425

 COMPUTER SCIENCES CORP         COM            205363104     607,848       8,645  X          1              8540       105         0
                                                             144,139       2,050      X   X  1                 0      2050         0
                                                         -----------   ---------
                                                             751,987      10,695

 CONAGRA INC                    COM            205887102     736,650      32,650  X          1             31525      1125         0
                                                             163,574       7,250      X   X  1              6650       600         0
                                                               4,512         200  X          2               200         0         0
                                                         -----------   ---------
                                                             904,736      40,100

 CONOCO INC                     CL B           208251405     361,433      13,203  X          1             10258      2945         0
                                                              93,212       3,405      X   X  1               312      3093         0
                                                         -----------   ---------
                                                             454,645      16,608

                COLUMN TOTAL                              32,805,459








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    11 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 CONSOLIDATED NAT GAS CO        COM            209615103     544,662       8,732  X          1              8482       250         0
                                                             117,080       1,877      X   X  1              1877         0         0
                                                               6,238         100  X          2               100         0         0
                                                         -----------   ---------
                                                             667,980      10,709

 COOPER INDS INC                COM            216669101     367,456       7,860  X          1              6360      1500         0
                                                              18,700         400      X   X  1               400         0         0
                                                         -----------   ---------
                                                             386,156       8,260

 CORNING INC                    COM            219350105   2,039,033      29,740  X          1             29015       725         0
                                                           1,073,474      15,657      X   X  1             12457      3200         0
                                                              10,284         150  X          2               150         0         0
                                                         -----------   ---------
                                                           3,122,791      45,547

 COSTCO WHSL CORP NEW           COM            22160K105   1,530,000      21,250  X          1             20500       300       450
                                                              36,000         500      X   X  1               500         0         0
                                                         -----------   ---------
                                                           1,566,000      21,750

 COX COMMUNICATIONS INC NEW     CL A           224044107     262,859       6,296  X          1              6296         0         0
                                                              62,625       1,500      X   X  1                 0      1500         0
                                                         -----------   ---------
                                                             325,484       7,796

 CRIIMI MAE INC                 COM            226603108      42,066      20,400  X          1             20400         0         0
                                                         -----------   ---------
                                                              42,066      20,400

 DAYTON HUDSON CORP             COM            239753106     720,744      12,000  X          1             12000         0         0
                                                             802,187      13,356      X   X  1             13356         0         0
                                                         -----------   ---------
                                                           1,522,931      25,356

 DEERE & CO                     COM            244199105     469,079      12,125  X          1             12125         0         0
                                                             208,910       5,400      X   X  1              2900      2200       300
                                                         -----------   ---------
                                                             677,989      17,525

                COLUMN TOTAL                               8,311,397









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    12 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 DELL COMPUTER CORP             COM            247025109     250,704       5,996  X          1              5996         0         0
                                                           1,807,114      43,220      X   X  1             43220         0         0
                                                         -----------   ---------
                                                           2,057,818      49,216

 DELPHI AUTOMOTIVE SYS CORP     COM            247126105     184,505      11,487  X          1             11487         0         0
                                                              87,844       5,469      X   X  1              2818      1988       663
                                                         -----------   ---------
                                                             272,349      16,956

 DELTA AIR LINES INC DEL        COM            247361108     127,555       2,630  X          1              2630         0         0
                                                             126,100       2,600      X   X  1              2600         0         0
                                                         -----------   ---------
                                                             253,655       5,230

 DISNEY WALT CO                 COM            254687106   2,010,996      77,346  X          1             74746      1350      1250
                                                           2,225,652      85,602      X   X  1             73977     11625         0
                                                               5,200         200  X          2               200         0         0
                                                         -----------   ---------
                                                           4,241,848     163,148

 DOLLAR GEN CORP                COM            256669102      60,206       1,950  X          1              1950         0         0
                                                             160,612       5,202      X   X  1              5202         0         0
                                                         -----------   ---------
                                                             220,818       7,152

 DOMINION RES INC VA            COM            257470104     183,795       4,073  X          1              4073         0         0
                                                             120,800       2,677      X   X  1               427      2250         0
                                                         -----------   ---------
                                                             304,595       6,750

 DOVER CORP                     COM            260003108     255,224       6,244  X          1              6244         0         0
                                                             331,905       8,120      X   X  1                 0      8120         0
                                                         -----------   ---------
                                                             587,129      14,364

 DOW CHEM CO                    COM            260543103   2,691,910      23,691  X          1             23591       100         0
                                                           1,152,960      10,147      X   X  1              5372      4775         0
                                                         -----------   ---------
                                                           3,844,870      33,838

                COLUMN TOTAL                              11,783,082









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    13 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 DOW JONES & CO INC             COM            260561105     352,276       6,600      X   X  1              6600         0         0
                                                         -----------   ---------
                                                             352,276       6,600

 DREYFUS HIGH YIELD STRATEGIES  SH BEN INT     26200S101     339,360      30,000  X          1             30000         0         0
                                                         -----------   ---------
                                                             339,360      30,000

 DU PONT E I DE NEMOURS & CO    COM            263534109   2,894,027      47,835  X          1             45634      1801       400
                                                           2,283,936      37,751      X   X  1             27680     10071         0
                                                               6,050         100  X          2               100         0         0
                                                         -----------   ---------
                                                           5,184,013      85,686

 DUFF & PHELPS UTILS INCOME INC COM            264324104      38,748       4,000  X          1              4000         0         0
                                                              65,872       6,800      X   X  1                 0      6800         0
                                                         -----------   ---------
                                                             104,620      10,800

 DUKE ENERGY CORP               COM            264399106   1,165,792      21,148  X          1             21148         0         0
                                                             358,313       6,500      X   X  1              5200      1300         0
                                                         -----------   ---------
                                                           1,524,105      27,648

 DYNATRONICS CORP               COM            268157104       9,840      10,000  X          1             10000         0         0
                                                               9,840      10,000      X   X  1             10000         0         0
                                                         -----------   ---------
                                                              19,680      20,000

 E M C CORP MASS                COM            268648102  20,488,915     287,060  X          1            283110       600      3350
                                                           4,646,514      65,100      X   X  1             31500     33600         0
                                                         -----------   ---------
                                                          25,135,429     352,160

 ENSCO INTL INC                 COM            26874Q100     513,867      28,450  X          1             26650      1800         0
                                                              48,315       2,675      X   X  1              2675         0         0
                                                               7,225         400  X          2               400         0         0
                                                         -----------   ---------
                                                             569,407      31,525

                COLUMN TOTAL                              33,228,890










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    14 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 EASTMAN KODAK CO               COM            277461109   1,006,955      13,315  X          1             12315      1000         0
                                                             245,783       3,250      X   X  1              1350      1900         0
                                                         -----------   ---------
                                                           1,252,738      16,565

 EATON CORP                     COM            278058102     276,026       3,198  X          1              3198         0         0
                                                         -----------   ---------
                                                             276,026       3,198

 ELAN PLC                       ADR            284131208   9,180,081     273,526  X          1            269926         0      3600
                                                           1,491,162      44,430      X   X  1             13530     30900         0
                                                         -----------   ---------
                                                          10,671,243     317,956

 ELECTRONIC DATA SYS NEW        COM            285661104   7,517,595     142,010  X          1            138510      1200      2300
                                                           1,424,112      26,902      X   X  1              8622     18280         0
                                                         -----------   ---------
                                                           8,941,707     168,912

 EMERGING MKTS FLOATING RATE FD COM            290885102     260,098      23,250  X          1             23250         0         0
                                                         -----------   ---------
                                                             260,098      23,250

 EMERSON ELEC CO                COM            291011104   1,075,444      17,020  X          1             16820       200         0
                                                           1,759,757      27,850      X   X  1             19700      8150         0
                                                         -----------   ---------
                                                           2,835,201      44,870

 ENRON CORP                     COM            293561106     758,415      18,470  X          1             18300       170         0
                                                         -----------   ---------
                                                             758,415      18,470

 EQUIFAX INC                    COM            294429105     236,252       8,400  X          1              8400         0         0
                                                               2,813         100      X   X  1               100         0         0
                                                         -----------   ---------
                                                             239,065       8,500

 EQUITY INCOME FD               UT 1 EX SR-ATT 294700703      96,801         492  X          1               492         0         0
                                                             270,531       1,375      X   X  1              1375         0         0
                                                         -----------   ---------
                                                             367,332       1,867

                COLUMN TOTAL                              25,601,825








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    15 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 EQUITY INNS INC                COM            294703103      73,865       8,690  X          1              8690         0         0
                                                              12,750       1,500      X   X  1              1500         0         0
                                                         -----------   ---------
                                                              86,615      10,190

 EQUITY RESIDENTIAL PPTYS TR    SH BEN INT     29476L107      11,229         265  X          1               265         0         0
                                                             627,150      14,800      X   X  1             14800         0         0
                                                         -----------   ---------
                                                             638,379      15,065

 ERICSSON L M TEL CO            ADR CL B SEK10 294821400     306,250       9,800  X          1              9800         0         0
                                                           1,214,594      38,867      X   X  1             23667     15200         0
                                                         -----------   ---------
                                                           1,520,844      48,667

 EXXON CORP                     COM            302290101  19,211,128     252,778  X          1            246413      4065      2300
                                                          10,612,564     139,639      X   X  1             91428     48211         0
                                                         -----------   ---------
                                                          29,823,692     392,417

 FPL GROUP INC                  COM            302571104     417,260       8,283  X          1              8283         0         0
                                                             231,020       4,586      X   X  1              2086      2500         0
                                                         -----------   ---------
                                                             648,280      12,869

 FDX CORP                       COM            31304N107     327,369       8,421  X          1              8421         0         0
                                                         -----------   ---------
                                                             327,369       8,421

 FEDERAL HOME LN MTG CORP       COM            313400301   3,154,320      60,660  X          1             56560      3900       200
                                                             577,200      11,100      X   X  1              2900      8200         0
                                                         -----------   ---------
                                                           3,731,520      71,760

 FEDERAL NATL MTG ASSN          COM            313586109   5,967,497      95,195  X          1             93190       855      1150
                                                           5,795,663      92,454      X   X  1             76404     16050         0
                                                         -----------   ---------
                                                          11,763,160     187,649

 FEDERATED DEPT STORES INC DEL  COM            31410H101   3,623,449      82,941  X          1             81741       400       800
                                                             905,197      20,720      X   X  1              9210     11510         0
                                                         -----------   ---------
                                                           4,528,646     103,661

                COLUMN TOTAL                              53,068,505






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    16 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 FINOVA GROUP INC               COM            317928109     384,860      10,544  X          1              9944       600         0
                                                              31,025         850      X   X  1               850         0         0
                                                               3,650         100  X          2               100         0         0
                                                         -----------   ---------
                                                             419,535      11,494

 FIRST AUSTRALIA PRIME INCOME   COM            318653102     218,663      35,700  X          1             35700         0         0
                                                              61,250      10,000      X   X  1             10000         0         0
                                                         -----------   ---------
                                                             279,913      45,700

 FIRST AMER CORP TENN           COM            318900107   3,544,688      81,487  X          1             57961      2426     21100
                                                           2,156,992      49,586      X   X  1             42689      3894      3003
                                                         -----------   ---------
                                                           5,701,680     131,073

 FIRST DATA CORP                COM            319963104     862,893      19,667  X          1             18667      1000         0
                                                             627,413      14,300      X   X  1             14300         0         0
                                                               8,775         200  X          2               200         0         0
                                                         -----------   ---------
                                                           1,499,081      34,167

 FIRST TENN NATL CORP           COM            337162101  39,338,817   1,398,713  X          1           1355013     33000     10700
                                                           5,650,287     200,899      X   X  1             61913    103994     34992
                                                         -----------   ---------
                                                          44,989,104   1,599,612

 FIRST UN CORP                  COM            337358105     750,657      21,071  X          1             21071         0         0
                                                             544,102      15,273      X   X  1              3497     11776         0
                                                         -----------   ---------
                                                           1,294,759      36,344

 FIRST VA BANKS INC             COM            337477103     235,583       5,408  X          1              5408         0         0
                                                         -----------   ---------
                                                             235,583       5,408

 FIRSTAR CORP NEW WIS           COM            33763V109     486,209      18,974  X          1             18974         0         0
                                                         -----------   ---------
                                                             486,209      18,974

                COLUMN TOTAL                              54,905,864










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    17 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 FLEET FINL GROUP INC NEW       COM            338915101     945,666      25,820  X          1             24520      1300         0
                                                              67,757       1,850      X   X  1              1850         0         0
                                                               9,156         250  X          2               250         0         0
                                                         -----------   ---------
                                                           1,022,579      27,920

 FLEETWOOD ENTERPRISES INC      COM            339099103     266,468      13,200      X   X  1             13200         0         0
                                                         -----------   ---------
                                                             266,468      13,200

 FLUOR CORP                     COM            343861100     636,963      15,825  X          1             15025       800         0
                                                              61,382       1,525      X   X  1              1525         0         0
                                                               6,038         150  X          2               150         0         0
                                                         -----------   ---------
                                                             704,383      17,500

 FORD MTR CO DEL                COM            345370100     973,445      19,372  X          1             18472       900         0
                                                             452,250       9,000      X   X  1              8200       800         0
                                                         -----------   ---------
                                                           1,425,695      28,372

 FORTUNE BRANDS INC             COM            349631101     382,227      11,852  X          1             11852         0         0
                                                             112,875       3,500      X   X  1              3100       400         0
                                                         -----------   ---------
                                                             495,102      15,352

 FRANKLIN RES INC               COM            354613101     195,596       6,400  X          1              5800         0       600
                                                               6,112         200      X   X  1               200         0         0
                                                         -----------   ---------
                                                             201,708       6,600

 GTE CORP                       COM            362320103  15,853,693     206,226  X          1            202526      1800      1900
                                                           5,740,964      74,679      X   X  1             35063     39616         0
                                                         -----------   ---------
                                                          21,594,657     280,905

 GALLAHER GROUP PLC             SPONSORED ADR  363595109     327,659      12,052  X          1             12052         0         0
                                                              59,812       2,200      X   X  1              2200         0         0
                                                         -----------   ---------
                                                             387,471      14,252

                COLUMN TOTAL                              26,098,063









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    18 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 GANNETT INC                    COM            364730101   1,448,775      20,940  X          1             20000        40       900
                                                           1,452,927      21,000      X   X  1             15700      5300         0
                                                         -----------   ---------
                                                           2,901,702      41,940

 GAP INC DEL                    COM            364760108     392,384      12,262  X          1             12262         0         0
                                                             283,200       8,850      X   X  1              8850         0         0
                                                         -----------   ---------
                                                             675,584      21,112

 GENERAL AMERN INVS INC         COM            368802104     359,387      11,037      X   X  1             11037         0         0
                                                         -----------   ---------
                                                             359,387      11,037

 GENERAL ELEC CO                COM            369604103  45,657,390     385,093  X          1            373006      8825      3262
                                                          25,855,287     218,074      X   X  1            121092     96982         0
                                                              17,784         150  X          2               150         0         0
                                                         -----------   ---------
                                                          71,530,461     603,317

 GENERAL MLS INC                COM            370334104     523,668       6,455  X          1              6190       265         0
                                                             338,131       4,168      X   X  1              3968       200         0
                                                         -----------   ---------
                                                             861,799      10,623

 GENERAL MTRS CORP              COM            370442105   1,050,735      16,695  X          1             16695         0         0
                                                             493,298       7,838      X   X  1              4038      2850       950
                                                         -----------   ---------
                                                           1,544,033      24,533

 GENUINE PARTS CO               COM            372460105     211,221       7,952  X          1              7952         0         0
                                                         -----------   ---------
                                                             211,221       7,952

 GILLETTE CO                    COM            375766102   1,436,791      42,337  X          1             41512       825         0
                                                           2,625,942      77,377      X   X  1             74195      3182         0
                                                               5,091         150  X          2               150         0         0
                                                         -----------   ---------
                                                           4,067,824     119,864

                COLUMN TOTAL                              82,152,011










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    19 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 GLAXO WELLCOME PLC             SPONSORED ADR  37733W105     232,960       4,480  X          1              3220         0      1260
                                                             150,800       2,900      X   X  1               700      2200         0
                                                         -----------   ---------
                                                             383,760       7,380

 GLOBAL MARINE INC              COM            379352404     421,691      25,655  X          1             23605      2050         0
                                                              38,628       2,350      X   X  1              2350         0         0
                                                               6,575         400  X          2               400         0         0
                                                         -----------   ---------
                                                             466,894      28,405

 GRAINGER W W INC               COM            384802104   3,654,488      76,037  X          1             74212       925       900
                                                           1,059,094      22,036      X   X  1              9800     12236         0
                                                               9,612         200  X          2               200         0         0
                                                         -----------   ---------
                                                           4,723,194      98,273

 GUIDANT CORP                   COM            401698105     249,357       4,650  X          1              3850         0       800
                                                         -----------   ---------
                                                             249,357       4,650

 HARRAHS ENTMT INC              COM            413619107     706,293      25,452  X          1             25452         0         0
                                                         -----------   ---------
                                                             706,293      25,452

 HEALTHSOUTH CORP               COM            421924101     243,018      39,675  X          1             36925      2750         0
                                                              21,131       3,450      X   X  1              3450         0         0
                                                               3,981         650  X          2               650         0         0
                                                         -----------   ---------
                                                             268,130      43,775

 HEINZ H J CO                   COM            423074103     364,038       8,466  X          1              7666       800         0
                                                              38,700         900      X   X  1               300       600         0
                                                         -----------   ---------
                                                             402,738       9,366

 HERSHEY FOODS CORP             COM            427866108      24,100         495  X          1               495         0         0
                                                             550,164      11,300      X   X  1              9200      2100         0
                                                         -----------   ---------
                                                             574,264      11,795

                COLUMN TOTAL                               7,774,630









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    20 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 HEWLETT PACKARD CO             COM            428236103   2,524,219      27,815  X          1             26700      1115         0
                                                           3,335,155      36,751      X   X  1             34776      1975         0
                                                              18,150         200  X          2               200         0         0
                                                         -----------   ---------
                                                           5,877,524      64,766

 HOME DEPOT INC                 COM            437076102   4,184,775      60,980  X          1             58955      1225       800
                                                           6,824,692      99,449      X   X  1             98399      1050         0
                                                              10,294         150  X          2               150         0         0
                                                         -----------   ---------
                                                          11,019,761     160,579

 HOUSEHOLD INTL INC             COM            441815107     930,905      23,200  X          1             21950      1250         0
                                                             112,351       2,800      X   X  1              2800         0         0
                                                              12,038         300  X          2               300         0         0
                                                         -----------   ---------
                                                           1,055,294      26,300

 HUNTINGTON BANCSHARES INC      COM            446150104     574,961      21,646      X   X  1                 0     21646         0
                                                         -----------   ---------
                                                             574,961      21,646

 IMS HEALTH INC                 COM            449934108      79,842       3,500  X          1              3500         0         0
                                                             132,310       5,800      X   X  1              5000       800         0
                                                         -----------   ---------
                                                             212,152       9,300

 ILLINOIS TOOL WKS INC          COM            452308109     246,055       3,300  X          1              2900       400         0
                                                         -----------   ---------
                                                             246,055       3,300

 INGERSOLL-RAND CO              COM            456866102   2,106,453      38,343  X          1             37843         0       500
                                                           1,006,719      18,325      X   X  1             13300      5025         0
                                                         -----------   ---------
                                                           3,113,172      56,668

 INPUT/OUTPUT INC               COM            457652105     346,821      52,350  X          1             52350         0         0
                                                               5,300         800      X   X  1               800         0         0
                                                         -----------   ---------
                                                             352,121      53,150

                COLUMN TOTAL                              22,451,040









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    21 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 INTEL CORP                     COM            458140100  21,476,238     289,001  X          1            278671      6650      3680
                                                          25,111,515     337,920      X   X  1            302470     35450         0
                                                              14,862         200  X          2               200         0         0
                                                         -----------   ---------
                                                          46,602,615     627,121

 INTERFACE INC                  CL A           458665106      65,088      12,700  X          1             12700         0         0
                                                         -----------   ---------
                                                              65,088      12,700

 INTERNATIONAL BUSINESS MACHS   COM            459200101  12,964,303     107,143  X          1            101239      5404       500
                                                           5,374,578      44,418      X   X  1             22194     22224         0
                                                         -----------   ---------
                                                          18,338,881     151,561

 INTL PAPER CO                  COM            460146103     343,643       7,150  X          1              6350       800         0
                                                             655,664      13,642      X   X  1             12842       400       400
                                                         -----------   ---------
                                                             999,307      20,792

 INTERPUBLIC GROUP COS INC      COM            460690100   5,960,255     144,930  X          1            144530         0       400
                                                           2,381,139      57,900      X   X  1             15700     42200         0
                                                         -----------   ---------
                                                           8,341,394     202,830

 JDS UNIPHASE CORP              COM            46612J101      91,050         800  X          1               800         0         0
                                                           1,912,042      16,800      X   X  1             16800         0         0
                                                         -----------   ---------
                                                           2,003,092      17,600

 JEFFERSON PILOT CORP           COM            475070108       7,582         120  X          1               120         0         0
                                                             239,795       3,795      X   X  1              3795         0         0
                                                         -----------   ---------
                                                             247,377       3,915

 JOHNSON & JOHNSON              COM            478160104  12,393,405     134,894  X          1            130094      4800         0
                                                           4,026,518      43,826      X   X  1             27026     16800         0
                                                               9,188         100  X          2               100         0         0
                                                         -----------   ---------
                                                          16,429,111     178,820

                COLUMN TOTAL                              93,026,865









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    22 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 KANSAS CITY SOUTHN INDS INC    COM            485170104     344,100       7,400  X          1              7100       300         0
                                                         -----------   ---------
                                                             344,100       7,400

 KELLOGG CO                     COM            487836108     341,800       9,130  X          1              9130         0         0
                                                             191,679       5,120      X   X  1              1600      3520         0
                                                         -----------   ---------
                                                             533,479      14,250

 KEYCORP NEW                    COM            493267108      96,640       3,744  X          1              3744         0         0
                                                             351,044      13,600      X   X  1                 0     13600         0
                                                         -----------   ---------
                                                             447,684      17,344

 KIMBERLY CLARK CORP            COM            494368103   1,621,121      30,732  X          1             29612      1120         0
                                                             643,921      12,207      X   X  1             11103      1104         0
                                                              15,825         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,280,867      43,239

 KOHLS CORP                     COM            500255104     403,363       6,100      X   X  1              6100         0         0
                                                         -----------   ---------
                                                             403,363       6,100

 KROGER CO                      COM            501044101      22,062       1,000  X          1              1000         0         0
                                                             335,342      15,200      X   X  1             15200         0         0
                                                         -----------   ---------
                                                             357,404      16,200

 LA Z BOY INC                   COM            505336107   1,200,620      62,985  X          1             62985         0         0
                                                         -----------   ---------
                                                           1,200,620      62,985

 LILLY ELI & CO                 COM            532457108     790,783      12,320  X          1             12070         0       250
                                                             385,121       6,000      X   X  1              2000      4000         0
                                                         -----------   ---------
                                                           1,175,904      18,320

 LINCOLN NATL CORP IND          COM            534187109      22,537         600  X          1               600         0         0
                                                             277,659       7,392      X   X  1              5600      1792         0
                                                         -----------   ---------
                                                             300,196       7,992

                COLUMN TOTAL                               7,043,617







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    23 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 LINEAR TECHNOLOGY CORP         COM            535678106     270,393       4,600  X          1              4600         0         0
                                                           3,756,106      63,900      X   X  1             63900         0         0
                                                         -----------   ---------
                                                           4,026,499      68,500

 LOCKHEED MARTIN CORP           COM            539830109   1,688,215      51,648  X          1             49648      1800       200
                                                             455,983      13,950      X   X  1              6350      7600         0
                                                               9,806         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,154,004      65,898

 LUCENT TECHNOLOGIES INC        COM            549463107   4,562,027      70,320  X          1             67921      1751       648
                                                           4,163,751      64,181      X   X  1             38978     24471       732
                                                              19,463         300  X          2               300         0         0
                                                         -----------   ---------
                                                           8,745,241     134,801

 MBIA INC                       COM            55262C100   1,882,920      40,384  X          1             40184         0       200
                                                              41,963         900      X   X  1               100       800         0
                                                         -----------   ---------
                                                           1,924,883      41,284

 MBNA CORP                      COM            55262L100      25,595       1,122  X          1              1012       110         0
                                                             485,897      21,300      X   X  1             11175     10125         0
                                                         -----------   ---------
                                                             511,492      22,422

 MCI WORLDCOM INC               COM            55268B106  10,442,248     145,283  X          1            143125       458      1700
                                                           3,189,385      44,374      X   X  1             25737     18637         0
                                                         -----------   ---------
                                                          13,631,633     189,657

 MFS INTER INCOME TR            SH BEN INT     55273C107      64,598      10,133  X          1             10133         0         0
                                                         -----------   ---------
                                                              64,598      10,133

 MGIC INVT CORP WIS             COM            552848103     578,975      12,125  X          1             11525       600         0
                                                           1,334,614      27,950      X   X  1             24750      3200         0
                                                               7,163         150  X          2               150         0         0
                                                         -----------   ---------
                                                           1,920,752      40,225

                COLUMN TOTAL                              32,979,102








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    24 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 MANDALAY RESORT GROUP          MANDALAY       562567107     592,500      30,000      X   X  1             30000         0         0
                                                         -----------   ---------
                                                             592,500      30,000

 MARSH & MCLENNAN COS INC       COM            571748102     255,642       3,732  X          1              3650        82         0
                                                         -----------   ---------
                                                             255,642       3,732

 MASCO CORP                     COM            574599106     892,955      28,805  X          1             25005      3800         0
                                                           1,181,100      38,100      X   X  1             13300     24800         0
                                                         -----------   ---------
                                                           2,074,055      66,905

 MAXIM INTEGRATED PRODS INC     COM            57772K101     239,757       3,800  X          1              3800         0         0
                                                           3,470,170      55,000      X   X  1             55000         0         0
                                                         -----------   ---------
                                                           3,709,927      58,800

 MAY DEPT STORES CO             COM            577778103      52,797       1,449  X          1              1449         0         0
                                                             469,564      12,887      X   X  1              3487      9400         0
                                                         -----------   ---------
                                                             522,361      14,336

 MCCORMICK & CO INC             COM NON VTG    579780206     456,255      13,800  X          1             13500       300         0
                                                              99,187       3,000      X   X  1               600      2400         0
                                                         -----------   ---------
                                                             555,442      16,800

 MCDONALDS CORP                 COM            580135101   2,478,792      57,313  X          1             53088      4225         0
                                                           1,408,869      32,575      X   X  1             28575      4000         0
                                                               8,650         200  X          2               200         0         0
                                                         -----------   ---------
                                                           3,896,311      90,088

 MEDIAONE GROUP INC             COM            58440J104     861,481      12,611  X          1             12411       200         0
                                                             837,368      12,258      X   X  1              7355      4903         0
                                                         -----------   ---------
                                                           1,698,849      24,869

 MEDTRONIC INC                  COM            585055106   7,081,602     199,134  X          1            196784         0      2350
                                                           3,172,129      89,200      X   X  1             48300     40900         0
                                                         -----------   ---------
                                                          10,253,731     288,334

                COLUMN TOTAL                              23,558,818






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    25 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 MELLON BK CORP                 COM            585509102   1,887,843      56,144  X          1             56144         0         0
                                                             147,950       4,400      X   X  1               400      4000         0
                                                         -----------   ---------
                                                           2,035,793      60,544

 MERCK & CO INC                 COM            589331107  19,582,614     302,145  X          1            297169      2145      2831
                                                          13,452,445     207,561      X   X  1            132261     75300         0
                                                              12,962         200  X          2               200         0         0
                                                         -----------   ---------
                                                          33,048,021     509,906

 MERRILL LYNCH & CO INC         COM            590188108      80,850       1,200  X          1              1200         0         0
                                                           2,331,176      34,600      X   X  1             34600         0         0
                                                         -----------   ---------
                                                           2,412,026      35,800

 MICROSOFT CORP                 COM            594918104   9,257,065     102,218  X          1            101218       600       400
                                                          14,982,577     165,440      X   X  1            148490     16950         0
                                                         -----------   ---------
                                                          24,239,642     267,658

 MICROSOFT CORP                 PFD A CV EXCH  594918203     704,810       7,000      X   X  1              7000         0         0
                                                         -----------   ---------
                                                             704,810       7,000

 MICRON TECHNOLOGY INC          COM            595112103     814,631      12,250  X          1             11450       800         0
                                                              78,139       1,175      X   X  1              1175         0         0
                                                               6,650         100  X          2               100         0         0
                                                         -----------   ---------
                                                             899,420      13,525

 MID-AMER APT CMNTYS INC        COM            59522J103      23,865       1,110  X          1              1110         0         0
                                                             187,050       8,700      X   X  1               200      8500         0
                                                         -----------   ---------
                                                             210,915       9,810

 MILACRON INC                   COM            598709103   1,119,141      63,050  X          1             59500      3550         0
                                                             111,826       6,300      X   X  1              6300         0         0
                                                              14,200         800  X          2               800         0         0
                                                         -----------   ---------
                                                           1,245,167      70,150

                COLUMN TOTAL                              64,795,794








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    26 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 MILLER INDS INC TENN           COM            600551105      42,180      15,000      X   X  1             15000         0         0
                                                         -----------   ---------
                                                              42,180      15,000

 MINNESOTA MNG & MFG CO         COM            604059105   1,871,857      19,486  X          1             19036       450         0
                                                           4,471,683      46,550      X   X  1             13950     32600         0
                                                               9,606         100  X          2               100         0         0
                                                         -----------   ---------
                                                           6,353,146      66,136

 MIRAGE RESORTS INC             COM            60462E104     182,000      13,000      X   X  1             13000         0         0
                                                         -----------   ---------
                                                             182,000      13,000

 MOBIL CORP                     COM            607059102   8,315,913      82,540  X          1             82190       350         0
                                                           4,985,817      49,487      X   X  1             45912      3575         0
                                                              10,075         100  X          2               100         0         0
                                                         -----------   ---------
                                                          13,311,805     132,127

 MONSANTO CO                    COM            611662107     933,395      26,155  X          1             22955      3200         0
                                                             426,461      11,950      X   X  1              8000      3950         0
                                                         -----------   ---------
                                                           1,359,856      38,105

 MORGAN J P & CO INC            COM            616880100     740,344       6,480  X          1              6480         0         0
                                                             354,175       3,100      X   X  1              2700       400         0
                                                         -----------   ---------
                                                           1,094,519       9,580

 MORGAN STANLEY DEAN WITTER&CO  COM NEW        617446448   1,101,193      12,347  X          1             12347         0         0
                                                           3,862,956      43,313      X   X  1             43313         0         0
                                                         -----------   ---------
                                                           4,964,149      55,660

 MOTOROLA INC                   COM            620076109   6,319,720      71,815  X          1             71565         0       250
                                                           2,235,200      25,400      X   X  1              9700     15700         0
                                                         -----------   ---------
                                                           8,554,920      97,215

                COLUMN TOTAL                              35,862,575










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    27 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 NABISCO GROUP HLDG CORP        COM            62952P102     143,250       9,550  X          1              9350       200         0
                                                              18,705       1,247      X   X  1              1000         0       247
                                                         -----------   ---------
                                                             161,955      10,797

 NATIONAL COMM BANCORP          COM            635449101   3,414,993     155,446  X          1            149746         0      5700
                                                           1,150,474      52,368      X   X  1             42368     10000         0
                                                         -----------   ---------
                                                           4,565,467     207,814

 NEWELL RUBBERMAID INC          COM            651229106     419,030      14,671  X          1             13609      1062         0
                                                             176,598       6,183      X   X  1              4607      1576         0
                                                               4,484         157  X          2               157         0         0
                                                         -----------   ---------
                                                             600,112      21,011

 NOKIA CORP                     SPONSORED ADR  654902204      35,950         400  X          1               400         0         0
                                                             467,350       5,200      X   X  1              5200         0         0
                                                         -----------   ---------
                                                             503,300       5,600

 NORFOLK SOUTHERN CORP          COM            655844108   1,435,610      58,596  X          1             57546      1050         0
                                                             879,673      35,905      X   X  1             30244      5661         0
                                                               4,900         200  X          2               200         0         0
                                                         -----------   ---------
                                                           2,320,183      94,701

 NORTEL NETWORKS CORP           COM            656569100     455,430       8,930  X          1              8930         0         0
                                                             173,400       3,400      X   X  1                 0      3400         0
                                                         -----------   ---------
                                                             628,830      12,330

 OLD KENT FINL CORP             COM            679833103     255,717       6,888      X   X  1                 0      6888         0
                                                         -----------   ---------
                                                             255,717       6,888

 ONEMAIN COM INC                COM            68267P109     212,317      12,917  X          1             12917         0         0
                                                         -----------   ---------
                                                             212,317      12,917

                COLUMN TOTAL                               9,247,881










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    28 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 ORACLE CORP                    COM            68389X105     932,345      20,491  X          1             19416      1075         0
                                                           1,445,172      31,762      X   X  1             30975       787         0
                                                               9,100         200  X          2               200         0         0
                                                         -----------   ---------
                                                           2,386,617      52,453

 PE CORP                        COM PE BIO GRP 69332S102      57,800         800  X          1               800         0         0
                                                             231,200       3,200      X   X  1              2000         0      1200
                                                         -----------   ---------
                                                             289,000       4,000

 PMC-SIERRA INC                 COM            69344F106      74,000         800  X          1               800         0         0
                                                           1,535,500      16,600      X   X  1             16600         0         0
                                                         -----------   ---------
                                                           1,609,500      17,400

 PNC BK CORP                    COM            693475105     406,480       7,715  X          1              7600       115         0
                                                              85,774       1,628      X   X  1                 0      1628         0
                                                         -----------   ---------
                                                             492,254       9,343

 PPG INDS INC                   COM            693506107     756,000      12,600  X          1             12600         0         0
                                                             180,000       3,000      X   X  1              3000         0         0
                                                         -----------   ---------
                                                             936,000      15,600

 PALL CORP                      COM            696429307     533,303      23,000  X          1             20800      2200         0
                                                             108,979       4,700      X   X  1               600      4100         0
                                                         -----------   ---------
                                                             642,282      27,700

 PARK PL ENTMT CORP             COM            700690100     187,500      15,000      X   X  1             15000         0         0
                                                         -----------   ---------
                                                             187,500      15,000

 PARKER HANNIFIN CORP           COM            701094104     674,377      15,049  X          1             13531      1518         0
                                                         -----------   ---------
                                                             674,377      15,049

 PENNEY J C INC                 COM            708160106     238,050       6,900  X          1              5600      1200       100
                                                             177,330       5,140      X   X  1              4140      1000         0
                                                         -----------   ---------
                                                             415,380      12,040

                COLUMN TOTAL                               7,632,910






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    29 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 PEPSICO INC                    COM            713448108   5,820,075     190,822  X          1            188047      1575      1200
                                                           2,853,275      93,550      X   X  1             68800     24750         0
                                                               9,150         300  X          2               300         0         0
                                                         -----------   ---------
                                                           8,682,500     284,672

 PFIZER INC                     COM            717081103   4,271,929     119,078  X          1            119078         0         0
                                                           2,735,828      76,260      X   X  1             61860     14400         0
                                                         -----------   ---------
                                                           7,007,757     195,338

 PHILIP MORRIS COS INC          COM            718154107   7,079,610     207,085  X          1            199985      7100         0
                                                           4,336,789     126,855      X   X  1             31210     95645         0
                                                         -----------   ---------
                                                          11,416,399     333,940

 PITNEY BOWES INC               COM            724479100     627,956      10,305  X          1             10200       105         0
                                                              36,562         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             664,518      10,905

 PLUM CREEK TIMBER CO INC       COM            729251108     513,766      16,375  X          1             16375         0         0
                                                              31,376       1,000      X   X  1              1000         0         0
                                                         -----------   ---------
                                                             545,142      17,375

 POLYCOM INC                    COM            73172K104     214,452       4,500  X          1              4500         0         0
                                                         -----------   ---------
                                                             214,452       4,500

 POST PPTYS INC                 COM            737464107     361,670       9,200      X   X  1              9200         0         0
                                                         -----------   ---------
                                                             361,670       9,200

 PROCTER & GAMBLE CO            COM            742718109   9,308,255      99,288  X          1             95018      4270         0
                                                           3,495,564      37,286      X   X  1             15996     21290         0
                                                         -----------   ---------
                                                          12,803,819     136,574

 PROMUS HOTEL CORP NEW          COM            74342P106     610,245      18,741  X          1             18741         0         0
                                                         -----------   ---------
                                                             610,245      18,741

                COLUMN TOTAL                              42,306,502







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    30 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 PROVIDIAN FINL CORP            COM            74406A102   1,197,704      15,125  X          1             15125         0         0
                                                             296,951       3,750      X   X  1                 0         0      3750
                                                         -----------   ---------
                                                           1,494,655      18,875

 R O C TAIWAN FD                SH BEN INT     749651105     612,125      83,000      X   X  1             83000         0         0
                                                         -----------   ---------
                                                             612,125      83,000

 RF MICRODEVICES INC            COM            749941100     210,450       4,600  X          1               600      4000         0
                                                           5,490,000     120,000      X   X  1            120000         0         0
                                                         -----------   ---------
                                                           5,700,450     124,600

 RALSTON PURINA CO              COM RAL-PUR GP 751277302     195,266       7,005  X          1              7005         0         0
                                                              16,726         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             211,992       7,605

 RAYTHEON CO                    CL A           755111309     321,120       6,621  X          1              6621         0         0
                                                              22,699         468      X   X  1                85       323        60
                                                         -----------   ---------
                                                             343,819       7,089

 RAYTHEON CO                    CL B           755111408   2,314,333      46,636  X          1             45886       100       650
                                                             552,081      11,125      X   X  1              1275      9850         0
                                                         -----------   ---------
                                                           2,866,414      57,761

 REGIONS FINL CORP              COM            758940100      40,980       1,366  X          1              1366         0         0
                                                           4,532,250     151,075      X   X  1                 0    151075         0
                                                         -----------   ---------
                                                           4,573,230     152,441

 RELIANT ENERGY INC             COM            75952J108     552,580      20,419  X          1             20419         0         0
                                                             245,724       9,080      X   X  1              7050      2030         0
                                                         -----------   ---------
                                                             798,304      29,499

 REPSOL S A                     SPONSORED ADR  76026T205   3,393,593     170,216  X          1            168416         0      1800
                                                             855,299      42,900      X   X  1              6000     36900         0
                                                         -----------   ---------
                                                           4,248,892     213,116

                COLUMN TOTAL                              20,849,881






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    31 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 REUTERS GROUP PLC              SPONSORED ADR  76132M102     288,865       4,194  X          1              3461       733         0
                                                         -----------   ---------
                                                             288,865       4,194

 ROHM & HAAS CO                 COM            775371107     181,096       5,013  X          1              4830        73       110
                                                              20,555         569      X   X  1               569         0         0
                                                         -----------   ---------
                                                             201,651       5,582

 ROYAL DUTCH PETE CO            NY REG GLD1.25 780257804   2,190,907      37,095  X          1             35995       800       300
                                                             934,655      15,825      X   X  1              6625      9200         0
                                                               8,859         150  X          2               150         0         0
                                                         -----------   ---------
                                                           3,134,421      53,070

 SBC COMMUNICATIONS INC         COM            78387G103   5,509,799     107,904  X          1            103121      2761      2022
                                                           2,696,433      52,807      X   X  1             33973     18834         0
                                                              10,212         200  X          2               200         0         0
                                                         -----------   ---------
                                                           8,216,444     160,911

 SAFECO CORP                    COM            786429100     434,560      15,520  X          1             15520         0         0
                                                         -----------   ---------
                                                             434,560      15,520

 SARA LEE CORP                  COM            803111103   1,479,554      63,296  X          1             58121      3925      1250
                                                             468,483      20,042      X   X  1             17242      2800         0
                                                               4,675         200  X          2               200         0         0
                                                         -----------   ---------
                                                           1,952,712      83,538

 SCANA CORP                     COM            805898103     215,022       8,890  X          1              8890         0         0
                                                             185,031       7,650      X   X  1              5850      1800         0
                                                         -----------   ---------
                                                             400,053      16,540

 SCHERING PLOUGH CORP           COM            806605101  40,120,312     919,663  X          1            818863     98000      2800
                                                         283,086,116   6,489,080      X   X  1           6463080     26000         0
                                                         -----------   ---------
                                                         323,206,428   7,408,743

                COLUMN TOTAL                             337,835,134









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    32 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 SCHLUMBERGER LTD               COM            806857108   2,020,023      32,418  X          1             28793      3125       500
                                                             609,097       9,775      X   X  1              6225      3550         0
                                                               4,673          75  X          2                75         0         0
                                                         -----------   ---------
                                                           2,633,793      42,268

 SCOTTS CO                      CL A           810186106     186,976       5,400  X          1              5100       300         0
                                                              31,163         900      X   X  1               900         0         0
                                                         -----------   ---------
                                                             218,139       6,300

 SCRIPPS E W CO OHIO            CL A           811054204     456,864       9,300      X   X  1              9300         0         0
                                                         -----------   ---------
                                                             456,864       9,300

 SEARS ROEBUCK & CO             COM            812387108     647,213      20,628  X          1             17628      1500      1500
                                                             315,415      10,053      X   X  1              8053      2000         0
                                                         -----------   ---------
                                                             962,628      30,681

 SERVICE CORP INTL              COM            817565104     305,243      28,900  X          1             28900         0         0
                                                              52,810       5,000      X   X  1              2000      3000         0
                                                         -----------   ---------
                                                             358,053      33,900

 SHONEYS INC                    COM            825039100         126          65  X          1                65         0         0
                                                              38,740      20,000      X   X  1                 0     20000         0
                                                         -----------   ---------
                                                              38,866      20,065

 SIGMA ALDRICH CORP             COM            826552101     187,325       5,900  X          1              5500       400         0
                                                              12,700         400      X   X  1               400         0         0
                                                         -----------   ---------
                                                             200,025       6,300

 SMITHKLINE BEECHAM PLC         ADR REP ORD    832378301     636,758      11,050  X          1             11050         0         0
                                                           1,567,400      27,200      X   X  1               400     23600      3200
                                                         -----------   ---------
                                                           2,204,158      38,250

                COLUMN TOTAL                               7,072,526










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    33 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 SONAT INC                      COM            835415100      31,749         800  X          1               800         0         0
                                                             380,996       9,600      X   X  1               800      8800         0
                                                         -----------   ---------
                                                             412,745      10,400

 SOUTHERN CO                    COM            842587107   1,409,357      54,732  X          1             50682      4050         0
                                                             606,207      23,542      X   X  1              9294     11124      3124
                                                               7,725         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,023,289      78,574

 SPRINT CORP                    COM FON GROUP  852061100   7,853,014     144,756  X          1            142956         0      1800
                                                           1,176,032      21,678      X   X  1              6978     14700         0
                                                         -----------   ---------
                                                           9,029,046     166,434

 SPRINT CORP                    PCS COM SER 1  852061506     626,395       8,401  X          1              8401         0         0
                                                             318,752       4,275      X   X  1              1250      3025         0
                                                         -----------   ---------
                                                             945,147      12,676

 STERLING SOFTWARE INC          COM            859547101     563,000      28,150  X          1             26450      1700         0
                                                              59,000       2,950      X   X  1              2950         0         0
                                                               5,000         250  X          2               250         0         0
                                                         -----------   ---------
                                                             627,000      31,350

 STORAGE USA INC                COM            861907103     238,425       8,670  X          1              8670         0         0
                                                         -----------   ---------
                                                             238,425       8,670

 SUN MICROSYSTEMS INC           COM            866810104   1,157,850      12,450  X          1             12050       400         0
                                                           1,633,080      17,560      X   X  1             16860       700         0
                                                         -----------   ---------
                                                           2,790,930      30,010

 SUNTRUST BKS INC               COM            867914103   2,421,182      36,824  X          1             36474         0       350
                                                           4,934,013      75,042      X   X  1             18040     57002         0
                                                         -----------   ---------
                                                           7,355,195     111,866

                COLUMN TOTAL                              23,421,777









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    34 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 SYSCO CORP                     COM            871829107   5,967,617     170,202  X          1            168202       400      1600
                                                           1,150,035      32,800      X   X  1              6200     26600         0
                                                         -----------   ---------
                                                           7,117,652     203,002

 TECO ENERGY INC                COM            872375100     231,321      10,950  X          1             10950         0         0
                                                              65,488       3,100      X   X  1                 0      3100         0
                                                         -----------   ---------
                                                             296,809      14,050

 TANDY CORP                     COM            875382103     413,496       8,000  X          1              8000         0         0
                                                         -----------   ---------
                                                             413,496       8,000

 TELEFONOS DE MEXICO S A        SPON ADR ORD L 879403780     229,995       3,228  X          1              3228         0         0
                                                              42,750         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             272,745       3,828

 TENNECO INC NEW                COM            88037E101     375,615      22,095  X          1             19295      2800         0
                                                              67,150       3,950      X   X  1              1287      2663         0
                                                         -----------   ---------
                                                             442,765      26,045

 TEXACO INC                     COM            881694103   5,995,059      94,971  X          1             94171       400       400
                                                           1,476,055      23,383      X   X  1              8708     14675         0
                                                         -----------   ---------
                                                           7,471,114     118,354

 TEXAS INSTRS INC               COM            882508104     444,150       5,400  X          1              5400         0         0
                                                           1,085,700      13,200      X   X  1             13200         0         0
                                                         -----------   ---------
                                                           1,529,850      18,600

 TEXAS UTILS CO                 COM            882848104     168,687       4,521  X          1              4476        45         0
                                                             188,426       5,050      X   X  1              3150      1900         0
                                                         -----------   ---------
                                                             357,113       9,571

 TIME WARNER INC                COM            887315109      24,118         397  X          1               312        85         0
                                                             879,660      14,480      X   X  1             13880       600         0
                                                         -----------   ---------
                                                             903,778      14,877

                COLUMN TOTAL                              18,805,322






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    35 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 TOYS R US INC                  COM            892335100     174,750      11,650  X          1             11650         0         0
                                                              60,000       4,000      X   X  1              1000      3000         0
                                                         -----------   ---------
                                                             234,750      15,650

 TRI CONTL CORP                 COM            895436103     198,111       6,773  X          1              6773         0         0
                                                              44,694       1,528      X   X  1              1528         0         0
                                                         -----------   ---------
                                                             242,805       8,301

 TRICON GLOBAL RESTAURANTS      COM            895953107     204,231       4,989  X          1              4949        40         0
                                                              65,293       1,595      X   X  1               635       960         0
                                                         -----------   ---------
                                                             269,524       6,584

 TRIBUNE CO NEW                 COM            896047107     111,938       2,250  X          1              2250         0         0
                                                             746,250      15,000      X   X  1             15000         0         0
                                                         -----------   ---------
                                                             858,188      17,250

 TYCO INTL LTD NEW              COM            902124106     806,798       7,814  X          1              7814         0         0
                                                         -----------   ---------
                                                             806,798       7,814

 UAL CORP                       COM PAR $0.01  902549500     313,498       4,800      X   X  1              4800         0         0
                                                         -----------   ---------
                                                             313,498       4,800

 UST INC                        COM            902911106     208,290       6,900  X          1              6900         0         0
                                                             108,673       3,600      X   X  1              3600         0         0
                                                         -----------   ---------
                                                             316,963      10,500

 US BANCORP DEL                 COM            902973106      90,561       3,000  X          1              3000         0         0
                                                             190,179       6,300      X   X  1              6300         0         0
                                                         -----------   ---------
                                                             280,740       9,300

 USX-U S STL                    COM            90337T101     461,574      17,925  X          1             16875      1050         0
                                                              52,144       2,025      X   X  1              2025         0         0
                                                               5,150         200  X          2               200         0         0
                                                         -----------   ---------
                                                             518,868      20,150

                COLUMN TOTAL                               3,842,134






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    36 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 UNILEVER N V                   N Y SHS NEW    904784709     779,425      11,441  X          1             10291       600       550
                                                             292,462       4,293      X   X  1               278      4015         0
                                                         -----------   ---------
                                                           1,071,887      15,734

 UNION PAC CORP                 COM            907818108     988,731      20,572  X          1             18972      1600         0
                                                             244,827       5,094      X   X  1              2548      2250       296
                                                         -----------   ---------
                                                           1,233,558      25,666

 UNION PAC RES GROUP INC        COM            907834105     150,461       9,259  X          1              7905      1354         0
                                                              61,767       3,801      X   X  1              1777      1774       250
                                                         -----------   ---------
                                                             212,228      13,060

 UNION PLANTERS CORP            COM            908068109     895,646      21,979  X          1             19339      2588        52
                                                             240,182       5,894      X   X  1              3056      2838         0
                                                         -----------   ---------
                                                           1,135,828      27,873

 UNITED HEALTHCARE CORP         COM            910581107     278,734       5,725  X          1              5625       100         0
                                                              92,506       1,900      X   X  1              1900         0         0
                                                         -----------   ---------
                                                             371,240       7,625

 U S WEST INC NEW               COM            91273H101   2,107,700      36,937  X          1             35347      1190       400
                                                             662,946      11,618      X   X  1              6242      5376         0
                                                               9,986         175  X          2               175         0         0
                                                         -----------   ---------
                                                           2,780,632      48,730

 UNITED TECHNOLOGIES CORP       COM            913017109   1,348,992      22,744  X          1             21344      1400         0
                                                             761,565      12,840      X   X  1             10400      2440         0
                                                         -----------   ---------
                                                           2,110,557      35,584

 UNIVERSAL FST PRODS INC        COM            913543104     711,879      54,500  X          1             54500         0         0
                                                         -----------   ---------
                                                             711,879      54,500

 UNOCAL CORP                    COM            915289102     449,191      12,120  X          1             12120         0         0
                                                         -----------   ---------
                                                             449,191      12,120

                COLUMN TOTAL                              10,077,000






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    37 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 UNUMPROVIDENT CORP             COM            91529Y106   3,286,818     111,656  X          1            109791      1300       565
                                                           1,983,554      67,383      X   X  1              7700     59683         0
                                                         -----------   ---------
                                                           5,270,372     179,039

 VITESSE SEMICONDUCTOR CORP     COM            928497106     661,656       7,750  X          1              7750         0         0
                                                         -----------   ---------
                                                             661,656       7,750

 VODAFONE AIRTOUCH PLC          SPONSORED ADR  92857T107  17,758,536      74,694  X          1             73234       460      1000
                                                           6,976,779      29,345      X   X  1             13399     15946         0
                                                         -----------   ---------
                                                          24,735,315     104,039

 VULCAN MATLS CO                COM            929160109     681,236      18,600  X          1             16800       300      1500
                                                          12,793,115     349,300      X   X  1              8500    340800         0
                                                         -----------   ---------
                                                          13,474,351     367,900

 WACHOVIA CORP                  COM            929771103     693,237       8,817  X          1              8817         0         0
                                                             393,912       5,010      X   X  1              1510      3500         0
                                                         -----------   ---------
                                                           1,087,149      13,827

 WAL MART STORES INC            COM            931142103   8,588,032     180,565  X          1            173915      2150      4500
                                                           2,017,769      42,424      X   X  1             25474     16150       800
                                                         -----------   ---------
                                                          10,605,801     222,989

 WALGREEN CO                    COM            931422109   6,669,010     262,818  X          1            260318         0      2500
                                                           5,437,205     214,274      X   X  1             56212    158062         0
                                                         -----------   ---------
                                                          12,106,215     477,092

 WARNER LAMBERT CO              COM            934488107   3,712,432      55,931  X          1             55231       300       400
                                                           3,336,940      50,274      X   X  1             38774     11500         0
                                                         -----------   ---------
                                                           7,049,372     106,205

 WASTE MGMT INC DEL             COM            94106L109     795,991      41,350  X          1             38305      3045         0
                                                             204,645      10,631      X   X  1              1378      9253         0
                                                         -----------   ---------
                                                           1,000,636      51,981

                COLUMN TOTAL                              75,990,867






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    38 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 WAUSAU-MOSINEE PAPER CORP      COM            943315101     522,586      43,099  X          1             38824      4275         0
                                                              99,125       8,175      X   X  1              1050      7125         0
                                                         -----------   ---------
                                                             621,711      51,274

 WELLS FARGO & CO NEW           COM            949746101   9,829,325     248,058  X          1            238458      4000      5600
                                                           4,324,558     109,137      X   X  1             67792     41345         0
                                                         -----------   ---------
                                                          14,153,883     357,195

 WEYERHAEUSER CO                COM            962166104     806,757      14,000  X          1             13625       375         0
                                                             226,352       3,928      X   X  1              3353       125       450
                                                               5,763         100  X          2               100         0         0
                                                         -----------   ---------
                                                           1,038,872      18,028

 WHIRLPOOL CORP                 COM            963320106   1,136,430      17,400  X          1             16650       750         0
                                                             125,725       1,925      X   X  1              1925         0         0
                                                              13,062         200  X          2               200         0         0
                                                         -----------   ---------
                                                           1,275,217      19,525

 WILLIAMS COS INC DEL           COM            969457100     441,344      11,730  X          1             11730         0         0
                                                              90,300       2,400      X   X  1              1200      1200         0
                                                         -----------   ---------
                                                             531,644      14,130

 WILLIAMS CTLS INC              COM            969465103      37,035      15,000      X   X  1             15000         0         0
                                                         -----------   ---------
                                                              37,035      15,000

 WISCONSIN ENERGY CORP          COM            976657106     235,542      10,050  X          1              6050      4000         0
                                                              76,170       3,250      X   X  1               250      3000         0
                                                         -----------   ---------
                                                             311,712      13,300

 WORTHINGTON INDS INC           COM            981811102     472,600      27,800  X          1             24300      3500         0
                                                             108,800       6,400      X   X  1              1600      4800         0
                                                         -----------   ---------
                                                             581,400      34,200

                COLUMN TOTAL                              18,551,474









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    39 OF    39                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 09/30/99
    ITEM 1:                        ITEM 2:     ITEM 3:     ITEM 4:      ITEM 5:     ITEM 6:   ITEM 7:            ITEM 8:
                                                                                 INVESTMENT
                                                                       SHARES OF DISCRETION
                                               CUSIP     FAIR MARKET   PRINCIPAL (A) (B) (C) MANAGERS    VOTING AUTHORITY (SHARES)
 NAME OF ISSUER                 TITLE OF CLASS NUMBER       VALUE      AMOUNT    SOL SHR OTH INSTR. V   (A) SOLE (B)SHARED  (C) NONE
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 WRIGLEY WM JR CO               COM            982526105     219,510       3,190  X          1              3190         0         0
                                                           1,176,687      17,100      X   X  1             17100         0         0
                                                         -----------   ---------
                                                           1,396,197      20,290

 XILINX INC                     COM            983919101     209,699       3,200  X          1              3200         0         0
                                                             681,522      10,400      X   X  1             10400         0         0
                                                         -----------   ---------
                                                             891,221      13,600

 XEROX CORP                     COM            984121103   1,037,937      24,750  X          1             23450       700       600
                                                             467,598      11,150      X   X  1              4550      6600         0
                                                         -----------   ---------
                                                           1,505,535      35,900

 YORK INTL CORP NEW             COM            986670107     192,263       5,350  X          1              5150       200         0
                                                              71,874       2,000      X   X  1                 0      2000         0
                                                         -----------   ---------
                                                             264,137       7,350

                COLUMN TOTAL                               4,057,090

                 GRAND TOTAL                           1,461,912,910






























</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission