FIRST TENNESSEE NATIONAL CORP
13F-HR, 1999-07-21
NATIONAL COMMERCIAL BANKS
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<CORRECTION>
<TABLE>                                                 <C>         <C>
1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     1 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 DAIMLERCHRYSLER AG             ORD            D1668R123     239,321       2,689  X          1              2689         0         0
                                                         -----------   ---------
                                                             239,321       2,689

 LORAL SPACE & COMMUNICATIONS   COM            G56462107     482,400      26,800  X          1             26400       400         0
                                                              39,600       2,200      X   X  1              2200         0         0
                                                         -----------   ---------
                                                             522,000      29,000

 XL CAP LTD                     CL A           G98255105   3,442,266      60,925  X          1             59325       800       800
                                                             920,950      16,300      X   X  1             12570      3630       100
                                                         -----------   ---------
                                                           4,363,216      77,225

 AMR CORP                       COM            001765106     327,600       4,800  X          1              4800         0         0
                                                              54,600         800      X   X  1                 0       800         0
                                                         -----------   ---------
                                                             382,200       5,600

 AT&T CORP                      COM            001957109   5,240,596      93,897  X          1             89660      3262       975
                                                           2,031,171      36,393      X   X  1             18630     17208       555
                                                              12,558         225  X          2               225         0         0
                                                         -----------   ---------
                                                           7,284,325     130,515

 AT&T CORP                      COM LIB GRP A  001957208     426,300      11,600      X   X  1             11600         0         0
                                                         -----------   ---------
                                                             426,300      11,600

 ABBOTT LABS                    COM            002824100  10,112,611     222,867  X          1            218217      3350      1300
                                                           5,227,794     115,213      X   X  1             60063     55150         0
                                                              13,613         300  X          2               300         0         0
                                                         -----------   ---------
                                                          15,354,018     338,380

 ADAMS EXPRESS CO               COM            006212104     520,202      17,861      X   X  1              8861      9000         0
                                                         -----------   ---------
                                                             520,202      17,861

 ADVANCED MED INC               SB DB CV 7.25% 00754CAA9      38,000      50,000  X          1             50000         0         0
                                                         -----------   ---------
                                                              38,000      50,000

                COLUMN TOTAL                              29,129,582







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     2 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 AEGON N V                      ORD AMER REG   007924103     693,529       9,380  X          1              9380         0         0
                                                         -----------   ---------
                                                             693,529       9,380

 AETNA INC                      COM            008117103     315,265       3,525  X          1              3525         0         0
                                                             107,325       1,200      X   X  1               900       300         0
                                                         -----------   ---------
                                                             422,590       4,725

 AIR PRODS & CHEMS INC          COM            009158106     830,158      20,625  X          1             20425       200         0
                                                             293,825       7,300      X   X  1               400      6900         0
                                                         -----------   ---------
                                                           1,123,983      27,925

 AIRTOUCH COMMUNICATIONS INC    COM            00949T100  16,634,028     154,511  X          1            151591       920      2000
                                                           6,410,264      59,544      X   X  1             27500     32044         0
                                                         -----------   ---------
                                                          23,044,292     214,055

 ALBERTO CULVER CO              CL A           013068200   2,224,951      97,800  X          1             96000       400      1400
                                                             395,281      17,375      X   X  1             10075      7300         0
                                                         -----------   ---------
                                                           2,620,232     115,175

 ALCOA INC                      COM            013817101   2,152,762      34,792  X          1             34292         0       500
                                                             996,190      16,100      X   X  1             13600      2100       400
                                                         -----------   ---------
                                                           3,148,952      50,892

 ALL AMERN TERM TR INC          COM            016440109      48,163       3,952  X          1              3952         0         0
                                                             168,181      13,800      X   X  1             13800         0         0
                                                         -----------   ---------
                                                             216,344      17,752

 ALLIEDSIGNAL INC               COM            019512102     225,288       3,576  X          1              3576         0         0
                                                             102,942       1,634      X   X  1               826       808         0
                                                         -----------   ---------
                                                             328,230       5,210

 ALLSTATE CORP                  COM            020002101     405,460      11,302  X          1             10102         0      1200
                                                             507,560      14,148      X   X  1             11974      2174         0
                                                         -----------   ---------
                                                             913,020      25,450

                COLUMN TOTAL                              32,511,172






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     3 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 ALLTEL CORP                    COM            020039103     328,114       4,589  X          1              4589         0         0
                                                             205,349       2,872      X   X  1               393      2479         0
                                                         -----------   ---------
                                                             533,463       7,461

 ALZA CORP DEL                  COM            022615108     684,279      13,450  X          1             13250         0       200
                                                               7,632         150      X   X  1               150         0         0
                                                         -----------   ---------
                                                             691,911      13,600

 AMEREN CORP                    COM            023608102     156,225       4,071  X          1              4071         0         0
                                                              69,077       1,800      X   X  1              1500       300         0
                                                         -----------   ---------
                                                             225,302       5,871

 AMERICA ONLINE INC DEL         COM            02364J104     186,340       1,694  X          1              1694         0         0
                                                             280,500       2,550      X   X  1              2550         0         0
                                                         -----------   ---------
                                                             466,840       4,244

 AMERICAN ELEC PWR INC          COM            025537101     255,460       6,801  X          1              5701       700       400
                                                              46,502       1,238      X   X  1                 0      1238         0
                                                         -----------   ---------
                                                             301,962       8,039

 AMERICAN EXPRESS CO            COM            025816109     718,423       5,521  X          1              3021      2500         0
                                                           1,431,117      10,998      X   X  1              7200      3798         0
                                                         -----------   ---------
                                                           2,149,540      16,519

 AMERICAN GENERAL CORP          COM            026351106     991,184      13,150  X          1             10488         0      2662
                                                             221,904       2,944      X   X  1              2944         0         0
                                                         -----------   ---------
                                                           1,213,088      16,094

 AMERICAN HOME PRODS CORP       COM            026609107   2,230,978      38,884  X          1             36084      2800         0
                                                           1,325,366      23,100      X   X  1             17100      6000         0
                                                         -----------   ---------
                                                           3,556,344      61,984

                COLUMN TOTAL                               9,138,450










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     4 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 AMERICAN INTL GROUP INC        COM            026874107   2,854,573      24,346  X          1             23909       337       100
                                                           2,923,749      24,936      X   X  1             20437      4499         0
                                                         -----------   ---------
                                                           5,778,322      49,282

 AMERITECH CORP NEW             COM            030954101   2,497,530      33,980  X          1             33380         0       600
                                                           2,049,474      27,884      X   X  1             22840      5044         0
                                                         -----------   ---------
                                                           4,547,004      61,864

 AMGEN INC                      COM            031162100     722,284      11,865  X          1             11865         0         0
                                                           3,200,809      52,580      X   X  1             52020       560         0
                                                         -----------   ---------
                                                           3,923,093      64,445

 AMSOUTH BANCORPORATION         COM            032165102     432,021      18,632  X          1             18632         0         0
                                                             793,761      34,233      X   X  1              3000     31233         0
                                                         -----------   ---------
                                                           1,225,782      52,865

 ANHEUSER BUSCH COS INC         COM            035229103   1,858,978      26,206  X          1             26006       200         0
                                                           1,227,211      17,300      X   X  1             16300      1000         0
                                                         -----------   ---------
                                                           3,086,189      43,506

 APPLIED MICRO CIRCUITS CORP    COM            03822W109     246,750       3,000  X          1              3000         0         0
                                                         -----------   ---------
                                                             246,750       3,000

 APPLIED MATLS INC              COM            038222105     376,763       5,100  X          1              5100         0         0
                                                           3,782,400      51,200      X   X  1             51200         0         0
                                                         -----------   ---------
                                                           4,159,163      56,300

 ARCHER DANIELS MIDLAND CO      COM            039483102     815,522      52,829  X          1             49226      3603         0
                                                             529,305      34,288      X   X  1             27168      7120         0
                                                         -----------   ---------
                                                           1,344,827      87,117

 ASSOCIATES FIRST CAP CORP      CL A           046008108     180,297       4,086  X          1              4086         0         0
                                                             640,873      14,524      X   X  1             14108       416         0
                                                         -----------   ---------
                                                             821,170      18,610

                COLUMN TOTAL                              25,132,300






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     5 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 ASTEC INDS INC                 COM            046224101     945,400      23,200  X          1             23200         0         0
                                                         -----------   ---------
                                                             945,400      23,200

 ATLANTIC RICHFIELD CO          COM            048825103   1,502,017      17,975  X          1             17775       200         0
                                                           1,183,317      14,161      X   X  1             10437      3724         0
                                                         -----------   ---------
                                                           2,685,334      32,136

 AUTOMATIC DATA PROCESSING INC  COM            053015103     475,552      10,808  X          1              8896         0      1912
                                                             798,336      18,144      X   X  1             18144         0         0
                                                         -----------   ---------
                                                           1,273,888      28,952

 AUTOZONE INC                   COM            053332102   2,122,307      70,450  X          1             70450         0         0
                                                         -----------   ---------
                                                           2,122,307      70,450

 BP AMOCO P L C                 SPONSORED ADR  055622104   7,214,509      66,493  X          1             63141      3056       296
                                                           3,116,126      28,720      X   X  1             12872     15716       132
                                                         -----------   ---------
                                                          10,330,635      95,213

 BANCORPSOUTH INC               COM            059692103     270,733      14,937  X          1             14937         0         0
                                                         -----------   ---------
                                                             270,733      14,937

 BANK OF AMERICA CORPORATION    COM            060505104   8,978,458     122,469  X          1            120552      1204       713
                                                           5,976,252      81,518      X   X  1             39755     41255       508
                                                              16,569         226  X          2               226         0         0
                                                         -----------   ---------
                                                          14,971,279     204,213

 BANK ONE CORP                  COM            06423A103   1,889,420      31,722  X          1             30126      1596         0
                                                             843,038      14,154      X   X  1              2623     11531         0
                                                              11,912         200  X          2               200         0         0
                                                         -----------   ---------
                                                           2,744,370      46,076

 BANKBOSTON CORP                COM            06605R106   7,526,125     147,210  X          1            145260         0      1950
                                                             886,510      17,340      X   X  1              6840     10500         0
                                                         -----------   ---------
                                                           8,412,635     164,550

                COLUMN TOTAL                              43,756,581






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     6 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 BARD C R INC                   COM            067383109     525,927      11,000  X          1             11000         0         0
                                                             186,468       3,900      X   X  1               800      3100         0
                                                         -----------   ---------
                                                             712,395      14,900

 BAXTER INTL INC                COM            071813109     853,542      14,079  X          1             14079         0         0
                                                             780,184      12,869      X   X  1             12869         0         0
                                                         -----------   ---------
                                                           1,633,726      26,948

 BELDEN INC                     COM            077459105   1,761,770      73,600  X          1             68850      4100       650
                                                             201,071       8,400      X   X  1              1800      6600         0
                                                         -----------   ---------
                                                           1,962,841      82,000

 BELL ATLANTIC CORP             COM            077853109   3,803,465      58,179  X          1             56543       200      1436
                                                           2,434,897      37,245      X   X  1             25973     11072       200
                                                         -----------   ---------
                                                           6,238,362      95,424

 BELLSOUTH CORP                 COM            079860102  15,297,283     331,648  X          1            319488      4400      7760
                                                           6,667,748     144,558      X   X  1             51852     92706         0
                                                         -----------   ---------
                                                          21,965,031     476,206

 BELO A H CORP DEL              COM SER A      080555105   4,840,508     245,873  X          1            244273         0      1600
                                                             580,768      29,500      X   X  1              5000     24500         0
                                                         -----------   ---------
                                                           5,421,276     275,373

 BERKSHIRE HATHAWAY INC DEL     CL B           084670207     427,840         191  X          1               191         0         0
                                                              44,800          20      X   X  1                20         0         0
                                                         -----------   ---------
                                                             472,640         211

 BESTFOODS                      COM            08658U101     564,300      11,400  X          1             11400         0         0
                                                             734,580      14,840      X   X  1             10440      4400         0
                                                         -----------   ---------
                                                           1,298,880      26,240

                COLUMN TOTAL                              39,705,151










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     7 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 BIRMINGHAM STL CORP            COM            091250100     177,225      41,700  X          1             41100       600         0
                                                              13,600       3,200      X   X  1                 0      3200         0
                                                         -----------   ---------
                                                             190,825      44,900

 BOEING CO                      COM            097023105   1,943,744      44,176  X          1             41976      2200         0
                                                             839,960      19,090      X   X  1             10490      8600         0
                                                         -----------   ---------
                                                           2,783,704      63,266

 BRISTOL MYERS SQUIBB CO        COM            110122108  50,991,880     723,936  X          1            707084     11700      5152
                                                          18,823,938     267,245      X   X  1            121385    145860         0
                                                         -----------   ---------
                                                          69,815,818     991,181

 BROWNING FERRIS INDS           COM            115885105     510,281      11,867  X          1             11667       200         0
                                                              68,800       1,600      X   X  1               800       800         0
                                                         -----------   ---------
                                                             579,081      13,467

 CBL & ASSOC PPTYS INC          COM            124830100     377,695      14,320  X          1             12020      2300         0
                                                              65,938       2,500      X   X  1              1000      1500         0
                                                         -----------   ---------
                                                             443,633      16,820

 CIGNA CORP                     COM            125509109     699,006       7,854  X          1              7854         0         0
                                                              33,375         375      X   X  1                 0       375         0
                                                         -----------   ---------
                                                             732,381       8,229

 CSX CORP                       COM            126408103     583,260      12,854  X          1             11854      1000         0
                                                             438,869       9,672      X   X  1              5472      4200         0
                                                         -----------   ---------
                                                           1,022,129      22,526

 CARDINAL HEALTH INC            COM            14149Y108      90,802       1,416  X          1              1416         0         0
                                                             200,262       3,123      X   X  1              3123         0         0
                                                         -----------   ---------
                                                             291,064       4,539

                COLUMN TOTAL                              75,858,635










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     8 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 CARNIVAL CORP                  COM            143658102     101,850       2,100  X          1              2100         0         0
                                                             320,100       6,600      X   X  1              6600         0         0
                                                         -----------   ---------
                                                             421,950       8,700

 CAROLINA PWR & LT CO           COM            144141108     392,672       9,172  X          1              8240         0       932
                                                             175,529       4,100      X   X  1              2400      1700         0
                                                         -----------   ---------
                                                             568,201      13,272

 CATERPILLAR INC DEL            COM            149123101     235,980       3,933  X          1              3733       200         0
                                                             128,160       2,136      X   X  1              2136         0         0
                                                         -----------   ---------
                                                             364,140       6,069

 CENTRAL & SOUTH WEST CORP      COM            152357109     266,709      11,410  X          1             11410         0         0
                                                              60,775       2,600      X   X  1              1600      1000         0
                                                         -----------   ---------
                                                             327,484      14,010

 CHASE MANHATTAN CORP NEW       COM            16161A108  11,028,841     127,501  X          1            125401       800      1300
                                                           2,046,590      23,660      X   X  1              8800     14560       300
                                                              17,300         200  X          2               200         0         0
                                                         -----------   ---------
                                                          13,092,731     151,361

 CHEVRON CORPORATION            COM            166751107   2,785,131      29,298  X          1             27958         0      1340
                                                           1,578,694      16,607      X   X  1             10407      6200         0
                                                         -----------   ---------
                                                           4,363,825      45,905

 CHUBB CORP                     COM            171232101     985,165      14,175  X          1             13675       500         0
                                                             114,676       1,650      X   X  1              1600        50         0
                                                              15,638         225  X          2               225         0         0
                                                         -----------   ---------
                                                           1,115,479      16,050

 CISCO SYS INC                  COM            17275R102   4,883,170      75,782  X          1             74782      1000         0
                                                          10,204,244     158,360      X   X  1            151736      5274      1350
                                                              16,109         250  X          2               250         0         0
                                                         -----------   ---------
                                                          15,103,523     234,392

                COLUMN TOTAL                              35,357,333







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE     9 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 CINTAS CORP                    COM            172908105      40,312         600  X          1               600         0         0
                                                             665,151       9,900      X   X  1              9900         0         0
                                                         -----------   ---------
                                                             705,463      10,500

 CITIGROUP INC                  COM            172967101   3,304,829      69,575  X          1             66865      1125      1585
                                                           4,140,721      87,173      X   X  1             77348      9825         0
                                                              16,008         337  X          2               337         0         0
                                                         -----------   ---------
                                                           7,461,558     157,085

 CITIZENS UTILS CO DEL          CL B           177342201     114,276      10,272  X          1             10272         0         0
                                                         -----------   ---------
                                                             114,276      10,272

 CLAYTON HOMES INC              COM            184190106     100,793       8,813  X          1              8813         0         0
                                                              25,035       2,189      X   X  1              2189         0         0
                                                         -----------   ---------
                                                             125,828      11,002

 CLOROX CO DEL                  COM            189054109      85,449         800  X          1               800         0         0
                                                             555,423       5,200      X   X  1              5200         0         0
                                                         -----------   ---------
                                                             640,872       6,000

 COASTAL CORP                   COM            190441105   4,162,858     103,425  X          1            101325       200      1900
                                                             867,388      21,550      X   X  1             17950      3400       200
                                                              12,075         300  X          2               300         0         0
                                                         -----------   ---------
                                                           5,042,321     125,275

 COCA COLA CO                   COM            191216100  12,521,954     201,967  X          1            193627      7150      1190
                                                          16,370,728     264,044      X   X  1            182604     80940       500
                                                              12,400         200  X          2               200         0         0
                                                         -----------   ---------
                                                          28,905,082     466,211

 COLGATE PALMOLIVE CO           COM            194162103   1,711,733      17,378  X          1             17078         0       300
                                                           1,077,590      10,940      X   X  1              9640      1000       300
                                                         -----------   ---------
                                                           2,789,323      28,318

                COLUMN TOTAL                              45,784,723








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    10 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 COMERICA INC                   COM            200340107     276,382       4,650  X          1              4650         0         0
                                                              35,662         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             312,044       5,250

 COMPAQ COMPUTER CORP           COM            204493100   1,230,753      51,959  X          1             49959      2000         0
                                                           3,208,408     135,450      X   X  1            124800     10650         0
                                                         -----------   ---------
                                                           4,439,161     187,409

 COMPUTER ASSOC INTL INC        COM            204912109     721,337      13,175  X          1             13175         0         0
                                                              41,063         750      X   X  1               450         0       300
                                                         -----------   ---------
                                                             762,400      13,925

 COMPUTER SCIENCES CORP         COM            205363104     639,633       9,245  X          1              9245         0         0
                                                             141,833       2,050      X   X  1                 0      2050         0
                                                         -----------   ---------
                                                             781,466      11,295

 CONAGRA INC                    COM            205887102   1,023,082      38,425  X          1             37750       675         0
                                                             214,332       8,050      X   X  1              7450       600         0
                                                               5,325         200  X          2               200         0         0
                                                         -----------   ---------
                                                           1,242,739      46,675

 CONSOLIDATED NAT GAS CO        COM            209615103     531,991       8,757  X          1              8607       150         0
                                                             114,028       1,877      X   X  1              1877         0         0
                                                               6,075         100  X          2               100         0         0
                                                         -----------   ---------
                                                             652,094      10,734

 CONSTELLATION ENERGY CORP      COM            210371100     155,474       5,248  X          1              5248         0         0
                                                              56,317       1,901      X   X  1              1001       900         0
                                                         -----------   ---------
                                                             211,791       7,149

 COOPER INDS INC                COM            216669101     348,920       6,710  X          1              5310      1400         0
                                                              20,800         400      X   X  1               400         0         0
                                                         -----------   ---------
                                                             369,720       7,110

                COLUMN TOTAL                               8,771,415








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    11 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 CORNING INC                    COM            219350105   2,453,684      34,990  X          1             34390       600         0
                                                           1,171,581      16,707      X   X  1             13507      3200         0
                                                              21,038         300  X          2               300         0         0
                                                         -----------   ---------
                                                           3,646,303      51,997

 COSTCO COMPANIES INC           COM            22160Q102   1,421,102      17,750  X          1             17450       300         0
                                                         -----------   ---------
                                                           1,421,102      17,750

 CRIIMI MAE INC                 COM            226603108      45,900      20,400  X          1             20400         0         0
                                                         -----------   ---------
                                                              45,900      20,400

 DAYTON HUDSON CORP             COM            239753106     780,000      12,000  X          1             12000         0         0
                                                             868,140      13,356      X   X  1             13356         0         0
                                                         -----------   ---------
                                                           1,648,140      25,356

 DEERE & CO                     COM            244199105     506,490      12,925  X          1             12925         0         0
                                                             199,854       5,100      X   X  1              2900      2200         0
                                                         -----------   ---------
                                                             706,344      18,025

 DELL COMPUTER CORP             COM            247025109     188,922       5,106  X          1              5106         0         0
                                                           1,573,240      42,520      X   X  1             42520         0         0
                                                         -----------   ---------
                                                           1,762,162      47,626

 DELPHI AUTOMOTIVE SYS CORP     COM            247126105     219,474      11,863  X          1             11863         0         0
                                                              88,916       4,806      X   X  1              2818      1988         0
                                                         -----------   ---------
                                                             308,390      16,669

 DELTA AIR LINES INC DEL        COM            247361108     151,554       2,630  X          1              2630         0         0
                                                             149,825       2,600      X   X  1              2600         0         0
                                                         -----------   ---------
                                                             301,379       5,230

                COLUMN TOTAL                               9,839,720











1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    12 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 DISNEY WALT CO                 COM            254687106   2,339,279      75,921  X          1             74071      1100       750
                                                           2,638,342      85,627      X   X  1             73977     11650         0
                                                               6,162         200  X          2               200         0         0
                                                         -----------   ---------
                                                           4,983,783     161,748

 DOLLAR GEN CORP                COM            256669102      56,550       1,950  X          1              1950         0         0
                                                             159,645       5,505      X   X  1              5202       303         0
                                                         -----------   ---------
                                                             216,195       7,455

 DOMINION RES INC VA            COM            257470104     190,661       4,402  X          1              2964         0      1438
                                                             115,946       2,677      X   X  1               427      2250         0
                                                         -----------   ---------
                                                             306,607       7,079

 DOVER CORP                     COM            260003108     218,540       6,244  X          1              6244         0         0
                                                             284,200       8,120      X   X  1                 0      8120         0
                                                         -----------   ---------
                                                             502,740      14,364

 DOW CHEM CO                    COM            260543103   3,578,029      28,201  X          1             27851       350         0
                                                           1,366,704      10,772      X   X  1              5872      4900         0
                                                               6,344          50  X          2                50         0         0
                                                         -----------   ---------
                                                           4,951,077      39,023

 DOW JONES & CO INC             COM            260561105     350,208       6,600      X   X  1              6600         0         0
                                                         -----------   ---------
                                                             350,208       6,600

 DREYFUS HIGH YIELD STRATEGIES  SH BEN INT     26200S101     361,862      30,000  X          1             30000         0         0
                                                         -----------   ---------
                                                             361,862      30,000

 DU PONT E I DE NEMOURS & CO    COM            263534109   3,776,966      55,290  X          1             52090      2800       400
                                                           2,796,964      40,944      X   X  1             28924     11770       250
                                                               6,831         100  X          2               100         0         0
                                                         -----------   ---------
                                                           6,580,761      96,334

                COLUMN TOTAL                              18,253,233









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    13 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 DUFF & PHELPS UTILS INCOME INC COM            264324104      42,500       4,000  X          1              4000         0         0
                                                              72,250       6,800      X   X  1                 0      6800         0
                                                         -----------   ---------
                                                             114,750      10,800

 DUKE ENERGY CORP               COM            264399106   1,094,080      20,098  X          1             20098         0         0
                                                             377,356       6,932      X   X  1              5200      1732         0
                                                         -----------   ---------
                                                           1,471,436      27,030

 E M C CORP MASS                COM            268648102  16,043,500     291,700  X          1            287550       800      3350
                                                           2,189,000      39,800      X   X  1              6200     33600         0
                                                         -----------   ---------
                                                          18,232,500     331,500

 ENSCO INTL INC                 COM            26874Q100     634,997      31,850  X          1             30550      1300         0
                                                              53,331       2,675      X   X  1              2675         0         0
                                                               7,975         400  X          2               400         0         0
                                                         -----------   ---------
                                                             696,303      34,925

 EASTMAN KODAK CO               COM            277461109     932,585      13,765  X          1             12765      1000         0
                                                             240,513       3,550      X   X  1              1350      2200         0
                                                         -----------   ---------
                                                           1,173,098      17,315

 EATON CORP                     COM            278058102     239,016       2,598  X          1              2598         0         0
                                                              55,200         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             294,216       3,198

 ELAN PLC                       ADR            284131208   7,381,779     266,010  X          1            262610         0      3400
                                                           1,249,583      45,030      X   X  1             15330     29000       700
                                                         -----------   ---------
                                                           8,631,362     311,040

 ELECTRONIC DATA SYS NEW        COM            285661104   7,636,158     134,854  X          1            131554      1200      2100
                                                             872,144      15,402      X   X  1              9122      6280         0
                                                         -----------   ---------
                                                           8,508,302     150,256

                COLUMN TOTAL                              39,121,967









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    14 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 EMERGING MKTS FLOATING RATE FD COM            290885102     286,254      23,250  X          1             23250         0         0
                                                         -----------   ---------
                                                             286,254      23,250

 EMERSON ELEC CO                COM            291011104     995,664      15,820  X          1             15150       200       470
                                                           1,123,426      17,850      X   X  1              9200      8650         0
                                                         -----------   ---------
                                                           2,119,090      33,670

 ENRON CORP                     COM            293561106     959,337      11,735  X          1             11735         0         0
                                                              16,350         200      X   X  1               200         0         0
                                                         -----------   ---------
                                                             975,687      11,935

 EQUITY INCOME FD               UT 1 EX SR-ATT 294700703     101,906         492  X          1               492         0         0
                                                             289,976       1,400      X   X  1              1400         0         0
                                                         -----------   ---------
                                                             391,882       1,892

 EQUITY RESIDENTIAL PPTYS TR    SH BEN INT     29476L107      11,941         265  X          1               265         0         0
                                                             711,980      15,800      X   X  1             15800         0         0
                                                         -----------   ---------
                                                             723,921      16,065

 ERICSSON L M TEL CO            ADR CL B SEK10 294821400     312,902       9,500  X          1              9500         0         0
                                                           1,280,163      38,867      X   X  1             23667     15200         0
                                                         -----------   ---------
                                                           1,593,065      48,367

 EXXON CORP                     COM            302290101  19,568,019     253,718  X          1            247418      4000      2300
                                                          11,064,974     143,468      X   X  1             95324     48144         0
                                                         -----------   ---------
                                                          30,632,993     397,186

 FPL GROUP INC                  COM            302571104     496,161       9,083  X          1              9083         0         0
                                                             250,511       4,586      X   X  1              2086      2500         0
                                                         -----------   ---------
                                                             746,672      13,669

 FDX CORP                       COM            31304N107     366,731       6,760  X          1              6760         0         0
                                                         -----------   ---------
                                                             366,731       6,760

                COLUMN TOTAL                              37,836,295







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    15 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 FEDERAL HOME LN MTG CORP       COM            313400301   3,163,900      54,550  X          1             50450      3900       200
                                                             591,600      10,200      X   X  1              2200      8000         0
                                                         -----------   ---------
                                                           3,755,500      64,750

 FEDERAL NATL MTG ASSN          COM            313586109   6,150,701      90,120  X          1             88670       300      1150
                                                           6,390,182      93,629      X   X  1             77229     16250       150
                                                         -----------   ---------
                                                          12,540,883     183,749

 FEDERATED DEPT STORES INC DEL  COM            31410H101   5,589,682     105,591  X          1            103966       400      1225
                                                           1,168,322      22,070      X   X  1              9860     12210         0
                                                         -----------   ---------
                                                           6,758,004     127,661

 FINOVA GROUP INC               COM            317928109     493,048       9,369  X          1              9019       350         0
                                                              44,732         850      X   X  1               850         0         0
                                                               5,263         100  X          2               100         0         0
                                                         -----------   ---------
                                                             543,043      10,319

 FIRST AUSTRALIA PRIME INCOME   COM            318653102     232,050      35,700  X          1             35700         0         0
                                                         -----------   ---------
                                                             232,050      35,700

 FIRST AMER CORP TENN           COM            318900107   4,007,783      96,429  X          1             72603         0     23826
                                                           2,060,894      49,586      X   X  1             42689      6897         0
                                                         -----------   ---------
                                                           6,068,677     146,015

 FIRST DATA CORP                COM            319963104     942,868      19,267  X          1             18417       850         0
                                                             112,554       2,300      X   X  1              2300         0         0
                                                               9,787         200  X          2               200         0         0
                                                         -----------   ---------
                                                           1,065,209      21,767

 FIRST TENN NATL CORP           COM            337162101  51,941,068   1,355,739  X          1           1295476     33000     27263
                                                           6,223,211     162,435      X   X  1             58441    103994         0
                                                         -----------   ---------
                                                          58,164,279   1,518,174

                COLUMN TOTAL                              89,127,645









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    16 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 FIRST UN CORP                  COM            337358105     985,904      20,921  X          1             20921         0         0
                                                             729,167      15,473      X   X  1              3697     11776         0
                                                         -----------   ---------
                                                           1,715,071      36,394

 FIRST VA BANKS INC             COM            337477103     265,668       5,408  X          1              5408         0         0
                                                         -----------   ---------
                                                             265,668       5,408

 FIRSTAR CORP NEW WIS           COM            33763V109     518,112      18,504  X          1             18504         0         0
                                                         -----------   ---------
                                                             518,112      18,504

 FLEET FINL GROUP INC NEW       COM            338915101   1,159,084      26,120  X          1             25120      1000         0
                                                              93,189       2,100      X   X  1              2100         0         0
                                                              11,094         250  X          2               250         0         0
                                                         -----------   ---------
                                                           1,263,367      28,470

 FLUOR CORP                     COM            343861100     635,851      15,700  X          1             14975       725         0
                                                              61,763       1,525      X   X  1              1525         0         0
                                                               6,075         150  X          2               150         0         0
                                                         -----------   ---------
                                                             703,689      17,375

 FORD MTR CO DEL                COM            345370100     754,677      13,372  X          1             13372         0         0
                                                             617,986      10,950      X   X  1             10150       800         0
                                                         -----------   ---------
                                                           1,372,663      24,322

 FORTUNE BRANDS INC             COM            349631101     519,340      12,552  X          1             12552         0         0
                                                             144,813       3,500      X   X  1              3100       400         0
                                                         -----------   ---------
                                                             664,153      16,052

 GTE CORP                       COM            362320103  15,665,571     207,491  X          1            203791      1800      1900
                                                           5,808,746      76,937      X   X  1             35163     39924      1850
                                                              15,100         200  X          2               200         0         0
                                                         -----------   ---------
                                                          21,489,417     284,628

                COLUMN TOTAL                              27,992,140









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    17 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 GALLAHER GROUP PLC             SPONSORED ADR  363595109     311,622      12,752  X          1             12752         0         0
                                                              65,981       2,700      X   X  1              2700         0         0
                                                         -----------   ---------
                                                             377,603      15,452

 GANNETT INC                    COM            364730101   1,787,235      25,040  X          1             24140         0       900
                                                           1,513,152      21,200      X   X  1             15700      5500         0
                                                         -----------   ---------
                                                           3,300,387      46,240

 GAP INC DEL                    COM            364760108     617,699      12,262  X          1             12262         0         0
                                                             355,144       7,050      X   X  1              7050         0         0
                                                         -----------   ---------
                                                             972,843      19,312

 GENERAL AMERN INVS INC         COM            368802104     361,462      11,037      X   X  1             11037         0         0
                                                         -----------   ---------
                                                             361,462      11,037

 GENERAL ELEC CO                COM            369604103  44,451,714     393,378  X          1            380080      9300      3998
                                                          25,088,712     222,024      X   X  1            124292     97332       400
                                                              16,950         150  X          2               150         0         0
                                                         -----------   ---------
                                                          69,557,376     615,552

 GENERAL MLS INC                COM            370334104     550,975       6,855  X          1              6655       200         0
                                                             351,079       4,368      X   X  1              3968       400         0
                                                         -----------   ---------
                                                             902,054      11,223

 GENERAL MTRS CORP              COM            370442105   1,121,670      16,995  X          1             16995         0         0
                                                             454,674       6,889      X   X  1              4038      2851         0
                                                         -----------   ---------
                                                           1,576,344      23,884

 GENUINE PARTS CO               COM            372460105     278,320       7,952  X          1              7952         0         0
                                                         -----------   ---------
                                                             278,320       7,952

                COLUMN TOTAL                              77,326,389











1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    18 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 GILLETTE CO                    COM            375766102   1,745,452      42,572  X          1             40247      2325         0
                                                           3,209,357      78,277      X   X  1             75095      3182         0
                                                               6,150         150  X          2               150         0         0
                                                         -----------   ---------
                                                           4,960,959     120,999

 GLAXO WELLCOME PLC             SPONSORED ADR  37733W105     253,681       4,480  X          1              3220         0      1260
                                                             200,510       3,541      X   X  1              1341      2200         0
                                                         -----------   ---------
                                                             454,191       8,021

 GLOBAL MARINE INC              COM            379352404     472,828      30,505  X          1             29105      1400         0
                                                              45,725       2,950      X   X  1              2950         0         0
                                                               6,200         400  X          2               400         0         0
                                                         -----------   ---------
                                                             524,753      33,855

 GRAINGER W W INC               COM            384802104   4,200,291      78,055  X          1             76430       725       900
                                                           1,207,324      22,436      X   X  1             10200     12236         0
                                                              10,762         200  X          2               200         0         0
                                                         -----------   ---------
                                                           5,418,377     100,691

 GUIDANT CORP                   COM            401698105     237,732       4,650  X          1              3850         0       800
                                                         -----------   ---------
                                                             237,732       4,650

 HARRAHS ENTMT INC              COM            413619107     564,831      25,602  X          1             25602         0         0
                                                         -----------   ---------
                                                             564,831      25,602

 HARTFORD FINL SVCS GROUP INC   COM            416515104     209,924       3,600      X   X  1              3600         0         0
                                                         -----------   ---------
                                                             209,924       3,600

 HEALTHSOUTH CORP               COM            421924101     661,577      44,475  X          1             42050      2425         0
                                                              61,733       4,150      X   X  1              4150         0         0
                                                               9,669         650  X          2               650         0         0
                                                         -----------   ---------
                                                             732,979      49,275

                COLUMN TOTAL                              13,103,746









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    19 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 HEINZ H J CO                   COM            423074103     324,561       6,475  X          1              6475         0         0
                                                              45,114         900      X   X  1               300       600         0
                                                         -----------   ---------
                                                             369,675       7,375

 HERSHEY FOODS CORP             COM            427866108      23,750         400  X          1               400         0         0
                                                             676,877      11,400      X   X  1              9200      2200         0
                                                         -----------   ---------
                                                             700,627      11,800

 HEWLETT PACKARD CO             COM            428236103   3,076,812      30,615  X          1             29815       800         0
                                                           3,766,339      37,476      X   X  1             35176      2300         0
                                                              20,100         200  X          2               200         0         0
                                                         -----------   ---------
                                                           6,863,251      68,291

 HOME DEPOT INC                 COM            437076102   3,580,768      55,570  X          1             53945       825       800
                                                           6,680,375     103,673      X   X  1            101773      1450       450
                                                               9,666         150  X          2               150         0         0
                                                         -----------   ---------
                                                          10,270,809     159,393

 HOUSEHOLD INTL INC             COM            441815107   1,077,787      22,750  X          1             21800       950         0
                                                             161,076       3,400      X   X  1              3400         0         0
                                                              14,213         300  X          2               300         0         0
                                                         -----------   ---------
                                                           1,253,076      26,450

 HUNTINGTON BANCSHARES INC      COM            446150104     688,765      19,679      X   X  1                 0     19679         0
                                                         -----------   ---------
                                                             688,765      19,679

 IMS HEALTH INC                 COM            449934108     109,376       3,500  X          1              3500         0         0
                                                             181,250       5,800      X   X  1              5000       800         0
                                                         -----------   ---------
                                                             290,626       9,300

 ILLINOIS TOOL WKS INC          COM            452308109     237,075       2,900  X          1              2500       400         0
                                                         -----------   ---------
                                                             237,075       2,900

                COLUMN TOTAL                              20,673,904









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    20 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 INGERSOLL RAND CO              COM            456866102   2,526,394      39,093  X          1             38793         0       300
                                                           1,206,874      18,675      X   X  1             13300      5075       300
                                                         -----------   ---------
                                                           3,733,268      57,768

 INPUT/OUTPUT INC               COM            457652105     489,259      64,700  X          1             64700         0         0
                                                              21,174       2,800      X   X  1              2800         0         0
                                                         -----------   ---------
                                                             510,433      67,500

 INTEL CORP                     COM            458140100  17,110,774     287,576  X          1            277426      6450      3700
                                                          20,207,390     339,620      X   X  1            304120     35100       400
                                                              11,900         200  X          2               200         0         0
                                                         -----------   ---------
                                                          37,330,064     627,396

 INTERNATIONAL BUSINESS MACHS   COM            459200101  13,913,246     107,646  X          1            101742      5404       500
                                                           5,760,414      44,568      X   X  1             22344     22224         0
                                                         -----------   ---------
                                                          19,673,660     152,214

 INTL PAPER CO                  COM            460146103     359,290       7,150  X          1              6350       800         0
                                                             665,411      13,242      X   X  1             12842       400         0
                                                         -----------   ---------
                                                           1,024,701      20,392

 INTERPUBLIC GROUP COS INC      COM            460690100   6,117,902      70,625  X          1             70425         0       200
                                                           1,814,796      20,950      X   X  1               350     20600         0
                                                         -----------   ---------
                                                           7,932,698      91,575

 JEFFERSON PILOT CORP           COM            475070108      27,798         420  X          1               420         0         0
                                                             251,180       3,795      X   X  1              3795         0         0
                                                         -----------   ---------
                                                             278,978       4,215

 JOHNSON & JOHNSON              COM            478160104  12,984,118     132,491  X          1            126891      5600         0
                                                           4,275,348      43,626      X   X  1             26176     17450         0
                                                               9,800         100  X          2               100         0         0
                                                         -----------   ---------
                                                          17,269,266     176,217

                COLUMN TOTAL                              87,753,068








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    21 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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     472,211       7,400  X          1              7100       300         0
                                                         -----------   ---------
                                                             472,211       7,400

 KELLOGG CO                     COM            487836108     334,290      10,130  X          1             10130         0         0
                                                             168,960       5,120      X   X  1              1600      3520         0
                                                         -----------   ---------
                                                             503,250      15,250

 KEYCORP NEW                    COM            493267108     120,276       3,744  X          1              3744         0         0
                                                             436,900      13,600      X   X  1                 0     13600         0
                                                         -----------   ---------
                                                             557,176      17,344

 KIMBERLY CLARK CORP            COM            494368103   1,830,669      32,117  X          1             31242       875         0
                                                             707,199      12,407      X   X  1             11303      1104         0
                                                              17,100         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,554,968      44,824

 KOHLS CORP                     COM            500255104     468,938       6,100      X   X  1              6100         0         0
                                                         -----------   ---------
                                                             468,938       6,100

 KROGER CO                      COM            501044101      27,937       1,000  X          1              1000         0         0
                                                             424,642      15,200      X   X  1             15200         0         0
                                                         -----------   ---------
                                                             452,579      16,200

 LA Z BOY INC                   COM            505336107   1,377,355      59,885  X          1             59885         0         0
                                                         -----------   ---------
                                                           1,377,355      59,885

 LILLY ELI & CO                 COM            532457108     943,303      13,170  X          1             12820       100       250
                                                             479,888       6,700      X   X  1              2700      3700       300
                                                         -----------   ---------
                                                           1,423,191      19,870

 LINCOLN NATL CORP IND          COM            534187109      31,387         600  X          1               600         0         0
                                                             386,691       7,392      X   X  1              5600      1792         0
                                                         -----------   ---------
                                                             418,078       7,992

                COLUMN TOTAL                               8,227,746







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    22 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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     309,350       4,600  X          1              4600         0         0
                                                           4,317,450      64,200      X   X  1             64200         0         0
                                                         -----------   ---------
                                                           4,626,800      68,800

 LOCKHEED MARTIN CORP           COM            539830109   1,839,599      49,385  X          1             47935      1250       200
                                                             519,638      13,950      X   X  1              6350      7600         0
                                                              11,175         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,370,412      63,635

 LUCENT TECHNOLOGIES INC        COM            549463107   5,002,544      74,181  X          1             71326      1951       904
                                                           9,521,089     141,185      X   X  1            116353     24356       476
                                                              20,231         300  X          2               300         0         0
                                                         -----------   ---------
                                                          14,543,864     215,666

 MBIA INC                       COM            55262C100   2,742,163      42,350  X          1             41950         0       400
                                                             420,875       6,500      X   X  1              5700       800         0
                                                         -----------   ---------
                                                           3,163,038      48,850

 MBNA CORP                      COM            55262L100     241,081       7,872  X          1              7872         0         0
                                                             652,313      21,300      X   X  1             11175     10125         0
                                                         -----------   ---------
                                                             893,394      29,172

 MCI WORLDCOM INC               COM            55268B106  11,334,453     131,701  X          1            130103       373      1225
                                                           3,958,332      45,994      X   X  1             27037     18957         0
                                                         -----------   ---------
                                                          15,292,785     177,695

 MFS INTER INCOME TR            SH BEN INT     55273C107      65,226      10,133  X          1             10133         0         0
                                                               6,437       1,000      X   X  1              1000         0         0
                                                         -----------   ---------
                                                              71,663      11,133

 MGIC INVT CORP WIS             COM            552848103     613,904      12,625  X          1             12125       500         0
                                                           1,365,148      28,075      X   X  1             24875      3200         0
                                                               7,294         150  X          2               150         0         0
                                                         -----------   ---------
                                                           1,986,346      40,850

                COLUMN TOTAL                              42,948,302







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    23 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 MARSH & MCLENNAN COS INC       COM            571748102     282,464       3,732  X          1              3732         0         0
                                                         -----------   ---------
                                                             282,464       3,732

 MASCO CORP                     COM            574599106     869,284      30,105  X          1             26305      3800         0
                                                           1,100,139      38,100      X   X  1             13300     24800         0
                                                         -----------   ---------
                                                           1,969,423      68,205

 MAXIM INTEGRATED PRODS INC     COM            57772K101     252,700       3,800  X          1              3800         0         0
                                                           3,657,500      55,000      X   X  1             55000         0         0
                                                         -----------   ---------
                                                           3,910,200      58,800

 MAY DEPT STORES CO             COM            577778103     163,459       3,999  X          1              3999         0         0
                                                             526,756      12,887      X   X  1              3487      9400         0
                                                         -----------   ---------
                                                             690,215      16,886

 MCCORMICK & CO INC             COM NON VTG    579780206     465,539      14,750  X          1             14450       300         0
                                                             101,410       3,213      X   X  1               813      2400         0
                                                         -----------   ---------
                                                             566,949      17,963

 MCDONALDS CORP                 COM            580135101   2,232,602      54,288  X          1             50388      3500       400
                                                           1,326,281      32,250      X   X  1             28250      4000         0
                                                               8,225         200  X          2               200         0         0
                                                         -----------   ---------
                                                           3,567,108      86,738

 MEDIAONE GROUP INC             COM            58440J104     884,396      11,891  X          1             11291       200       400
                                                             955,870      12,852      X   X  1              8255      4597         0
                                                         -----------   ---------
                                                           1,840,266      24,743

 MEDTRONIC INC                  COM            585055106   7,686,127      98,698  X          1             97523         0      1175
                                                           3,461,546      44,450      X   X  1             24100     20350         0
                                                         -----------   ---------
                                                          11,147,673     143,148

                COLUMN TOTAL                              23,974,298










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    24 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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   2,147,726      59,044  X          1             59044         0         0
                                                             160,050       4,400      X   X  1               400      4000         0
                                                         -----------   ---------
                                                           2,307,776      63,444

 MERCK & CO INC                 COM            589331107  22,355,595     303,641  X          1            297079      2700      3862
                                                          15,296,414     207,761      X   X  1            132211     74750       800
                                                         -----------   ---------
                                                          37,652,009     511,402

 MERRILL LYNCH & CO INC         COM            590188108      95,400       1,200  X          1              1200         0         0
                                                           2,750,700      34,600      X   X  1             34600         0         0
                                                         -----------   ---------
                                                           2,846,100      35,800

 MICROSOFT CORP                 COM            594918104   9,008,600      99,888  X          1             99188       300       400
                                                          15,024,256     166,590      X   X  1            149690     16900         0
                                                         -----------   ---------
                                                          24,032,856     266,478

 MICROSOFT CORP                 PFD A CV EXCH  594918203   1,099,308      11,000      X   X  1             11000         0         0
                                                         -----------   ---------
                                                           1,099,308      11,000

 MICRON TECHNOLOGY INC          COM            595112103     570,044      14,075  X          1             13600       475         0
                                                              47,589       1,175      X   X  1              1175         0         0
                                                               4,050         100  X          2               100         0         0
                                                         -----------   ---------
                                                             621,683      15,350

 MID-AMER APT CMNTYS INC        COM            59522J103      25,669       1,110  X          1              1110         0         0
                                                             201,188       8,700      X   X  1               200      8500         0
                                                         -----------   ---------
                                                             226,857       9,810

 MILACRON INC                   COM            598709103   1,063,288      57,475  X          1             54775      2700         0
                                                             114,238       6,175      X   X  1              6175         0         0
                                                              11,100         600  X          2               600         0         0
                                                         -----------   ---------
                                                           1,188,626      64,250

                COLUMN TOTAL                              69,975,215









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    25 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 MINDSPRING ENTERPRISES INC     COM            602683104     265,872       6,000  X          1              6000         0         0
                                                         -----------   ---------
                                                             265,872       6,000

 MINNESOTA MNG & MFG CO         COM            604059105   1,694,059      19,486  X          1             19186       300         0
                                                           4,046,919      46,550      X   X  1             13950     32600         0
                                                               8,694         100  X          2               100         0         0
                                                         -----------   ---------
                                                           5,749,672      66,136

 MOBIL CORP                     COM            607059102   8,259,458      83,640  X          1             83290       350         0
                                                           5,178,452      52,440      X   X  1             47040      5250       150
                                                               9,875         100  X          2               100         0         0
                                                         -----------   ---------
                                                          13,447,785     136,180

 MONSANTO CO                    COM            611662107   1,024,855      25,905  X          1             22705      3200         0
                                                             559,011      14,130      X   X  1              9880      4250         0
                                                         -----------   ---------
                                                           1,583,866      40,035

 MORGAN J P & CO INC            COM            616880100     889,368       6,330  X          1              6330         0         0
                                                             435,550       3,100      X   X  1              2700       400         0
                                                         -----------   ---------
                                                           1,324,918       9,430

 MORGAN STANLEY DEAN WITTER&CO  COM NEW        617446448   1,267,112      12,347  X          1             12347         0         0
                                                           4,444,998      43,313      X   X  1             43313         0         0
                                                         -----------   ---------
                                                           5,712,110      55,660

 MOTOROLA INC                   COM            620076109   6,649,565      70,180  X          1             69930         0       250
                                                           2,427,969      25,625      X   X  1              9700     15925         0
                                                         -----------   ---------
                                                           9,077,534      95,805

 MYLAN LABS INC                 COM            628530107     173,575       6,550  X          1              6550         0         0
                                                              39,750       1,500      X   X  1              1500         0         0
                                                         -----------   ---------
                                                             213,325       8,050

                COLUMN TOTAL                              37,375,082









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    26 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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     194,639       9,950  X          1              9750       200         0
                                                              19,562       1,000      X   X  1              1000         0         0
                                                         -----------   ---------
                                                             214,201      10,950

 NATIONAL COMM BANCORP          COM            635449101   3,084,900     141,024  X          1            134876         0      6148
                                                           1,156,488      52,868      X   X  1             42868     10000         0
                                                         -----------   ---------
                                                           4,241,388     193,892

 NEWELL RUBBERMAID INC          COM            651229106     562,809      12,136  X          1             11507       629         0
                                                             286,737       6,183      X   X  1              4607      1576         0
                                                               7,281         157  X          2               157         0         0
                                                         -----------   ---------
                                                             856,827      18,476

 NOKIA CORP                     SPONSORED ADR  654902204      36,625         400  X          1               400         0         0
                                                             476,122       5,200      X   X  1              5200         0         0
                                                         -----------   ---------
                                                             512,747       5,600

 NORFOLK SOUTHERN CORP          COM            655844108   1,881,531      62,457  X          1             61707       750         0
                                                           1,123,063      37,280      X   X  1             31319      5961         0
                                                               6,025         200  X          2               200         0         0
                                                         -----------   ---------
                                                           3,010,619      99,937

 NORTEL NETWORKS CORP           COM            656569100     416,699       4,800  X          1              4800         0         0
                                                             147,580       1,700      X   X  1                 0      1700         0
                                                         -----------   ---------
                                                             564,279       6,500

 NORTHERN TR CORP               COM            665859104     232,800       2,400  X          1              2400         0         0
                                                         -----------   ---------
                                                             232,800       2,400

 OLD KENT FINL CORP             COM            679833103     288,435       6,888      X   X  1                 0      6888         0
                                                         -----------   ---------
                                                             288,435       6,888

 ONEMAIN COM INC                COM            68267P109     357,730      15,142  X          1             13142      2000         0
                                                         -----------   ---------
                                                             357,730      15,142

                COLUMN TOTAL                              10,279,026






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    27 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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     842,851      22,703  X          1             21691      1012         0
                                                           1,201,443      32,362      X   X  1             31350      1012         0
                                                              11,138         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,055,432      55,365

 PNC BK CORP                    COM            693475105     444,578       7,715  X          1              7715         0         0
                                                              93,814       1,628      X   X  1                 0      1628         0
                                                         -----------   ---------
                                                             538,392       9,343

 PPG INDS INC                   COM            693506107   1,080,600      18,296  X          1             17496         0       800
                                                             236,248       4,000      X   X  1              4000         0         0
                                                         -----------   ---------
                                                           1,316,848      22,296

 PALL CORP                      COM            696429307     552,458      24,900  X          1             22900      2000         0
                                                             104,279       4,700      X   X  1               600      4100         0
                                                         -----------   ---------
                                                             656,737      29,600

 PARKER HANNIFIN CORP           COM            701094104     719,376      15,724  X          1             14206      1518         0
                                                         -----------   ---------
                                                             719,376      15,724

 PENNEY J C INC                 COM            708160106     320,506       6,600  X          1              5100      1100       400
                                                             276,318       5,690      X   X  1              4690      1000         0
                                                         -----------   ---------
                                                             596,824      12,290

 PEPSICO INC                    COM            713448108   6,899,056     178,330  X          1            175430      1100      1800
                                                           3,255,901      84,160      X   X  1             65810     18350         0
                                                              11,606         300  X          2               300         0         0
                                                         -----------   ---------
                                                          10,166,563     262,790

 PERFORMANCE FOOD GROUP CO      COM            713755106     203,903       7,500  X          1              7500         0         0
                                                         -----------   ---------
                                                             203,903       7,500

                COLUMN TOTAL                              16,254,075










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    28 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 PFIZER INC                     COM            717081103   4,153,336      38,104  X          1             38104         0         0
                                                           2,926,977      26,853      X   X  1             22053      4800         0
                                                         -----------   ---------
                                                           7,080,313      64,957

 PHILIP MORRIS COS INC          COM            718154107   8,800,829     218,997  X          1            207497     10100      1400
                                                           5,238,574     130,355      X   X  1             34410     95645       300
                                                         -----------   ---------
                                                          14,039,403     349,352

 PITNEY BOWES INC               COM            724479100     758,471      11,805  X          1             11805         0         0
                                                              38,550         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             797,021      12,405

 POST PPTYS INC                 COM            737464107     377,200       9,200      X   X  1              9200         0         0
                                                         -----------   ---------
                                                             377,200       9,200

 POTOMAC ELEC PWR CO            COM            737679100      98,616       3,350  X          1              3350         0         0
                                                             123,165       4,184      X   X  1              3684       500         0
                                                         -----------   ---------
                                                             221,781       7,534

 PROCTER & GAMBLE CO            COM            742718109   8,278,658      92,758  X          1             88158      4600         0
                                                           3,354,551      37,586      X   X  1             15996     21590         0
                                                         -----------   ---------
                                                          11,633,209     130,344

 PROMUS HOTEL CORP NEW          COM            74342P106     580,506      18,726  X          1             18726         0         0
                                                         -----------   ---------
                                                             580,506      18,726

 PROVIDENT COS INC              COM            743862104   1,891,400      47,285  X          1             46785         0       500
                                                           3,149,880      78,747      X   X  1                 0     78747         0
                                                         -----------   ---------
                                                           5,041,280     126,032

 PROVIDIAN FINL CORP            COM            74406A102   1,387,094      14,875  X          1             14875         0         0
                                                         -----------   ---------
                                                           1,387,094      14,875

                COLUMN TOTAL                              41,157,807








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    29 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 R O C TAIWAN FD                SH BEN INT     749651105     669,146      83,000      X   X  1             83000         0         0
                                                         -----------   ---------
                                                             669,146      83,000

 RF MICRODEVICES INC            COM            749941100     171,638       2,300  X          1               300      2000         0
                                                           4,477,500      60,000      X   X  1             60000         0         0
                                                         -----------   ---------
                                                           4,649,138      62,300

 RALSTON PURINA CO              COM RAL-PUR GP 751277302     213,211       7,005  X          1              7005         0         0
                                                              18,262         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             231,473       7,605

 RAYTHEON CO                    CL A           755111309     462,912       6,721  X          1              6721         0         0
                                                              28,102         408      X   X  1                85       323         0
                                                         -----------   ---------
                                                             491,014       7,129

 RAYTHEON CO                    CL B           755111408   2,817,251      39,961  X          1             39211       100       650
                                                             749,063      10,625      X   X  1               775      9850         0
                                                         -----------   ---------
                                                           3,566,314      50,586

 REGIONS FINL CORP              COM            758940100      52,506       1,366  X          1              1366         0         0
                                                           5,922,181     154,075      X   X  1                 0    154075         0
                                                         -----------   ---------
                                                           5,974,687     155,441

 RELIANT ENERGY INC             COM            75952J108     558,554      20,219  X          1             20219         0         0
                                                             250,835       9,080      X   X  1              7050      2030         0
                                                         -----------   ---------
                                                             809,389      29,299

 REPSOL S A                     SPONSORED ADR  76026T205   3,536,645     174,116  X          1            172316         0      1800
                                                             871,385      42,900      X   X  1              6000     36900         0
                                                         -----------   ---------
                                                           4,408,030     217,016

 REUTERS GROUP PLC              SPONSORED ADR  76132M102     348,080       4,294  X          1              3561       733         0
                                                         -----------   ---------
                                                             348,080       4,294

                COLUMN TOTAL                              21,147,271







1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    30 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 ROCKWELL INTL CORP NEW         COM            773903109     201,326       3,314  X          1              3314         0         0
                                                         -----------   ---------
                                                             201,326       3,314

 ROHM & HAAS CO                 COM            775371107     595,457      13,888  X          1             13705        73       110
                                                              90,767       2,117      X   X  1              2117         0         0
                                                         -----------   ---------
                                                             686,224      16,005

 ROYAL DUTCH PETE CO            NY REG GLD1.25 780257804   2,180,755      36,195  X          1             35445       750         0
                                                             953,457      15,825      X   X  1              6625      9000       200
                                                               9,038         150  X          2               150         0         0
                                                         -----------   ---------
                                                           3,143,250      52,170

 SBC COMMUNICATIONS INC         COM            78387G103   6,013,846     103,687  X          1             98499      2436      2752
                                                           3,008,750      51,875      X   X  1             31491     18452      1932
                                                         -----------   ---------
                                                           9,022,596     155,562

 SAFECO CORP                    COM            786429100     728,945      16,520  X          1             16520         0         0
                                                         -----------   ---------
                                                             728,945      16,520

 SARA LEE CORP                  COM            803111103   1,584,937      69,861  X          1             64236      3175      2450
                                                             472,842      20,842      X   X  1             17242      3600         0
                                                               4,537         200  X          2               200         0         0
                                                         -----------   ---------
                                                           2,062,316      90,903

 SCANA CORP                     COM            805898103     226,506       9,690  X          1              8890         0       800
                                                             178,819       7,650      X   X  1              5850      1800         0
                                                         -----------   ---------
                                                             405,325      17,340

 SCHERING PLOUGH CORP           COM            806605101  47,941,058     913,163  X          1            812763     98000      2400
                                                         341,101,268   6,497,167      X   X  1           6471367     25800         0
                                                              10,500         200  X          2               200         0         0
                                                         -----------   ---------
                                                         389,052,826   7,410,530

                COLUMN TOTAL                             405,302,808









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    31 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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   2,119,506      33,280  X          1             29080      3100      1100
                                                             632,092       9,925      X   X  1              6125      3600       200
                                                               4,777          75  X          2                75         0         0
                                                         -----------   ---------
                                                           2,756,375      43,280

 SCOTTS CO                      CL A           810186106     304,801       6,400  X          1              6100       300         0
                                                              42,863         900      X   X  1               900         0         0
                                                         -----------   ---------
                                                             347,664       7,300

 SCRIPPS E W CO OHIO            CL A           811054204     442,327       9,300      X   X  1              9300         0         0
                                                         -----------   ---------
                                                             442,327       9,300

 SEARS ROEBUCK & CO             COM            812387108     852,376      19,128  X          1             16428      1200      1500
                                                             450,209      10,103      X   X  1              8103      2000         0
                                                         -----------   ---------
                                                           1,302,585      29,231

 SERVICE CORP INTL              COM            817565104     571,725      29,700  X          1             29700         0         0
                                                              46,200       2,400      X   X  1                 0      2400         0
                                                         -----------   ---------
                                                             617,925      32,100

 SHONEYS INC                    COM            825039100         142          65  X          1                65         0         0
                                                              43,740      20,000      X   X  1                 0     20000         0
                                                         -----------   ---------
                                                              43,882      20,065

 SIGMA ALDRICH CORP             COM            826552101     203,178       5,900  X          1              5500       400         0
                                                              13,774         400      X   X  1               400         0         0
                                                         -----------   ---------
                                                             216,952       6,300

 SMITHKLINE BEECHAM PLC         ADR REP ORD    832378301     749,805      11,350  X          1             11350         0         0
                                                           1,613,432      24,423      X   X  1               823     23600         0
                                                         -----------   ---------
                                                           2,363,237      35,773

                COLUMN TOTAL                               8,090,947










1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    32 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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      26,500         800  X          1               800         0         0
                                                             331,250      10,000      X   X  1              1200      8800         0
                                                         -----------   ---------
                                                             357,750      10,800

 SOUTHERN CO                    COM            842587107   1,418,017      53,510  X          1             49835      3675         0
                                                             646,706      24,404      X   X  1              9794     12610      2000
                                                               7,950         300  X          2               300         0         0
                                                         -----------   ---------
                                                           2,072,673      78,214

 SPRINT CORP                    COM FON GROUP  852061100   7,502,468     141,556  X          1            140156         0      1400
                                                           1,183,384      22,328      X   X  1              6878     14650       800
                                                         -----------   ---------
                                                           8,685,852     163,884

 SPRINT CORP                    PCS COM SER 1  852061506     484,557       8,501  X          1              8501         0         0
                                                             255,075       4,475      X   X  1              1150      3125       200
                                                         -----------   ---------
                                                             739,632      12,976

 STERLING SOFTWARE INC          COM            859547101     635,149      24,025  X          1             22975      1050         0
                                                              77,328       2,925      X   X  1              2925         0         0
                                                               6,609         250  X          2               250         0         0
                                                         -----------   ---------
                                                             719,086      27,200

 STORAGE USA INC                COM            861907103     277,440       8,670  X          1              8670         0         0
                                                         -----------   ---------
                                                             277,440       8,670

 SUN MICROSYSTEMS INC           COM            866810104     881,603      12,800  X          1             12800         0         0
                                                           1,161,235      16,860      X   X  1             16860         0         0
                                                         -----------   ---------
                                                           2,042,838      29,660

 SUNTRUST BKS INC               COM            867914103   2,577,779      37,124  X          1             36774         0       350
                                                           5,110,562      73,600      X   X  1             16598     49602      7400
                                                         -----------   ---------
                                                           7,688,341     110,724

                COLUMN TOTAL                              22,583,612









1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    33 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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   5,316,430     178,332  X          1            176332       400      1600
                                                           1,767,853      59,300      X   X  1             32700     26600         0
                                                         -----------   ---------
                                                           7,084,283     237,632

 TECO ENERGY INC                COM            872375100     254,187      11,173  X          1             10573         0       600
                                                              77,350       3,400      X   X  1                 0      3400         0
                                                         -----------   ---------
                                                             331,537      14,573

 TANDY CORP                     COM            875382103     391,000       8,000  X          1              8000         0         0
                                                         -----------   ---------
                                                             391,000       8,000

 TELEFONOS DE MEXICO S A        SPNS ADR ORD L 879403780     260,861       3,228  X          1              3228         0         0
                                                              48,487         600      X   X  1               600         0         0
                                                         -----------   ---------
                                                             309,348       3,828

 TENNECO INC NEW                COM            88037E101     532,302      22,295  X          1             19695      2600         0
                                                              84,664       3,546      X   X  1              1162      2384         0
                                                         -----------   ---------
                                                             616,966      25,841

 TEXACO INC                     COM            881694103   5,856,092      93,885  X          1             93485       400         0
                                                           1,473,674      23,626      X   X  1              9126     14500         0
                                                         -----------   ---------
                                                           7,329,766     117,511

 TEXAS INSTRS INC               COM            882508104     388,800       2,700  X          1              2700         0         0
                                                             950,400       6,600      X   X  1              6600         0         0
                                                         -----------   ---------
                                                           1,339,200       9,300

 TEXAS UTILS CO                 COM            882848104     201,425       4,861  X          1              4377        45       439
                                                             209,257       5,050      X   X  1              3150      1900         0
                                                         -----------   ---------
                                                             410,682       9,911

 TIME WARNER INC                COM            887315109      28,832         397  X          1               397         0         0
                                                             870,049      11,980      X   X  1             10980      1000         0
                                                         -----------   ---------
                                                             898,881      12,377

                COLUMN TOTAL                              18,711,663






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    34 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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     226,526      10,950  X          1             10950         0         0
                                                              64,131       3,100      X   X  1              1000      2100         0
                                                         -----------   ---------
                                                             290,657      14,050

 TRI CONTL CORP                 COM            895436103     204,457       6,773  X          1              6773         0         0
                                                              46,126       1,528      X   X  1              1528         0         0
                                                         -----------   ---------
                                                             250,583       8,301

 TRIBUNE CO NEW                 COM            896047107      43,563         500  X          1               500         0         0
                                                             707,891       8,125      X   X  1              8125         0         0
                                                         -----------   ---------
                                                             751,454       8,625

 TYCO INTL LTD NEW              COM            902124106     700,299       7,391  X          1              7391         0         0
                                                         -----------   ---------
                                                             700,299       7,391

 UAL CORP                       COM PAR $0.01  902549500     310,201       4,800      X   X  1              4800         0         0
                                                         -----------   ---------
                                                             310,201       4,800

 UST INC                        COM            902911106     202,253       6,900  X          1              6900         0         0
                                                             105,523       3,600      X   X  1              3600         0         0
                                                         -----------   ---------
                                                             307,776      10,500

 US BANCORP DEL                 COM            902973106     100,125       3,000  X          1              3000         0         0
                                                             210,263       6,300      X   X  1              6300         0         0
                                                         -----------   ---------
                                                             310,388       9,300

 UNUM CORP                      COM            903192102   3,894,371      71,130  X          1             69630      1300       200
                                                             164,250       3,000      X   X  1               800      2200         0
                                                         -----------   ---------
                                                           4,058,621      74,130

 USX-U S STL                    COM            90337T101     447,525      16,575  X          1             15925       650         0
                                                              54,675       2,025      X   X  1              2025         0         0
                                                               5,400         200  X          2               200         0         0
                                                         -----------   ---------
                                                             507,600      18,800

                COLUMN TOTAL                               7,487,579






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    35 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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     648,054       9,291  X          1              8991         0       300
                                                             299,439       4,293      X   X  1               278      4015         0
                                                         -----------   ---------
                                                             947,493      13,584

 UNION PAC CORP                 COM            907818108   1,244,262      21,338  X          1             19738      1600         0
                                                             314,768       5,398      X   X  1              2548      2850         0
                                                         -----------   ---------
                                                           1,559,030      26,736

 UNION PAC RES GROUP INC        COM            907834105     137,004       8,399  X          1              7045      1354         0
                                                              66,208       4,059      X   X  1              1777      2282         0
                                                         -----------   ---------
                                                             203,212      12,458

 UNION PLANTERS CORP            COM            908068109   1,020,298      22,832  X          1             20192      2588        52
                                                             263,386       5,894      X   X  1              3056      2838         0
                                                         -----------   ---------
                                                           1,283,684      28,726

 UNITED HEALTHCARE CORP         COM            910581107     596,504       9,525  X          1              9325         0       200
                                                             118,988       1,900      X   X  1              1900         0         0
                                                         -----------   ---------
                                                             715,492      11,425

 U S WEST INC NEW               COM            91273H101   2,048,275      34,864  X          1             33174       880       810
                                                             648,016      11,030      X   X  1              6042      4988         0
                                                              10,281         175  X          2               175         0         0
                                                         -----------   ---------
                                                           2,706,572      46,069

 UNITED TECHNOLOGIES CORP       COM            913017109   1,666,368      23,144  X          1             21744      1400         0
                                                             924,480      12,840      X   X  1             10400      2140       300
                                                         -----------   ---------
                                                           2,590,848      35,984

 UNIVERSAL FST PRODS INC        COM            913543104   1,279,250      59,500  X          1             59500         0         0
                                                         -----------   ---------
                                                           1,279,250      59,500

 UNOCAL CORP                    COM            915289102     484,219      12,220  X          1             12220         0         0
                                                         -----------   ---------
                                                             484,219      12,220

                COLUMN TOTAL                              11,769,800






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    36 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 VITESSE SEMICONDUCTOR CORP     COM            928497106     522,637       7,750  X          1              7750         0         0
                                                         -----------   ---------
                                                             522,637       7,750

 VULCAN MATLS CO                COM            929160109     926,402      19,200  X          1             17400       300      1500
                                                          16,950,225     351,300      X   X  1             10500    340800         0
                                                         -----------   ---------
                                                          17,876,627     370,500

 WACHOVIA CORP                  COM            929771103     672,263       7,857  X          1              7599         0       258
                                                             428,666       5,010      X   X  1              1510      3500         0
                                                         -----------   ---------
                                                           1,100,929      12,867

 WAL MART STORES INC            COM            931142103   8,741,407     181,169  X          1            174769      2100      4300
                                                           1,508,971      31,274      X   X  1             14574     15900       800
                                                         -----------   ---------
                                                          10,250,378     212,443

 WALGREEN CO                    COM            931422109   7,755,238     264,008  X          1            261508         0      2500
                                                           6,086,325     207,194      X   X  1             49012    158182         0
                                                         -----------   ---------
                                                          13,841,563     471,202

 WARNER LAMBERT CO              COM            934488107   4,073,342      58,927  X          1             58627       300         0
                                                           3,532,222      51,099      X   X  1             38999     11500       600
                                                         -----------   ---------
                                                           7,605,564     110,026

 WASTE MGMT INC DEL             COM            94106L109   2,010,904      37,412  X          1             34367      3045         0
                                                             592,221      11,018      X   X  1              1340      9678         0
                                                         -----------   ---------
                                                           2,603,125      48,430

 WAUSAU-MOSINEE PAPER CORP      COM            943315101     695,682      38,649  X          1             34374      4275         0
                                                             147,150       8,175      X   X  1              1050      7125         0
                                                         -----------   ---------
                                                             842,832      46,824

 WELLS FARGO & CO NEW           COM            949746101  10,448,444     244,408  X          1            234808      4000      5600
                                                           4,659,325     108,990      X   X  1             67845     41145         0
                                                         -----------   ---------
                                                          15,107,769     353,398

                COLUMN TOTAL                              69,751,424






1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    37 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 WEYERHAEUSER CO                COM            962166104     993,444      14,450  X          1             14125       325         0
                                                             247,710       3,603      X   X  1              3353       250         0
                                                               6,875         100  X          2               100         0         0
                                                         -----------   ---------
                                                           1,248,029      18,153

 WHIRLPOOL CORP                 COM            963320106   1,337,550      18,075  X          1             17525       550         0
                                                             142,450       1,925      X   X  1              1925         0         0
                                                              14,800         200  X          2               200         0         0
                                                         -----------   ---------
                                                           1,494,800      20,200

 WILLIAMS COS INC DEL           COM            969457100     302,190       7,100  X          1              7100         0         0
                                                              51,074       1,200      X   X  1              1200         0         0
                                                         -----------   ---------
                                                             353,264       8,300

 WISCONSIN ENERGY CORP          COM            976657106     266,912      10,650  X          1              6650      4000         0
                                                              81,452       3,250      X   X  1               250      3000         0
                                                         -----------   ---------
                                                             348,364      13,900

 WORTHINGTON INDS INC           COM            981811102     468,456      28,500  X          1             25200      3300         0
                                                             105,198       6,400      X   X  1              1600      4800         0
                                                         -----------   ---------
                                                             573,654      34,900

 WRIGLEY WM JR CO               COM            982526105     284,506       3,190  X          1              3190         0         0
                                                           1,525,096      17,100      X   X  1             17100         0         0
                                                         -----------   ---------
                                                           1,809,602      20,290

 XILINX INC                     COM            983919101     183,200       3,200  X          1              3200         0         0
                                                             595,400      10,400      X   X  1             10400         0         0
                                                         -----------   ---------
                                                             778,600      13,600

 XEROX CORP                     COM            984121103   1,432,252      24,250  X          1             23150       200       900
                                                             664,450      11,250      X   X  1              4650      6100       500
                                                         -----------   ---------
                                                           2,096,702      35,500

                COLUMN TOTAL                               8,703,015








1                                                          FORM 13F                                              FILE NO. 28-227
 PAGE    38 OF    38                  NAME OF REPORTING MANAGER:FTN CORPORATION                                       AS OF 06/30/99
    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
 ---------------------------    -------------- --------- -----------   --------- --- --- --- --------  --------- --------- ---------

 YORK INTL CORP NEW             COM            986670107     295,402       6,900  X          1              6700       200         0
                                                              85,624       2,000      X   X  1                 0      2000         0
                                                         -----------   ---------
                                                             381,026       8,900

                COLUMN TOTAL                                 381,026

                 GRAND TOTAL                           1,590,294,145













































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