NATIONAL CITY CORP
13F-HR, 1999-08-16
NATIONAL COMMERCIAL BANKS
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<PAGE>   1
                INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
              MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                   EXCHANGE ACT OF 1934 AND RULES THEREUNDER


                       Securities and Exchange Commission
                              450 Fifth Street, NW
                             Washington, D.C. 20549


              Report for the Calendar Quarter ended: June 30, 1999


                (Please read instructions before preparing form)


                  If amended report check here:
                                                 -------------


NAME OF INSTITUTIONAL INVESTMENT MANAGER:              NATIONAL CITY CORPORATION
BUSINESS ADDRESS:                                      1900 EAST 9TH STREET
                                                       CLEVELAND, OHIO 44114
NAME:                                                  JOHN P. RUSIN
PHONE NUMBER:                                          (216) 575-9741
TITLE (OF PERSON DULY AUTHORIZED TO
  SUBMIT THIS REPORT):                                 TRUST OFFICER


ATTENTION: Intentional misstatements or omissions of fact constitute Federal
           Criminal Violators. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).

     The Institutional Investment Manager submitting this form and the
attachments and the person by whom it is signed represent hereby that all
information contained herein is true, correct and complete. It is understood
that all required items, statements and schedules are considered integral parts
of this form and that the submission of any amendment representing that all
unamended items, statements and schedules remain true, correct and complete as
previously submitted.

     Pursuant to the requirements of the Securities Exchange Act of 1934, the
undersigned Institutional Investment Manager has caused this report to be signed
on its behalf in the City of Cleveland and State of Ohio on the 12th day of
August, 1999.


                                     NATIONAL CITY CORPORATION
                                     (Name of Institutional Investment Manager)

                                          John P. Rusin

                                     (Manual Signature of Person Duly Authorized
                                      to submit this Report)


Name and 13F file number of ALL Institutional Investment Managers with respect
to which this schedule is filed (other than the one filing this report).

13F File Number will be assigned to Institutional Investment Managers after
they file their first report.


<TABLE>
<CAPTION>
     Name:                                   13F File No.:
<S>                                          <C>
1.   National City, Cleveland                28-1479

2.   National City, Columbus                 28-1479

3.   National City, Dayton                   28-1479

4.   National City, Indiana                  28-1479

5.   National City, Kentucky                 28-1479

6.   National City, Northeast                28-1479

7.   National City, Northwest                28-1479

8.   National City, Pennsylvania             28-1479

9.   National City, Michigan/Illinois        28-1479

10.  National City Southern Indiana          28-1479

11.  National City Trust Company, Florida    28-1479



</TABLE>
<PAGE>   2



                                13F Summary Page




Report Summary:  National City Corporation 6-30-99

Number of Other Included Managers:            None
                                        -----------------

Form 13F Information Table Entry Total:       8,764
                                        -----------------

Form 13F Information Table Value Total:   31,672,273,488
                                        -----------------



List of Other Included Managers:

Provide a numbered list of the name(s) and form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

(If there are no entries in this list, state "NONE" and omit the column
headings and list entries.)


<TABLE>
<CAPTION>
          No.       Form 13F File Number               Name
          <S>       <C>                           <C>
                         28-
          --------           ------------         ----------------------
          (Repeat as necessary)
</TABLE>
<PAGE>   3
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)          PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99
                                                                                             DEPT ID# 001             PAGE     1
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

DAIMLERCHRYSLER AG                       D1668R123     105821       1189   X                             1189          0          0
DAIMLERCHRYSLER AG                       D1668R123     616058       6922               X                 6922          0          0
INCOME ADVANTAGE FUND                    000520999    3143130    3143130   X                          3143130          0          0
ACM GOVT SECS FD INC COM                 000914101     100528      12566               X                12566          0          0
AFLAC INC COM                            001055102       9288        194   X                              194          0          0
AFLAC INC COM                            001055102     390325       8153               X                 7700          0        453
AMR CORP DEL COM                         001765106     218400       3200   X                                0          0       3200
AMR CORP DEL COM                         001765106     122850       1800               X                  100          0       1700
AT&T CORP COM                            001957109    9533530     170812   X                           108414          0      62398
AT&T CORP COM                            001957109   13246044     237329               X               221565        993      14771
ARV ASSISTED LIVING INC                  00204C107      40000      10000               X                10000          0          0
ABBOTT LABS                              002824100   48983265    1079521   X                          1076201          0       3320
ABBOTT LABS                              002824100  151236781    3333042               X              3232192       4020      96830
A C NIELSON                              004833109     119972       3966   X                             3966          0          0
A C NIELSON                              004833109     411884      13616               X                13616          0          0
ACORN FUND                               004851101    1831078      98498   X                            98498          0          0
ADAMS EXPRESS CO COM                     006212104     214040       7349               X                 7349          0          0
ADVANCED LTG TECHNOLOGIES                00753C102    2420253     268917               X               268917          0          0
ADVANCED MICRO DEVICES                   007903107     191468      10600   X                            10600          0          0
ADVANCED MICRO DEVICES                   007903107      75865       4200               X                 4200          0          0
AEGON N V ORD AMER REG (NLG)             007924103    4323081      58469   X                            57689          0        780
AEGON N V ORD AMER REG (NLG)             007924103   11909489     161074               X               149742        520      10812
AETNA INC COM NEW                        008117103     399788       4470   X                             1870          0       2600
AETNA INC COM NEW                        008117103    1015390      11353               X                 7353          0       4000
AIM                                      008883100     760131      53757               X                53757          0          0
AIR PRODS & CHEMS INC COM                009158106     433332      10766   X                             5966          0       4800
AIR PRODS & CHEMS INC COM                009158106     243030       6038               X                 6038          0          0
AKZO NOBEL NV ADR                        010199305     254250       6000               X                    0          0       6000
ALBERTSONS INC COM                       013104104    2046020      39680   X                            33780          0       5900
ALBERTSONS INC COM                       013104104    3533609      68530               X                66207       1000       1323
ALCAN ALUMINIUM LTD COM NEW              013716105     245923       7700   X                                0          0       7700
ALCAN ALUMINIUM LTD COM NEW              013716105      43116       1350               X                 1350          0          0
ALCOA INC                                013817101    3413273      55164   X                              400       3664      51100
ALCOA INC                                013817101     664661      10742               X                 9342          0       1400
ALERT STAMPING & MFG CO                  0144689A2     411047         32               X                   32          0          0
ALLEGHENY ENERGY INC                     017361106     316205       9862   X                             9862          0          0
ALLEGHENY ENERGY INC                     017361106     451768      14090               X                14090          0          0
ALLERGAN INC COM                         018490102      92574        834   X                              834          0          0
ALLERGAN INC COM                         018490102     213675       1925               X                 1925          0          0
ALLIANCE CAP MGMT L P                    018548107     646260      20000               X                20000          0          0
ALLIANCE GROWTH & INCOME FD INC COM      018597104      48099      12146               X                12146          0          0
ALLIANT CORP                             018802108     324951      11452               X                11452          0          0
ALLIED CAP CORP NEW                      01903Q108     240000      10000               X                10000          0          0
ALLIED SIGNAL INC COM                    019512102    1608264      25528   X                            16928          0       8600
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             266648516    9015966                              8718082      10197     287687
</TABLE>
<PAGE>   4
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     2
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            --------------

ALLIED SIGNAL INC COM                    019512102    2288664      36328               X                28442          0       7886
ALLSTATE CORP COM                        020002101     945235      26348   X                            15348          0      11000
ALLSTATE CORP COM                        020002101     673015      18760               X                13560          0       5200
ALLTEL CORP COM                          020039103    2330114      32589   X                            32239          0        350
ALLTEL CORP COM                          020039103    2265478      31685               X                24577          0       7108
ALSPAUGH & CO INC                        021299904     672455        350               X                  350          0          0
ALTERA CORP COM                          021441100     559558      15200   X                                0          0      15200
ALTERA CORP COM                          021441100     294504       8000               X                 8000          0          0
AMEREN CORP                              023608102     285625       7443               X                 7243          0        200
AMERICA ONLINE INC DEL COM               02364J104    1223970      11127   X                             1200       9927          0
AMERICA ONLINE INC DEL COM               02364J104     550550       5005               X                 4665          0        340
AMERICAN BALANCED FUND                   024071102     191016      11466               X                11466          0          0
AMERICAN ELECTRIC POWER CO INC           025537101     533507      14203   X                             9003          0       5200
AMERICAN ELECTRIC POWER CO INC           025537101     538052      14324               X                13982         82        260
AMERICAN EXPRESS CO COM                  025816109    3111029      23908   X                            23908          0          0
AMERICAN EXPRESS CO COM                  025816109    5125494      39389               X                39389          0          0
AMERICAN GENERAL CORP                    026351106    3314239      43970   X                            34010          0       9960
AMERICAN GENERAL CORP                    026351106   12105602     160605               X               158413          0       2192
AMERICAN GREETINGS CORP CL A             026375105       6025        200   X                              200          0          0
AMERICAN GREETINGS CORP CL A             026375105     389938      12944               X                12944          0          0
AMERICAN HOME PRODS CORP COM             026609107   16276312     283683   X                           281783          0       1900
AMERICAN HOME PRODS CORP COM             026609107   41453839     722507               X               669109       1600      51798
AMERICAN INTL GROUP INC COM              026874107   30706837     261892   X                           253577          0       8315
AMERICAN INTL GROUP INC COM              026874107  104914128     894790               X               873897          0      20893
AMERICAN MUN TERM TR INC II COM          027653104     865938      81500               X                81500          0          0
AMERICAN MUNI III                        027654102     157537      14914               X                14914          0          0
AMERICAN SUPERCONDUCTOR CORP             030111108     388388      26000               X                    0          0      26000
AMERICAN WTR WKS CO INC                  030411102     104550       3400   X                             3400          0          0
AMERICAN WTR WKS CO INC                  030411102     130688       4250               X                 4250          0          0
AMES DEPT STORES INC                     030789507     803000      17600   X                                0          0      17600
AMERITECH CORP NEW COM                   030954101   17083091     232423   X                           232267          0        156
AMERITECH CORP NEW COM                   030954101   33550545     456470               X               442615       1815      12040
AMGEN INC                                031162100    1112430      18274   X                            18274          0          0
AMGEN INC                                031162100    2991519      49142               X                47642          0       1500
AMSOUTH BANCORPORATION COM               032165102     537382      23175   X                              675          0      22500
ANADARKO PETE CORP COM                   032511107     279779       7600   X                             7600          0          0
ANADARKO PETE CORP COM                   032511107     957138      26000               X                    0          0      26000
ANALOG DEVICES INC COM                   032654105     240902       4800               X                 4800          0          0
ANHEUSER BUSCH                           035229103    1245742      17561   X                            17561          0          0
ANHEUSER BUSCH                           035229103    8333442     117475               X               116575          0        900
APPLIED MATLS INC                        038222105    2539823      34380   X                                0          0      34380
APPLIED MATLS INC                        038222105     888864      12032               X                11832          0        200
APPLIED TECHNOLOGY VENTURES INC COM      0382839A7     274000      10960               X                10960          0          0
APTARGROUP INC                           038336103    1560000      52000   X                                0          0      52000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             304799944    3886672                              3532170      13424     341078
</TABLE>
<PAGE>   5
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     3
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>          <C>         <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
            -----------------

AQUA CLARA BOTTLING & DISTR              03837N102       8880      24000               X                24000          0          0
ARADIGM CORP COM                         038505103      88750      10000               X                    0          0      10000
ARCHER DANIELS MIDLAND CO COM            039483102     167996      10882   X                              802          0      10080
ARCHER DANIELS MIDLAND CO COM            039483102    1371666      88850               X                88600          0        250
ARDEN RLTY INC COM                       039793104     264719      10750   X                            10750          0          0
ARDEN RLTY INC COM                       039793104     350291      14225               X                13225          0       1000
ARMADA FDS                               042086272   36712400    3434275   X                          3434275          0          0
ARMADA GOVERNMENT MONEY MKT              042086306    2597842    2597842   X                          1612032          0     985810
ARMADA TAX MANAGED EQUITY FD #233        042086330   44577105    3466338   X                          3449428          0      16910
ARMADA TAX MANAGED EQUITY FD #233        042086330   28058525    2181845               X              1807877          0     373968
ARMADA NATIONAL TAX EXEMPT FD #297       042086363   10164247    1039289   X                          1035191          0       4098
ARMADA NATIONAL TAX EXEMPT FD #297       042086363    5920007     605318               X               550070          0      55248
ARMADA SMALL CAP GROWTH FUND #519        042086579    4865632     437557   X                           431697          0       5860
ARMADA SMALL CAP GROWTH FUND #519        042086579    1513802     136133               X               130447          0       5686
ARMADA CORE EQUITY FUND #681             042086595     307963      20964   X                            20964          0          0
ARMADA CORE EQUITY FUND #681             042086595     221768      15097               X                15097          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629   10202265     877992   X                           859970       2656      15366
ARMADA INTERNATIONAL EQUITY FD           042086629   12128268    1043741               X              1021425          0      22315
ARMADA EQUITY INDEX FUND #42             042086645  131847441   11042499   X                         11007858          0      34641
ARMADA EQUITY INDEX FUND #42             042086645      27411       2296               X                 2296          0          0
ARMADA GNMA INSTL CL #666                042086660   14123062    1413720   X                          1400499          0      13221
ARMADA GNMA INSTL CL #666                042086660    2112942     211506               X               209556          0       1949
ARMADA BOND FD INSTL CL #630             042086686  170352808   17277161   X                         17205874          0      71287
ARMADA BOND FD INSTL CL #630             042086686   15008152    1522125               X              1493655       6547      21923
ARMADA PA MUN FD INSTL CL #629           042086710     166778      16351   X                            16351          0          0
ARMADA PA MUN FD INSTL CL #629           042086710     145283      14243               X                14243          0          0
ARMADA OHIO TAX EXEMPT FUND #612         042086751   13098143    1210549   X                          1210549          0          0
ARMADA OHIO TAX EXEMPT FUND #612         042086751   41448112    3830694               X              3753281        427      76986
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777   22543848    2277156   X                          2194647          0      82509
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    7333831     740791               X               697379       1374      42038
ARMADA INTERMEDIATE BD FUND              042086793   37660621    3642226   X                          3566256          0      75971
ARMADA INTERMEDIATE BD FUND              042086793   10846429    1048978               X               994485       5733      48759
ARMADA ENHANCED INCOME FUND              042086827    2679864     269875   X                           204373      60484       5018
ARMADA ENHANCED INCOME FUND              042086827     486409      48984               X                48984          0          0
ARMADA SMALL CAP VALUE FUND #616         042086843   55246551    3957489   X                          3891312          0      66177
ARMADA SMALL CAP VALUE FUND #616         042086843   15460965    1107519               X              1071287       3259      32973
ARMADA EQUITY INCOME FUND #614           042086868   48123960    2510379   X                          2468452          0      41926
ARMADA EQUITY INCOME FUND #614           042086868   10293480     536958               X               526931       5012       5014
ARMADA EQUITY GROWTH FUND                042086884  453504598   17197747   X                         17026366      11036     160345
ARMADA EQUITY GROWTH FUND                042086884   22444523     851139               X               804358      28239      18541
ARMADA FUNDS MONEY MARKET PORTFOLIO      042086983  132449455  132449455   X                        132449455          0          0
ARTHUR TREACHERS INC COM                 042901306      64960     160000               X               160000          0          0
ASHMAN ENTERPRISES INC                   0448199B8    1478515      17406               X                 9906          0       7500
ASHTABULA RUBBER CO CAP                  0448829A8    2599695       4050               X                    0          0       4050
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                            1371069962  219376394                            216934203     124767    2317419
</TABLE>
<PAGE>   6
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     4
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------
ASSOCIATES FIRST CAP CORP COM            046008108    4536933     102820   X                            38438          0      64382
ASSOCIATES FIRST CAP CORP COM            046008108    2190895      49652               X                47964        196       1492
ATLANTIC RICHFIELD CO COM                048825103    1550094      18550   X                            14750          0       3800
ATLANTIC RICHFIELD CO COM                048825103    6825008      81675               X                74275        500       6900
AUTOLIV INC                              052800109     125144       4137   X                             4137          0          0
AUTOLIV INC                              052800109    1056965      34941               X                34737          0        204
AUTOMATIC DATA PROCESSING INC COM        053015103   33046904     751066   X                           721596          0      29470
AUTOMATIC DATA PROCESSING INC COM        053015103   97758100    2221775               X              2170995       2000      48780
AVALONBAY CMNTYS INC                     053484101    1749508      47284   X                            45940          0       1344
AVALONBAY CMNTYS INC                     053484101    3769782     101886               X                98430          0       3456
AVERY DENNISON CORP COM                  053611109    2825550      46800   X                            46800          0          0
AVERY DENNISON CORP COM                  053611109     226406       3750               X                 3750          0          0
AVON PRODS INC COM                       054303102     126540       2280   X                             2280          0          0
AVON PRODS INC COM                       054303102     344100       6200               X                 4200          0       2000
AXYS PHARMACEUTICAL INC                  054635107      33750      10000               X                    0          0      10000
BCE INC COM                              05534B109     200704       4070               X                 4070          0          0
BP AMOCO PLC-SPONS ADR                   055622104   14552020     134120   X                           133870        250          0
BP AMOCO PLC-SPONS ADR                   055622104   38762276     357256               X               349306        523       7427
BT INVESTMENTS                           055922868     597746      24854               X                24854          0          0
BAKER HUGHES INC COM                     057224107     245890       7340   X                             7340          0          0
BAKER HUGHES INC COM                     057224107     401397      11982               X                11782          0        200
BANK OF AMER CORP COM                    060505104    6411955      87460   X                            23199      16972      47289
BANK OF AMER CORP COM                    060505104    3912642      53369               X                49156          0       4213
BANK NEW YORK INC COM                    064057102     551347      15028   X                             1700        328      13000
BANK NEW YORK INC COM                    064057102     256816       7000               X                 7000          0          0
BANK ONE CORP COM                        06423A103    9988417     167695   X                            85154      11446      71095
BANK ONE CORP COM                        06423A103   11797832     198073               X               186679        121      11273
BANKBOSTON CORP                          06605R106     378325       7400   X                             2400          0       5000
BANKBOSTON CORP                          06605R106      92127       1802               X                 1360        442          0
BARD C R INC                             067383109     143439       3000   X                             3000          0          0
BARD C R INC                             067383109     678945      14200               X                14200          0          0
BAXTER INTL INC COM                      071813109      24250        400   X                              400          0          0
BAXTER INTL INC COM                      071813109     300094       4950               X                 2250          0       2700
RENTOKIL INITIAL PLC ORD (GBP)           0732712S6      78806      27896               X                27896          0          0
BELL ATLANTIC CORP COM                   077853109    3905895      59746   X                            43163          0      16583
BELL ATLANTIC CORP COM                   077853109   11530684     176378               X               164146        670      11562
BELLSOUTH CORP COM                       079860102   15813726     342845   X                           264471          0      78374
BELLSOUTH CORP COM                       079860102   24632896     534047               X               521441        958      11648
BEMIS INC COM                            081437105     422344      10625   X                            10625          0          0
BEMIS INC COM                            081437105     800963      20150               X                20150          0          0
BERKSHIRE HATHAWAY INC DEL               084670108    9563200        139   X                              139          0          0
BERKSHIRE HATHAWAY INC DEL               084670108    2132800         31               X                   31          0          0
BERKSHIRE HATHAWAY INC DEL               084670207   10698800       4776   X                             4619          0        157
BERKSHIRE HATHAWAY INC DEL               084670207   48166160      21503               X                20663          0        840
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             373208175    5780951                              5293356      34406     453189
</TABLE>
<PAGE>   7
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     5
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------
BERKSHIRE RLTY INC COM                   084710102       6938        600   X                              600          0          0
BERKSHIRE RLTY INC COM                   084710102     115052       9950               X                 9950          0          0
BEST FOODS                               08658U101    1639836      33128   X                            33128          0          0
BEST FOODS                               08658U101    2444310      49380               X                48180          0       1200
BILOXI MARSH LANDS CORP CAP              090203100      80775      10770               X                10770          0          0
BIOMEC INC                               0906099A8     100000      10000               X                10000          0          0
BLACKROCK INCOME TR INC COM              09247F100     120384      18000               X                18000          0          0
BOEING CO                                097023105    1659900      37725   X                            18865          0      18860
BOEING CO                                097023105    1687928      38362               X                28280          0      10082
BORDERS GROUP INC COM                    099709107     163506      10340   X                            10340          0          0
BORDERS GROUP INC COM                    099709107     819904      51850               X                51850          0          0
BOYD & SHRIVER INC                       103299905     345614        150               X                  150          0          0
BOYKIN LODGING CO COM                    103430104     320261      20830               X                  830          0      20000
BRISTOL MYERS SQUIBB CO COM              110122108   93068673    1321285   X                          1307093          0      14192
BRISTOL MYERS SQUIBB CO COM              110122108  281943910    4002725               X              3938839       1200      62686
BROWN FORMAN CORP CL A                   115637100     393406       6598               X                 6598          0          0
BROWN FORMAN CORP CL B                   115637209     936360      14364               X                14364          0          0
BROWNING FERRIS INDS INC COM             115885105    6223347     144729   X                           138929          0       5800
BROWNING FERRIS INDS INC COM             115885105   14555156     338492               X               319624          0      18868
BURLINGTON NORTHERN SANTA FE CORP        12189T104     241800       7800   X                                0          0       7800
BURLINGTON NORTHERN SANTA FE CORP        12189T104     253270       8170               X                 8170          0          0
BURLINGTON RES INC COM                   122014103       1211         28   X                               28          0          0
BURLINGTON RES INC COM                   122014103     340551       7874               X                 6674          0       1200
CBS CORP                                 12490K107     575032      13200   X                             1000          0      12200
CBS CORP                                 12490K107     177345       4071               X                 4071          0          0
CGM MUTUAL FUND                          125325100     313897      10732               X                10732          0          0
CIGNA CORP COM                           125509109    1506147      16923   X                            13023          0       3900
CIGNA CORP COM                           125509109    3507490      39410               X                38822        150        438
CSX CORP COM                             126408103     762845      16812   X                            13112          0       3700
CSX CORP COM                             126408103    1851028      40794               X                22162          0      18632
CVS CORPORATION (DEL)                    126650100    2686451      52935   X                            39585          0      13350
CVS CORPORATION (DEL)                    126650100    1573707      31009               X                31009          0          0
CV THERAPEUTICS INC                      126667104      57750      10500               X                    0          0      10500
CALGON CARBON CORP COM                   129603106     180515      30400               X                30400          0          0
CAMPBELL SOUP CO COM                     134429109     245788       5300   X                             5300          0          0
CAMPBELL SOUP CO COM                     134429109    1240531      26750               X                16450          0      10300
CARDINAL HEALTH INC COM                  14149Y108     783095      12212   X                            12112          0        100
CARDINAL HEALTH INC COM                  14149Y108     286511       4468               X                 4093          0        375
CARNIVAL CORP COM                        143658102     453475       9350   X                             3650       5700          0
CARNIVAL CORP COM                        143658102     628075      12950               X                12950          0          0
CAROLINA PWR & LT CO COM                 144141108     265441       6200   X                             6200          0          0
CAROLINA PWR & LT CO COM                 144141108     173821       4060               X                 3660          0        400
CASE CORP COM                            14743R103    2757563      57300   X                                0          0      57300
CATERPILLAR INC COM                      149123101    1331940      22199   X                            14599          0       7600
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             428820539    6570725                              6264192       7050     299483
</TABLE>
<PAGE>   8
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     6
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            -----------------

CATERPILLAR INC COM                      149123101     673200      11220               X                 7520          0       3700
CEDAR FAIR LP DEPOSITARY UNITS           150185106     267635      10732   X                            10732          0          0
CEDAR FAIR LP DEPOSITARY UNITS           150185106    2854204     114452               X                92752          0      21700
CELL GENESYS INC                         150921104      93500      22000               X                    0          0      22000
CENDANT CORP                             151313103      18819        918   X                              918          0          0
CENDANT CORP                             151313103     234090      11419               X                11419          0          0
CENTOCOR INC COM                         152342101      54365       1166   X                             1166          0          0
CENTOCOR INC COM                         152342101     471705      10117               X                 7917          0       2200
CENTRAL & SOUTHWEST CORP COM             152357109     976257      41765   X                            41765          0          0
CENTRAL & SOUTHWEST CORP COM             152357109    1628209      69656               X                69656          0          0
CERIDIAN CORP COM                        15677T106    1026076      31390   X                            17570          0      13820
CERIDIAN CORP COM                        15677T106      37591       1150               X                 1150          0          0
CHAMPION INTL CORP COM                   158525105    2707810      56560   X                                0          0      56560
CHARTER ONE FINL INC COM                 160903100      59047       2123   X                             2123          0          0
CHARTER ONE FINL INC COM                 160903100    1177130      42323               X                42323          0          0
CHASE MANHATTAN CORP (NEW) COM           16161A108    6402557      74018   X                            35598          0      38420
CHASE MANHATTAN CORP (NEW) COM           16161A108    4056850      46900               X                42366        232       4302
CHESTNUT STREET EXCHANGE                 166668103    4772544      12864               X                12864          0          0
CHEVRON CORP COM                         166751107    8185019      86101   X                            76301          0       9800
CHEVRON CORP COM                         166751107   17848268     187752               X               183586        300       3866
CHIREX INC COM                           170038103     546125      17000   X                                0          0      17000
CHUBB CORP COM                           171232101    7900343     113674   X                           109074          0       4600
CHUBB CORP COM                           171232101   25007212     359816               X               355593          0       4223
CHURCH & DWIGHT INC COM                  171340102     247950       5700   X                             5400          0        300
CHURCH & DWIGHT INC COM                  171340102     188790       4340               X                 4340          0          0
CINCINNATI BELL INC COM                  171870108     359107      14400   X                            14400          0          0
CINCINNATI BELL INC COM                  171870108      59851       2400               X                 2400          0          0
CINCINNATI FINL CORP COM                 172062101    4135987     110108   X                           103985          0       6123
CINCINNATI FINL CORP COM                 172062101    9707293     258427               X               252550          0       5877
CISCO SYS INC COM                        17275R102   25597222     397238   X                           388178          0       9060
CISCO SYS INC COM                        17275R102   67880278    1053420               X              1015236       6750      31434
CINTAS CORP COM                          172908105    3133044      46631   X                            40241          0       6390
CINTAS CORP COM                          172908105    3516150      52333               X                49683        650       2000
CITIGROUP INC COM                        172967101    9725625     204750   X                            87673      33528      83549
CITIGROUP INC COM                        172967101    3646765      76774               X                52962          0      23812
CITIZENS BKG CORP MICH COM               174420109     646685      21511               X                21511          0          0
CITIZENS UTILS CO DEL CL B               177342201      25743       2314   X                             2314          0          0
CITIZENS UTILS CO DEL CL B               177342201     558876      50236               X                50236          0          0
CLEAR CHANNEL COMMUNICATIONS INC COM     184502102     323595       4694   X                             4694          0          0
CLEAR CHANNEL COMMUNICATIONS INC COM     184502102     372265       5400               X                 5400          0          0
CLEVELAND CLIFFS INC COM                 185896107      17580        543   X                              543          0          0
CLEVELAND CLIFFS INC COM                 185896107     207071       6396               X                 1396          0       5000
CLEVELAND IGNITION CO COM                1861809A5      85282      10045               X                    0          0      10045
CLOROX CO COM                            189054109    1869014      17498   X                            16548          0        950
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             219302729    3670274                              3242083      41460     386731
</TABLE>
<PAGE>   9
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     7
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            -----------------

CLOROX CO COM                            189054109    2729606      25555               X                25255          0        300
COASTAL CORP COM                         190441105     406525      10100               X                 6400          0       3700
COCA-COLA CO COM                         191216100   20536290     331230   X                           321365          0       9865
COCA-COLA CO COM                         191216100   76691148    1236954               X              1206262          0      30692
COLGATE-PALMOLIVE CO COM                 194162103     406313       4125   X                             4125          0          0
COLGATE-PALMOLIVE CO COM                 194162103    2840346      28836               X                27436          0       1400
COLORADO MEDTECH INC                     19652U104     686659      31300   X                                0          0      31300
COLUMBIA/HCA HEALTHCARE CORP COM         197677107     258928      11350   X                              150          0      11200
COLUMBIA/HCA HEALTHCARE CORP COM         197677107     245673      10769               X                 1869          0       8900
COMCAST CORP CL A SPL                    200300200    1399681      36414   X                            35614          0        800
COMCAST CORP CL A SPL                    200300200    2855175      74280               X                74280          0          0
COMERICA INC COM                         200340107    2600947      43759   X                            13399          0      30360
COMERICA INC COM                         200340107     106156       1786               X                 1786          0          0
COMMERCE BANCSHARES INC COM              200525103    1759811      43722   X                            43722          0          0
COMMERCE BANCSHARES INC COM              200525103    2205338      54791               X                54791          0          0
COMPAQ COMPUTER CORP COM                 204493100    3355476     141653   X                           117791          0      23862
COMPAQ COMPUTER CORP COM                 204493100    5239549     221190               X               216580          0       4610
COMPUTER SCIENCES CORP COM               205363104     432425       6250   X                             1550          0       4700
COMPUTER SCIENCES CORP COM               205363104     660469       9546               X                 9546          0          0
CONAGRA INC COM                          205887102      31950       1200   X                             1200          0          0
CONAGRA INC COM                          205887102     714136      26822               X                26822          0          0
CONEXANT SYSTEMS INC                     207142100     206588       3558   X                             1758          0       1800
CONEXANT SYSTEMS INC                     207142100     314353       5414               X                 1100          0       4314
CONOCO INC COMMN                         208251306     150525       5400   X                             4400          0       1000
CONOCO INC COMMN                         208251306     443909      15925               X                 8325          0       7600
CONSECO INC COM                          208464107      23650        777   X                              777          0          0
CONSECO INC COM                          208464107     177454       5830               X                  830          0       5000
CONSOLIDATED EDISON INC                  209115104     430056       9504   X                             4304          0       5200
CONSOLIDATED EDISON INC                  209115104     499470      11038               X                 8538          0       2500
CONSOLIDATED NAT GAS CO COM              209615103     956813      15750   X                            15750          0          0
CONSOLIDATED NAT GAS CO COM              209615103    3398416      55941               X                54741          0       1200
CONTINENTAL LAND & FUR CO INC COM        2115569A5     266814       4374               X                 4374          0          0
CONTROLLED HYDRAULICS INC                212396105          0      35326               X                35326          0          0
CONVERGYS CORP                           212485106     279000      14400   X                            14400          0          0
CONVERGYS CORP                           212485106      46500       2400               X                 2400          0          0
COOPER INDS INC COM                      216669101     117884       2267   X                             2267          0          0
COOPER INDS INC COM                      216669101     154284       2967               X                 2967          0          0
CORNING INC COM                          219350105      35063        500   X                              500          0          0
CORNING INC COM                          219350105    2804299      39990               X                39990          0          0
COSTCO COMPANIES INC                     22160Q102    2451129      30615   X                            29940          0        675
COSTCO COMPANIES INC                     22160Q102     252198       3150               X                 3150          0          0
COX COMMUNICATION INC NEW                224044107     302529       8218               X                 6900          0       1318
CROWN CORK & SEAL INC COM                228255105     137057       4809   X                             4809          0          0
CROWN CORK & SEAL INC COM                228255105      83021       2913               X                 2913          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             139693613    2632698                              2440402          0     192296
</TABLE>
<PAGE>   10
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     8
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ------------------

CULLEN FROST BANKERS INC COM             229899109     567798      20600   X                                0          0      20600
CUMULUS MEDIA INC                        231082108     240625      11000   X                                0          0      11000
DANAHER CORPORATION COM                  235851102     434484       7475   X                             6050       1225        200
DANAHER CORPORATION COM                  235851102     130781       2250               X                 2250          0          0
DARDEN RESTAURANTS INC COM               237194105     150073       6880   X                             6880          0          0
DARDEN RESTAURANTS INC COM               237194105    1306599      59900               X                59700          0        200
DAVIS                                    239080104     234693       8121               X                 8121          0          0
DAYTON HUDSON CORP COM                   239753106    3398655      52287   X                            42617          0       9670
DAYTON HUDSON CORP COM                   239753106    3650075      56155               X                56155          0          0
GRUPO FINANCIERO BANCOMER SA DE CV       2402875S7       6963      20000               X                20000          0          0
DEERE & CO COM                           244199105     236500       6035   X                             1735          0       4300
DEERE & CO COM                           244199105     309977       7910               X                 2310          0       5600
DELL COMPUTER CORP COM                   247025109    1442445      38985   X                            38985          0          0
DELL COMPUTER CORP COM                   247025109    5282490     142770               X               142045        400        325
DELPHI AUTOMOTIVE SYS CORP               247126105     331391      17913   X                             4525       4582       8806
DELPHI AUTOMOTIVE SYS CORP               247126105     364265      19690               X                17677          0       2013
DELTA AIR LINES INC DEL COM              247361108     149825       2600   X                                0          0       2600
DELTA AIR LINES INC DEL COM              247361108     167113       2900               X                  400          0       2500
DELUXE CORP COM                          248019101      29110        750   X                              750          0          0
DELUXE CORP COM                          248019101     248403       6400               X                 6400          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103     229770      13616   X                            13616          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103     374018      22164               X                21264          0        900
DIEBOLD INC COM                          253651103     835734      29069   X                            26046         23       3000
DIEBOLD INC COM                          253651103    3251683     113102               X               107627          0       5475
DILLARD'S INC                            254067101      57113       1626   X                             1626          0          0
DILLARD'S INC                            254067101    1417294      40350               X                39750          0        600
DISNEY WALT CO COM                       254687106    9914946     321778   X                           289203          0      32575
DISNEY WALT CO COM                       254687106   27798503     902168               X               883833       1300      17035
DOMINION RES INC VA                      257470104     683696      15785   X                            15785          0          0
DOMINION RES INC VA                      257470104    2875215      66382               X                60487        158       5737
DONNELLEY R R & SONS CO COM              257867101    2146763      57922   X                            57922          0          0
DONNELLEY R R & SONS CO COM              257867101    9343471     252097               X               252097          0          0
DOW CHEM CO COM                          260543103    7493364      59061   X                            55061          0       4000
DOW CHEM CO COM                          260543103   23988764     189074               X               180123        100       8851
DOW JONES & CO INC COM                   260561105     283197       5337               X                 5337          0          0
DREYFUS MUN MONEY MKT FD INC             26201S100     275360     275360               X                    0          0     275360
DREYFUS PREMIER ST MUN BD FD             26202D672     116918       9399   X                             9399          0          0
DREYFUS PREMIER ST MUN BD FD             26202D672     365184      29356               X                29356          0          0
DU PONT E I DE NEMOURS & CO COM          263534109    8818798     129094   X                           111296          0      17798
DU PONT E I DE NEMOURS & CO COM          263534109   17970691     263064               X               231928          0      31136
DUFF & PHELPS UTILS INCOME INC COM       264324104     148506      13977               X                13977          0          0
DUKE ENERGY CORP COM                     264399106     574931      10561   X                             3661          0       6900
DUKE ENERGY CORP COM                     264399106    2446280      44937               X                11812          0      33125
DUKE REALTY INVST CO NEW                 264411505     488489      21650   X                            20650          0       1000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             140580953    3377550                              2858456       7788     511306
</TABLE>
<PAGE>   11
<TABLE>
<CAPTION>


INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE     9
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ----------------

DUKE REALTY INVST CO NEW                 264411505     493114      21855               X                21255          0        600
DUN & BRADSTREET CORP DEL                26483B106    1257376      35481   X                            35481          0          0
DUN & BRADSTREET CORP DEL                26483B106    3125773      88204               X                88204          0          0
DYCOM INDS INC COM                       267475101     336000       6000   X                             6000          0          0
E M C CORP MASS COM                      268648102     288750       5250   X                             5250          0          0
E M C CORP MASS COM                      268648102     600600      10920               X                10920          0          0
EASTMAN KODAK CO COM                     277461109     735291      10853   X                             5253          0       5600
EASTMAN KODAK CO COM                     277461109    1295719      19125               X                12878          0       6247
EATON VANCE GROWTH FD INC COM.           277902102     171158      15731               X                15731          0          0
EATON VANCE MUT FDS TR                   277911822     238680      12000               X                12000          0          0
EATON CORP COM                           278058102    2627888      28564   X                            26664          0       1900
EATON CORP COM                           278058102    6441104      70012               X                61712          0       8300
EATON VANCE NATIONAL MUNICIPAL FUND      27826L108     145192      14291               X                14291          0          0
EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801      11233       1054   X                             1054          0          0
EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801     200967      18852               X                18852          0          0
EDISON INTL COM                          281020107     674796      25226   X                            18026          0       7200
EDISON INTL COM                          281020107    1075832      40218               X                40218          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104    3488553      61608   X                            49285       4823       7500
ELECTRONIC DATA SYS CORP NEW COM         285661104   16350469     288750               X               276698          0      12052
ELECTRONICS FOR IMAGING INC COM          286082102     359625       7000   X                             7000          0          0
ELECTRONICS FOR IMAGING INC COM          286082102      41100        800               X                  800          0          0
ELFUN TRS UNIT CTF                       286281100     254854       3568               X                 3568          0          0
EMERSON ELEC CO COM                      291011104   15397026     244638   X                           229284          0      15354
EMERSON ELEC CO COM                      291011104   42347456     672844               X               652859       1000      18985
ENERGY EAST CORP                         29266M109     265044      10194               X                10194          0          0
ENGELHARD CORP COM                       292845104     135750       6000   X                             6000          0          0
ENGELHARD CORP COM                       292845104     439491      19425               X                19425          0          0
ENRON CORP COM                           293561106     712533       8716   X                             3616          0       5100
ENRON CORP COM                           293561106    1347731      16486               X                16486          0          0
EQUITY INCOME FD UNIT                    294700703      94656        457   X                              457          0          0
EQUITY INCOME FD UNIT                    294700703     372825       1800               X                 1800          0          0
EQUITY INV FD                            294711254     193104     189318               X               189318          0          0
EQUITY INV FD                            294711270      35791      31396               X                31396          0          0
ERICO HOLDINGS                           2948209B3     678600        936               X                  936          0          0
ERICSSON L M TEL CO                      294821400    3235236      98222   X                            98222          0          0
ERICSSON L M TEL CO                      294821400    7457822     226420               X               224070          0       2350
ESAR CORP OHIO COM                       296990252     215908       7711               X                 7711          0          0
ESSEX PPTY TR INC                        297178105      14150        400   X                                0          0        400
ESSEX PPTY TR INC                        297178105     247625       7000               X                 7000          0          0
AMERICAN FUNDS                           298706102      24382        753   X                              753          0          0
AMERICAN FUNDS                           298706102    1336773      41271               X                41271          0          0
EXPEDITORS INTL WASH INC COM             302130109     318825      11700   X                                0          0      11700
EXXON CORP COM                           302290101   66289555     859508   X                           813560         20      45928
EXXON CORP COM                           302290101  133861079    1735638               X              1675897        800      58941
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             315235436    4976195                              4761395       6643     208157
</TABLE>
<PAGE>   12
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    10
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ----------------

FPL GROUP INC COM                        302571104    2746764      50284   X                            46484          0       3800
FPL GROUP INC COM                        302571104    4276919      78296               X                72856          0       5440
FDX CORP                                 31304N107     279496       5152               X                 2772          0       2380
FREDDIE MAC COM                          313400301    3218014      55483   X                            31183          0      24300
FREDDIE MAC COM                          313400301     480878       8291               X                 7891          0        400
FANNIE MAE COM                           313586109   10915837     159939   X                           110399          0      49540
FANNIE MAE COM                           313586109   12955010     189817               X               182367          0       7450
FEDERATED DEPT STORES INC DEL NEW        31410H101     208576       3940   X                              340          0       3600
FEDERATED DEPT STORES INC DEL NEW        31410H101      37057        700               X                  700          0          0
FEDERATED                                314184102     347231      31595               X                31595          0          0
FEDERATED HIGH YIELD TR SBI              314197104       8889       1016   X                             1016          0          0
FEDERATED HIGH YIELD TR SBI              314197104     616654      70475               X                70475          0          0
FEDERATED INCOME TRUST                   314199100     171047      16986               X                16986          0          0
FEDERATED                                31420C209     285851      33238               X                33238          0          0
FEDERATED INCOME SECS TR                 31420C407     201285      20477               X                20477          0          0
FEDERATED U S GOVT SECURITIES FUND       31428M100     331693      31894               X                31894          0          0
FIDELITY ADVISOR FDS                     315805101     285491       4352               X                 4352          0          0
FIDELITY ADVISOR SER II                  315807206   21961792     410271   X                           410271          0          0
FIDELITY ADVISOR SER II                  315807206      44309        828               X                  828          0          0
FIDELITY ADVISOR SER II                  315807305     974488      83290   X                            83290          0          0
FIDELITY ADVISOR SER II                  315807305      13748       1175               X                 1175          0          0
FIDELITY ADVISORS SER III                315808204    2317414      76181   X                            76181          0          0
FIDELITY ADVISOR SER IV                  315809202    2223204     213155   X                           213155          0          0
FIDELITY INVT TR                         315910802     470189      24199               X                24199          0          0
FIDELITY ADVISORS SER VII                315918102     225082      11878   X                            11878          0          0
FIDELITY CONTRAFUND INC #22              316071109   18432804     293376   X                           293376          0          0
FIDELITY CONTRAFUND INC #22              316071109      48757        776               X                  776          0          0
FIDELITY EXCHANGE FUND                   316141100    1816920       6775   X                             6775          0          0
FIDELITY EXCHANGE FUND                   316141100    4532489      16901               X                16901          0          0
FIDELITY MAGELLAN FUND INC               316184100     272689       2101   X                             2101          0          0
FIDELITY MAGELLAN FUND INC               316184100     110668        853               X                  853          0          0
FIDELITY                                 316345107    8598511     415990   X                           415990          0          0
FIDELITY                                 316345107      49335       2387               X                 2387          0          0
FIDELITY SELECT BIOTECHNOLOGY            316390772     147314       3293   X                             3293          0          0
FIDELITY SELECT BIOTECHNOLOGY            316390772     139826       3125               X                 3125          0          0
FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     454225      40233   X                            40233          0          0
FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     528584      46819               X                46819          0          0
FIFTH THIRD BANCORP                      316773100     255402       3837   X                             3837          0          0
FIFTH THIRD BANCORP                      316773100   36481383     548073               X               543573          0       4500
FIRST DATA CORP COM                      319963104     441225       9016   X                             1316          0       7700
FIRST DATA CORP COM                      319963104     523686      10701               X                10701          0          0
FIRST FINL BANCORP COM                   320209109     361367      15972               X                15972          0          0
FIRST UNION CORP COM                     337358105     690758      14658   X                             1750          0      12908
FIRST UNION CORP COM                     337358105     404380       8581               X                 8581          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             139887241    3026379                              2904361          0     122018
</TABLE>
<PAGE>   13
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    11
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ------------------------------

FIRST UN REAL ESTATE EQUITY &            337400105       7538       1675   X                             1675          0          0
FIRST UN REAL ESTATE EQUITY &            337400105      75632      16807               X                14046          0       2761
FIRSTAR CORP NEW WIS                     33763V109     585200      20900   X                            14300       6600          0
FIRSTAR CORP NEW WIS                     33763V109    1524656      54452               X                54452          0          0
FISERV INC COM                           337738108     397832      12705   X                                0          0      12705
FIRSTMERIT CORP COM                      337915102    3497099     124616   X                           124616          0          0
FIRSTMERIT CORP COM                      337915102    4122174     146890               X               135798          0      11092
FIRSTENERGY CORP                         337932107      54498       1758   X                             1758          0          0
FIRSTENERGY CORP                         337932107     327887      10577               X                 8515          0       2062
FLEET FINL GROUP INC NEW COM             338915101    4544266     102406   X                            93806          0       8600
FLEET FINL GROUP INC NEW COM             338915101   10560806     237990               X               221690          0      16300
FLORIDA PROGRESS CORP COM                341109106      72422       1753   X                             1753          0          0
FLORIDA PROGRESS CORP COM                341109106     251059       6077               X                 6077          0          0
FORD MOTOR CO DEL COM                    345370100    4351272      77098   X                            54898          0      22200
FORD MOTOR CO DEL COM                    345370100    5456200      96676               X                90521        375       5780
FORT JAMES CORP                          347471104     427041      11275   X                            11275          0          0
FORT JAMES CORP                          347471104    3169191      83675               X                79394          0       4281
FORTUNE BRANDS INC                       349631101     610281      14750   X                            14750          0          0
FORTUNE BRANDS INC                       349631101     479412      11587               X                11587          0          0
FRANCHISE FIN CORP AMER COM              351807102     212265       9540               X                 9540          0          0
FRANKLIN CUSTODIAN FDS INC               353496300      26196      11243   X                            11243          0          0
FRANKLIN CUSTODIAN FDS INC               353496300      62287      26733               X                26733          0          0
FRANKLIN CUSTODIAN FDS INC               353496508      72450       2096   X                             2096          0          0
FRANKLIN CUSTODIAN FDS INC               353496508     139715       4043               X                 4043          0          0
FRANKLIN CUSTODIAN FDS INC               353496607     154714      23196               X                23196          0          0
FRANKLIN RES INC COM                     354613101    1602128      39437   X                            39437          0          0
FRANKLIN RES INC COM                     354613101     764034      18807               X                16707          0       2100
FRANKLIN TAX FREE TR                     354723504      72532       5989   X                             5989          0          0
FRANKLIN TAX FREE TR                     354723504     772764      63812               X                63812          0          0
FRONTIER CORP COM                        35906P105     341198       5820   X                             5820          0          0
FRONTIER CORP COM                        35906P105    1876117      32002               X                30002          0       2000
FUISZ TECHNOLOGIED LTD COM               359536109      39756      12000               X                    0          0      12000
GATX CORP COM                            361448103     237818       6248               X                    0          0       6248
GTE CORP COM                             362320103   14245718     188685   X                           152185          0      36500
GTE CORP COM                             362320103   38543732     510513               X               429631          0      80882
GABELLI VALUE FUND INC COM               36240H106     461956      23593   X                            23593          0          0
GALLAHER GROUP PLC                       363595109     326247      13350   X                            13350          0          0
GALLAHER GROUP PLC                       363595109     173168       7086               X                 7086          0          0
GANNETT CO INC COM                       364730101     526748       7380   X                             7380          0          0
GANNETT CO INC COM                       364730101    1784232      24998               X                24998          0          0
GAP INC COM                              364760108    2897117      57511   X                            57061          0        450
GAP INC COM                              364760108     530852      10538               X                10538          0          0
GENERAL ELEC CO COM                      369604103  100666379     890853   X                           888013          0       2840
GENERAL ELEC CO COM                      369604103  246499443    2181411               X              2122082       1587      57742
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             453544032    5210551                              4915446       8562     286543
</TABLE>
<PAGE>   14
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    12
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------

GENERAL MILLS INC COM                    370334104   10077337     125379   X                           125379          0          0
GENERAL MILLS INC COM                    370334104   29797504     370731               X               360916          0       9815
GENERAL MTRS CORP COM                    370442105    1294194      19609   X                             7009          0      12600
GENERAL MTRS CORP COM                    370442105    1913406      28991               X                24507          0       4484
GENUINE PARTS CO COM                     372460105     141120       4032   X                             4032          0          0
GENUINE PARTS CO COM                     372460105     152040       4344               X                 4344          0          0
GEORGIA PACIFIC CORP COM                 373298108    2784229      58770   X                            41370          0      17400
GEORGIA PACIFIC CORP COM                 373298108     137293       2898               X                 2898          0          0
GILLETTE CO COM                          375766102    2663893      64973   X                            64373          0        600
GILLETTE CO COM                          375766102   11284922     275242               X               262409          0      12833
GLAXO WELLCOME PLC                       37733W105     223612       3949   X                             3949          0          0
GLAXO WELLCOME PLC                       37733W105    1067438      18851               X                18851          0          0
GOLDEN WEST FINL CORP                    381317106     435120       4440   X                             4440          0          0
GOLDEN WEST FINL CORP                    381317106      68600        700               X                  700          0          0
GOLDMAN SACHS TR                         38142B385     259515      15176   X                            15176          0          0
GOODRICH B F CO COM                      382388106     702695      16534               X                16534          0          0
GOODYEAR TIRE & RUBBER CO COM            382550101     182320       3100   X                              400          0       2700
GOODYEAR TIRE & RUBBER CO COM            382550101    1288946      21916               X                21816          0        100
GOVERNMENT SECS INCOME FD                383744208       1282      10684               X                10684          0          0
GRAINGER W W INC COM                     384802104     290590       5400               X                 5400          0          0
GREAT LAKES CHEM CORP COM                390568103      49287       1070   X                             1070          0          0
GREAT LAKES CHEM CORP COM                390568103     598819      13000               X                12800          0        200
GUIDANT CORP COM                         401698105    1043973      20420   X                             9800          0      10620
GUIDANT CORP COM                         401698105     909974      17799               X                17799          0          0
HRPT PPTYS TR                            40426W101       3063        200   X                              200          0          0
HRPT PPTYS TR                            40426W101     306260      20000               X                20000          0          0
HALLIBURTON CO COM                       406216101     812464      17955   X                            17955          0          0
HALLIBURTON CO COM                       406216101     392227       8668               X                 8668          0          0
HANNA M A CO COM                         410522106      16438       1000   X                             1000          0          0
HANNA M A CO COM                         410522106     439832      26757               X                26757          0          0
HARLEY DAVIDSON INC COM                  412822108    5502913     101203   X                            97943          0       3260
HARLEY DAVIDSON INC COM                  412822108    9702893     178444               X               173994          0       4450
HARRIS CORP COM                          413875105     258484       6596   X                             6596          0          0
HARRIS CORP COM                          413875105     187319       4780               X                 4780          0          0
HARTFORD FINL SVCS GROUP INC COM         416515104     350228       6006   X                             2006          0       4000
HARTFORD FINL SVCS GROUP INC COM         416515104     699756      12000               X                 8394          0       3606
HEALTHSOUTH CORP COM                     421924101     250049      16810   X                            16810          0          0
HEALTHSOUTH CORP COM                     421924101      26656       1792               X                 1792          0          0
HEALTH MGMT ASSOC INC NEW CL A           421933102      11250       1000   X                             1000          0          0
HEALTH MGMT ASSOC INC NEW CL A           421933102     109283       9714               X                 9714          0          0
HEARST-ARGYLE TELEVISION INC             422317107      86496       3604   X                             3604          0          0
HEARST-ARGYLE TELEVISION INC             422317107     246480      10270               X                 8524          0       1746
HEIGHTS BUILDING CO COM                  4228199A2     232497          9               X                    9          0          0
HEINZ H J CO COM                         423074103   13342948     266193   X                           266193          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             100345645    1801009                              1712595          0      88414
</TABLE>
<PAGE>   15
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    13
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ----------------

HEINZ H J CO COM                         423074103   31992181     638248               X               595101          0      43147
HEWLETT PACKARD CO COM                   428236103   18218540     181279   X                           131009          0      50270
HEWLETT PACKARD CO COM                   428236103   39535193     393385               X               376960       1175      15250
HOME DEPOT INC COM                       437076102   35159886     545639   X                           527711          0      17928
HOME DEPOT INC COM                       437076102   98466870    1528087               X              1486129       3400      38558
HONEYWELL INC COM                        438506107    1082504       9342   X                             7142          0       2200
HONEYWELL INC COM                        438506107    1986098      17140               X                16740          0        400
HOUSEHOLD INTL CORP COM                  441815107     561583      11854   X                             6454          0       5400
HOUSEHOLD INTL CORP COM                  441815107    9243668     195117               X               194643        474          0
HOUSTON INDS INC                         442161204     524700       4400               X                 4400          0          0
HUBBELL INC CL B                         443510201    7419402     163513   X                           125513          0      38000
HUBBELL INC CL B                         443510201   18029575     397346               X               397346          0          0
HUNTINGTON BANCSHARES INC COM            446150104     202160       5776   X                             5765         11          0
HUNTINGTON BANCSHARES INC COM            446150104    4970070     142002               X               142002          0          0
HYGEN CORP                               449099902     408953        150               X                  150          0          0
IDS HIGH YIELD TAX EXEMPT FD INC         449440106      99151      21985               X                21985          0          0
IDS HIGH YIELD TAX EXEMPT FD             449440205      68360      15157               X                15157          0          0
IMS HEALTH INC                           449934108    2397938      76734   X                            76734          0          0
IMS HEALTH INC                           449934108    8151063     260834               X               260834          0          0
IKON OFFICE SOLUTIONS INC                451713101      21750       1450   X                             1450          0          0
IKON OFFICE SOLUTIONS INC                451713101    1087950      72530               X                65234          0       7296
ILLINOIS TOOL WORKS INC COM              452308109    1973363      24139   X                            23939          0        200
ILLINOIS TOOL WORKS INC COM              452308109    3320685      40620               X                38880          0       1740
INGERSOLL RAND CO COM                    456866102    3215094      49750   X                                0          0      49750
INGERSOLL RAND CO COM                    456866102     555775       8600               X                 7000          0       1600
INTERGRATED DEVICE TECHNOLOGY COM        458118106     117450      10800               X                 1000          0       9800
INTEL CORP COM                           458140100   23377134     392893   X                           382633          0      10260
INTEL CORP COM                           458140100   50936225     856071               X               801781       1400      52890
INTERNATIONAL BUSINESS MACHS CORP        459200101   20549587     158991   X                           149951          0       9040
INTERNATIONAL BUSINESS MACHS CORP        459200101   56039698     433576               X               332092          0     101484
INTERNATIONAL FLAVORS &                  459506101     106700       2425   X                             2425          0          0
INTERNATIONAL FLAVORS &                  459506101     272800       6200               X                 5625        575          0
INVESCO I.R.T. INTL EQUITY FD            46X572XX7    6000000     311526               X                    0          0     311526
INTERNATIONAL PAPER CO COM               460146103     910681      18123   X                            12923          0       5200
INTERNATIONAL PAPER CO COM               460146103     635864      12654               X                 7554          0       5100
INTERPUBLIC GROUP COS INC COM            460690100   11331156     130807   X                           126767          0       4040
INTERPUBLIC GROUP COS INC COM            460690100   33394458     385506               X               368783       1500      15223
INTERVU INC                              46114R106     501900      13100   X                                0          0      13100
INVACARE CORP COM                        461203101     576463      21550               X                21550          0          0
INVESTMENT CO OF AMERICA COM             461308108    1311180      38216   X                            38216          0          0
INVESTMENT CO OF AMERICA COM             461308108     398557      11616               X                11616          0          0
IPALCO ENTERPRISES INC COM               462613100     139841       6600   X                             6600          0          0
IPALCO ENTERPRISES INC COM               462613100     101194       4776               X                 3576          0       1200
JANUS INVT FD WORLDWIDE FD               471023309    3098007      57983   X                            57983          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             498491407    7678490                              6859353       8535     810602
</TABLE>
<PAGE>   16
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    14
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ----------------

JANUS INVT FD WORLDWIDE FD               471023309       4084         76               X                   76          0          0
JEFFERSON-PILOT CORP COM                 475070108     496013       7494               X                 7494          0          0
JOHNSON & JOHNSON COM                    478160104   12794488     130556   X                           125536          0       5020
JOHNSON & JOHNSON COM                    478160104   32160562     328169               X               310849          0      17320
KLA-TENCOR CORP COM                      482480100    2510663      38700   X                                0          0      38700
K MART CORP COM                          482584109     387750      23500               X                 3000          0      20500
K-SWISS INC CLASS A                      482686102     478950      10300   X                                0          0      10300
KEANE INC COM                            486665102     321275      14200               X                 8000          0       6200
KELLOGG CO COM                           487836108    1011120      30640   X                            30050          0        590
KELLOGG CO COM                           487836108    4705899     142603               X               131703          0      10900
KEMPER                                   488412107     196373      24006               X                24006          0          0
KEMPER MUNI BD FD SH BEN INT             488419201     418573      42711               X                42711          0          0
KEMPER                                   488438102      71702       8465   X                             8465          0          0
KEMPER                                   488438102     109944      12980               X                12980          0          0
KEYCORP NEW COM                          493267108    9625517     299627   X                           287343          0      12284
KEYCORP NEW COM                          493267108   19028826     592337               X               565875          0      26462
KIMBERLY-CLARK CORP COM                  494368103    1649523      28939   X                            27939          0       1000
KIMBERLY-CLARK CORP COM                  494368103    4447197      78021               X                72121          0       5900
KINETICO INCORPORATED COM                4946129A4     241796      13936   X                            13936          0          0
KNIGHT RIDDER INC COM                    499040103     693794      12600   X                            12600          0          0
KNIGHT RIDDER INC COM                    499040103     187214       3400               X                 3400          0          0
KOHLS CORP COM                           500255104     326642       4249   X                             2400       1549        300
KOHLS CORP COM                           500255104     591938       7700               X                 7700          0          0
KROGER CO COM                            501044101    1349405      48300   X                             8300          0      40000
KROGER CO COM                            501044101     229092       8200               X                 8200          0          0
KRUPP INSD PLUS LTD PARTNERSHIP          501124101      88000      12500   X                            12500          0          0
KRUPP INSURED PLUS II                    501125108     142459      15075   X                            15075          0          0
LG & E ENERGY CORP COM                   501917108      29862       1422   X                             1422          0          0
LG & E ENERGY CORP COM                   501917108     456897      21757               X                13920          0       7837
LANLY CO CORP                            515908903    1633368        538               X                    0          0        538
LEE ENTERPRISES INC                      523768109     305000      10000   X                            10000          0          0
LEE ENTERPRISES INC CL B                 523768208     379558      13202   X                            13202          0          0
LILLY ELI & CO COM                       532457108    3497377      48829   X                            41369          0       7460
LILLY ELI & CO COM                       532457108   24686702     344666               X               122241          0     222425
LIMITED INC COM                          532716107      35846        790   X                              790          0          0
LIMITED INC COM                          532716107     303060       6679               X                 6679          0          0
THORNBURG LTD TERM MUNI FD               532723103      75185       5670   X                             5670          0          0
THORNBURG LTD TERM MUNI FD               532723103     813711      61366               X                61366          0          0
LINCOLN ELEC HLDGS INC                   533900106     352600      17200   X                            17200          0          0
LINCOLN ELEC HLDGS INC                   533900106    3682292     179624               X               109424          0      70200
LINCOLN NATL CORP IND COM                534187109    1084135      20724   X                            20724          0          0
LINCOLN NATL CORP IND COM                534187109    4457905      85216               X                85216          0          0
LINEAR TECHNOLOGY CORP COM               535678106     679898      10110   X                                0          0      10110
LINEAR TECHNOLOGY CORP COM               535678106      40350        600               X                  600          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             136782545    2767677                              2252082       1549     514046
</TABLE>
<PAGE>   17
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    15
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            -----------------

LOCKHEED MARTIN CORP COM                 539830109     262613       7050   X                              450          0       6600
LOCKHEED MARTIN CORP COM                 539830109     269169       7226               X                 3458          0       3768
LOEWS CORP COM                           540424108     411450       5200   X                             3200          0       2000
LOEWS CORP COM                           540424108     444841       5622               X                 5622          0          0
LORD ABBETT INVT TR                      543916308      89364      35603               X                35603          0          0
LOWES COS INC COM                        548661107     479410       8457   X                             2257          0       6200
LOWES COS INC COM                        548661107     357134       6300               X                 6300          0          0
LUBRIZOL CORP COM                        549271104     972198      35677   X                            35677          0          0
LUBRIZOL CORP COM                        549271104    6547739     240284               X               168157          0      72127
LUCENT TECHNOLOGIES INC COM              549463107   23861031     353822   X                           345326          0       8496
LUCENT TECHNOLOGIES INC COM              549463107   56273423     834447               X               801938       3264      29245
MBNA CORP COM                            55262L100      35066       1145   X                             1145          0          0
MBNA CORP COM                            55262L100    1173581      38321               X                38321          0          0
MCI WORLDCOM INC                         55268B106   12402195     144106   X                           124436      18060       1610
MCI WORLDCOM INC                         55268B106   24188523     281056               X               274076        971       6009
MFS BOND FUND CLASS A                    55272P208     169727      13417               X                13417          0          0
MFS INTERMEDIATE                         55273C107      96570      15000               X                15000          0          0
MGIC INVT CORP WIS                       552848103    1919472      39475   X                               75          0      39400
MARSH & MCLENNAN COS INC                 571748102   24458502     323149   X                           319249          0       3900
MARSH & MCLENNAN COS INC                 571748102   42503505     561562               X               541666        450      19446
MARSHALL & ILSLEY CORP COM               571834100    3938334      61178               X                61178          0          0
MASCO CORP                               574599106    1852591      64159   X                            46959          0      17200
MASCO CORP                               574599106    5610239     194294               X               181834       1000      11460
MASON-DIXON BANCSHARES INC COM           575207105     395201       8244   X                             8244          0          0
MASSACHUSETTS INVESTORS GROWTH STK       575719109     897316      50298               X                50298          0          0
MFS                                      575736103       9338        439   X                              439          0          0
MFS                                      575736103     204631       9630               X                 5746          0       3883
MASTERS SELECT FDS                       576417109     343705      20843   X                            20843          0          0
MASTERS SELECT FDS                       576417109      28140       1706               X                 1706          0          0
MASTERS SELECT FDS                       576417208      57746       4355   X                             4355          0          0
MASTERS SELECT FDS                       576417208     283943      21414               X                21414          0          0
MAXIM INTEGRATED PRODS INC               57772K101    1496250      22500   X                            12650          0       9850
MAXIM INTEGRATED PRODS INC               57772K101     933993      14045               X                13645          0        400
MAY DEPT STORES CO                       577778103     282038       6900   X                              900          0       6000
MAY DEPT STORES CO                       577778103    3525837      86259               X                83559          0       2700
MCCORMICK & CO INC                       579780206     142034       4500   X                             4500          0          0
MCCORMICK & CO INC                       579780206     506586      16050               X                15850          0        200
MCDONALDS CORP                           580135101   13342143     324429   X                           300829          0      23600
MCDONALDS CORP                           580135101   33789534     821630               X               802946          0      18684
MCGRAW-HILL COS INC                      580645109    2540372      47098   X                            47098          0          0
MCGRAW-HILL COS INC                      580645109    9298372     172390               X               168750          0       3640
MCKESSON HBOC INC                        58155Q103     157947       4907   X                             3237       1559        111
MCKESSON HBOC INC                        58155Q103     177098       5502               X                 1702          0       3800
MEAD CORP                                582834107    2087500      50000   X                            50000          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             278816401    4969689                              4644055      25304     300329
</TABLE>
<PAGE>   18
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    16
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            -------------------

MEAD CORP                                582834107     426351      10212               X                10212          0          0
MEAD PROPERTIES INC NON-VOTING COM       582840997     299706        402               X                  402          0          0
MEDIAONE GROUP INC                       58440J104    5325250      71600   X                            60584          0      11016
MEDIAONE GROUP INC                       58440J104    7500273     100844               X                96224       1980       2640
MEDTRONIC INC                            585055106    3712146      47668   X                            38540          0       9128
MEDTRONIC INC                            585055106   10511879     134984               X               133564        400       1020
MELLON BK CORP                           585509102    1109801      30510   X                            18110          0      12400
MELLON BK CORP                           585509102    1562816      42964               X                25456        948      16560
MENTOR FDS                               587197435     526049      48799               X                48799          0          0
MENTOR INSTL TR                          587205873     215655      12723               X                12723          0          0
MERCK & CO INC                           589331107   64302014     873372   X                           869384          0       3988
MERCK & CO INC                           589331107  190762670    2591004               X              2508858       2400      79746
MERRILL LYNCH & CO INC                   590188108     453150       5700   X                                0          0       5700
MERRILL LYNCH & CO INC                   590188108     159000       2000               X                 2000          0          0
MICROSOFT CORP                           594918104   25316132     280704   X                           272514          0       8190
MICROSOFT CORP                           594918104   68012124     754115               X               739365       4200      10550
MICROWAVE PWR DEVICES INC                59517M103     610388      39700   X                                0          0      39700
MIDDLEBY CORP                            596278101      86063      13500               X                    0          0      13500
MILLIPORE CORP                           601073109     200787       4950   X                             3750          0       1200
MILLIPORE CORP                           601073109    1130694      27875               X                27875          0          0
MINNESOTA MNG & MFG CO                   604059105    9422167     108378   X                           108028          0        350
MINNESOTA MNG & MFG CO                   604059105   27308182     314111               X               308562        715       4834
MOBIL CORP                               607059102   11574981     117215   X                           105190          0      12025
MOBIL CORP                               607059102   19085116     193267               X               182176          0      11091
MOBILE MINI INC                          60740F105     723831      37000   X                                0          0      37000
MOLEX INC                                608554101      37000       1000   X                             1000          0          0
MOLEX INC                                608554101     348503       9419               X                 9419          0          0
MONACO COACH CORP COM                    60886R103    1057825      25000   X                                0          0      25000
MONSANTO CO                              611662107    3433040      86774   X                            77224          0       9550
MONSANTO CO                              611662107    7103379     179546               X               177621        100       1825
MORGAN J P & CO INC                      616880100    2173114      15467   X                            12467          0       3000
MORGAN J P & CO INC                      616880100    6011433      42786               X                42311          0        475
MORGAN STANLEY DEAN WITTER               616969200     259109      29311               X                29311          0          0
MORGAN STANLEY EMERGING MKTS DEBT        61744H105      96756      12000               X                12000          0          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448    1124360      10956   X                             2956          0       8000
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     558075       5438               X                 3238          0       2200
MOTOROLA INC                             620076109    3230122      34091   X                            23891          0      10200
MOTOROLA INC                             620076109   11198882     118194               X               114594          0       3600
MUNIVEST FUND INC                        626295109       9500       1000   X                             1000          0          0
MUNIVEST FUND INC                        626295109     148200      15600               X                15600          0          0
NCT GROUP INC                            62888Q109       2330      10000               X                10000          0          0
NABORS INDS INC                          629568106     975000      40000   X                                0          0      40000
NACCO INDS INC                           629579103    3087000      42000   X                                0          0      42000
NACCO INDS INC                           629579103    6314826      85916               X                83916          0       2000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             497505679    6628095                              6188864      10743     428488
</TABLE>
<PAGE>   19
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    17
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            -------------------

NACCO INDUSTRIES INC CL B                629579202    1582875      21000   X                                0          0      21000
NATIONAL CITY CORP                       635405103  626390700    9563217   X                           127395          0    9435822
NATIONAL CITY CORP                       635405103   44935732     686042               X               611938      27848      46256
NEOPATH INC COM                          640517108      72850      18800               X                    0          0      18800
NESTLE S A                               641069406    3861352      42862   X                            42862          0          0
NESTLE S A                               641069406   16330162     181269               X               179144        600       1525
NEW CENTY ENERGIES INC                   64352U103      60393       1556   X                              377       1179          0
NEW CENTY ENERGIES INC                   64352U103     183314       4723               X                 4723          0          0
NEW ENGLAND ELEC SYS                     644001109      20301        405   X                              405          0          0
NEW ENGLAND ELEC SYS                     644001109     200951       4009               X                 4009          0          0
NEW PERSPECTIVE FD INC COM               648018109      85628       3301   X                             3301          0          0
NEW PERSPECTIVE FD INC COM               648018109     159126       6134               X                 6134          0          0
NEWELL RUBBERMAID INC                    651229106   11726917     252872   X                           249701       2891        280
NEWELL RUBBERMAID INC                    651229106    6709303     144675               X               131428          0      13247
NEWS CORP LTD                            652487703      35313       1000   X                             1000          0          0
NEWS CORP LTD                            652487703     400803      11350               X                11350          0          0
NIELSEN MEDIA RESH INC                   653929307     169124       5782   X                             5782          0          0
NIELSEN MEDIA RESH INC                   653929307     557447      19058               X                19058          0          0
NIKE INC                                 654106103     316875       5000   X                                0          0       5000
NIKE INC                                 654106103     107738       1700               X                 1700          0          0
NORDSON CORP                             655663102     321011       5241               X                 5241          0          0
NORDSTROM INC                            655664100    1635336      48816   X                            48816          0          0
NORDSTROM INC                            655664100    5392227     160962               X               156362          0       4600
NORFOLK SOUTHN CORP                      655844108    1422352      47215   X                            39815          0       7400
NORFOLK SOUTHN CORP                      655844108    1365235      45319               X                29104          0      16215
NORTEL NETWORKS CORP                     656569100     968920      11161   X                             4750       6411          0
NORTEL NETWORKS CORP                     656569100    1787480      20590               X                20590          0          0
NORTHERN STS PWR CO MINN                 665772109     350726      14500   X                            13300          0       1200
NORTHERN STS PWR CO MINN                 665772109     668194      27625               X                27625          0          0
NORTHERN TR CORP                         665859104    3363378      34674   X                            34674          0          0
NORTHERN TR CORP                         665859104   14161321     145993               X               143093        750       2150
NUVEEN PERFORMANCE PLUS MUN FD           67062P108      23393       1566   X                             1566          0          0
NUVEEN PERFORMANCE PLUS MUN FD           67062P108     347533      23265               X                23265          0          0
NUVEEN PREMIUM INCOME MUN FD             67062T100     217400      15189               X                 8523          0       6666
NUVEEN FLAGSHIP MULTISTATE I             67065L708     177174      16746   X                            16746          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762      23529       2068   X                             2068          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     617086      54226               X                54226          0          0
OM GROUP INC                             670872100    8590541     249001   X                                0          0     249001
NUVEEN MUNICIPAL VALUE FD                670928100      87405       9513   X                             9513          0          0
NUVEEN MUNICIPAL VALUE FD                670928100     144440      15720               X                15720          0          0
NUVEEN SELECT                            670973106      52289       3560   X                             3560          0          0
NUVEEN SELECT                            670973106     107369       7310               X                 7310          0          0
NUVEEN OHIO QUALITY INCM MUNI            670980101      44301       2540   X                             2540          0          0
NUVEEN OHIO QUALITY INCM MUNI            670980101     165051       9465               X                 9465          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             755940595   11947020                              2078179      39679    9829162
</TABLE>
<PAGE>   20
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    18
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            -----------------

OCCIDENTAL PETE CORP                     674599105    1869372      88491   X                            82691          0       5800
OCCIDENTAL PETE CORP                     674599105    1651996      78201               X                78201          0          0
OFFICEMAX INC                            67622M108      19200       1600   X                             1600          0          0
OFFICEMAX INC                            67622M108     183900      15325               X                 8925          0       6400
OHIO CAS CORP                            677240103     356807       9877               X                 9085          0        792
OHIO DISPLAYS INC COM                    6773409A1     216557       1332               X                 1332          0          0
OHIO MACHINERY CO COM                    6774009A3   13028169     299223               X               299223          0          0
OLD REP INTL CORP                        680223104    1886978     108992               X               108992          0          0
OMNICOM GROUP INC                        681919106     344000       4300   X                             4300          0          0
OMNICOM GROUP INC                        681919106     154000       1925               X                 1925          0          0
ONESOURCE INFORMATION SERVICES INC       68272J106     196000      22400   X                                0          0      22400
ONLINE RES                               68273G101     481487      35500   X                                0          0      35500
OPTICAL COATING LAB INC                  683829105     811163       9700   X                                0          0       9700
ORACLE CORP                              68389X105    1622474      43703   X                            36503          0       7200
ORACLE CORP                              68389X105    2920550      78668               X                77068          0       1600
OWENS CORNING                            69073F103     409063      11900   X                            11900          0          0
PG&E CORP COM                            69331C108     249773       7700   X                                0          0       7700
PG&E CORP COM                            69331C108      77267       2382               X                 2382          0          0
PMI GROUP INC                            69344M101    1520075      24200   X                            24200          0          0
PNC BK CORP                              693475105    6724492     116694   X                           111494          0       5200
PNC BK CORP                              693475105    9266849     160813               X               158648        665       1500
PPG INDS INC                             693506107     444744       7530   X                             3086          0       4444
PPG INDS INC                             693506107    1029645      17433               X                16033          0       1400
PAINEWEBBER                              695900308      90476      13792               X                13792          0          0
PALL CORP                                696429307     276529      12463   X                            12463          0          0
PALL CORP                                696429307    1003874      45244               X                40620          0       4624
PARK NATL CORP                           700658107     306100       3061               X                 3061          0          0
PARKER HANNIFIN CORP                     701094104    2515930      54993               X                54993          0          0
PAX WORLD FD INC                         704222108     235834      10044               X                10044          0          0
PAYCHEX INC                              704326107      77361       2427   X                                0       2427          0
PAYCHEX INC                              704326107     301187       9449               X                 9449          0          0
PENNEY J C CO INC                        708160106     214648       4420   X                              120          0       4300
PENNEY J C CO INC                        708160106     399431       8225               X                 8225          0          0
PEPSICO INC                              713448108   45677413    1180661   X                          1175561          0       5100
PEPSICO INC                              713448108  140643626    3635329               X              3498995       4649     131685
PHARMACIA & UPJOHN INC                   716941109     877761      15450   X                             6750          0       8700
PHARMACIA & UPJOHN INC                   716941109    1474581      25955               X                25955          0          0
PFIZER INC                               717081103   35732816     327824   X                           326174          0       1650
PFIZER INC                               717081103  100609071     923019               X               900814       1600      20605
PHARMOS CORP                             717139208      16880      10000               X                    0          0      10000
PHILIP MORRIS COS INC                    718154107    3876293      96454   X                            96454          0          0
PHILIP MORRIS COS INC                    718154107   11148593     277411               X               275411          0       2000
PHILLIPS PETE CO                         718507106     465697       9256               X                 7207          0       2049
PIONEER STD ELECTRS INC                  723877106     523920      43660               X                38074          0       5586
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             391932582    7857026                              7541750       9341     305935
</TABLE>
<PAGE>   21
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    19
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ------------------

PITNEY BOWES INC                         724479100   40404384     628862   X                           617342          0      11520
PITNEY BOWES INC                         724479100  126249001    1964965               X              1923071       1964      39930
POTOMAC ELEC PWR CO                      737679100      29438       1000   X                             1000          0          0
POTOMAC ELEC PWR CO                      737679100     224288       7619               X                 6874        745          0
PRAXAIR INC                              74005P104    2315746      47320   X                             2880          0      44440
PRAXAIR INC                              74005P104     138054       2821               X                 2821          0          0
PREFORMED LINE PRODUCTS CO COM           740444104    3770419     187350   X                           187350          0          0
PREFORMED LINE PRODUCTS CO COM           740444104     295435      14680               X                14000          0        680
PREMARK INTL INC COM                     740459102      18000        480   X                              480          0          0
PREMARK INTL INC COM                     740459102     184988       4933               X                 4933          0          0
PREMIER FARNELL PLC                      74050U107     214549      28845   X                            28845          0          0
PREMIER FARNELL PLC                      74050U206     443024      23240   X                            23240          0          0
PREMIER FARNELL PLC                      74050U206       4461        234               X                  234          0          0
PREMIX INC                               7406029A7          2      78029   X                            78029          0          0
PRISM FINL CORP                          74264Q108     312701      15300   X                                0          0      15300
PROCTER & GAMBLE CO COM                  742718109   33899292     379824   X                           377294          0       2530
PROCTER & GAMBLE CO COM                  742718109  107723679    1206988               X              1169473       1454      36061
PROGRESS SOFTWARE CORP                   743312100     298998      10584               X                10584          0          0
PROGRESSIVE CORP OHIO                    743315103    5448375      37575   X                            37575          0          0
PROGRESSIVE CORP OHIO                    743315103  163017265    1124257               X              1123732        100        425
PROVIDIAN FINL CORP                      74406A102    9864731     105788   X                           103388          0       2400
PROVIDIAN FINL CORP                      74406A102   22973630     246366               X               226731        900      18735
PRUDENTIAL HIGH YIELD FD                 74435F205      58877       7646   X                             7646          0          0
PRUDENTIAL HIGH YIELD FD                 74435F205      23516       3054               X                 3054          0          0
PUBLIC STORAGE INC                       74460D109      52080       1860   X                                0          0       1860
PUBLIC STORAGE INC                       74460D109     279972       9999               X                 9999          0          0
PULITZER INC                             745769109     106839       2200   X                             2200          0          0
PULITZER INC                             745769109     305073       6282               X                 5216          0       1066
PULTE CORP                               745867101    1107024      48000   X                            48000          0          0
PUTNAM GEORGE FD BOSTON                  746758507    1557873      82866   X                            82866          0          0
PUTNAM FD FOR GROWTH & INCOME            746761204     426857      19289               X                19289          0          0
PUTNAM FUND FOR GROWTH & INCOME          746761501     316778      14212   X                            14212          0          0
PUTNAM INVS FD INC                       746809102     244151      15015               X                15015          0          0
PUTNAM OHIO TAX EXEMPT INCOME FD II      746849306     336668      38128               X                38128          0          0
PUTNAM PREMIER INCOME TR SH BEN INT      746853100     135244      17451               X                17451          0          0
PUTNAM TAX EXEMPT INCOME FD              746870104     152621      17265               X                17265          0          0
PUTNAM MASTER INTER INCOME TR            746909100      91785      12660               X                12660          0          0
PUTNAM VOYAGER FD INC CL M               747012508    7627655     312865   X                           312865          0          0
QUAKER OATS CO COM                       747402105     114563       1726   X                             1726          0          0
QUAKER OATS CO COM                       747402105    1060407      15976               X                15736          0        240
QUALCOMM INC COM                         747525103     100450        700   X                              700          0          0
QUALCOMM INC COM                         747525103     157850       1100               X                 1100          0          0
QUESTAR CORP COM                         748356102     210528      11008               X                11008          0          0
R & B FALCON CORP                        74912E101     285553      30459   X                              459          0      30000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             532582824    6786821                              6576471       5163     205187
</TABLE>
<PAGE>   22
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    20
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            --------------------

R & B FALCON CORP                        74912E101      63750       6800               X                 6800          0          0
QWEST COMMUNICATIONS INTL INC COM        749121109    1297061      39230   X                            38330          0        900
QWEST COMMUNICATIONS INTL INC COM        749121109    1916365      57961               X                56721          0       1240
R H DONNELLEY CORP                       74955W307      78565       4016   X                             4016          0          0
R H DONNELLEY CORP                       74955W307     212591      10867               X                10867          0          0
RPM INC OHIO COM                         749685103    3573390     251860   X                           247360          0       4500
RPM INC OHIO COM                         749685103   10381498     731710               X               634161          0      97549
RADIAN GROUP INC                         750236101    1971557      40390   X                                0          0      40390
RAYTHEON CO                              755111408     303150       4300   X                              200          0       4100
RAYTHEON CO                              755111408     976425      13850               X                13850          0          0
RELIANT ENERGY INC                       75952J108     344042      12454   X                             9554       2900          0
RELIANT ENERGY INC                       75952J108     971157      35155               X                34755          0        400
REUTERS GROUP PLC-SPONS ADR              76132M102    5528902      68205   X                            68205          0          0
REUTERS GROUP PLC-SPONS ADR              76132M102   32433631     400104               X               391706        125       8273
ROCHESTER PORTFOLIO SER                  771740107      50360      15307   X                                0          0      15307
ROCKWELL INTL CORP NEW                   773903109     432297       7116   X                             3516          0       3600
ROCKWELL INTL CORP NEW                   773903109     657801      10828               X                 2200          0       8628
ROHM & HAAS CO COM                       775371107     494925      11543   X                            11543          0          0
ROHM & HAAS CO COM                       775371107    1995979      46553               X                45171          0       1383
T ROWE PRICE                             779556109     235968       6223               X                    0          0       6223
T ROWE PRICE                             779576107     295073      30865               X                30865          0          0
T ROWE PRICE                             779902105     245674      46617               X                46617          0          0
ROYAL DUTCH PETROLEUM CO                 780257804    9445091     156765   X                            95049          0      61716
ROYAL DUTCH PETROLEUM CO                 780257804   12722270     211158               X               204618        860       5680
ROYCE MICRO-CAP TR INC                   780915104      95932      11369               X                11369          0          0
SBC COMMUNICATIONS INC COM               78387G103   25986552     448044   X                           444912          0       3132
SBC COMMUNICATIONS INC COM               78387G103   43254430     745766               X               721062       2826      21878
SBA COMMUNICATIONS CORP                  78388J106     555122      57300   X                                0          0      57300
SEI DAILY INCOME TR                      783965726    1761621    1761621   X                          1761621          0          0
S D C PROPERTIES CO COM                  7840309A8    4509793        540               X                  540          0          0
SPDR TR                                  78462F103     685000       5000   X                                0       5000          0
SAFECO CORP COM                          786429100      66188       1500   X                             1500          0          0
SAFECO CORP COM                          786429100     158850       3600               X                 3600          0          0
SAFEWAY INC COM NEW                      786514208    2388672      48256   X                            32885       4691      10680
SAFEWAY INC COM NEW                      786514208     366300       7400               X                 7400          0          0
ST PAUL COS INC COM                      792860108     156965       4934   X                             4934          0          0
ST PAUL COS INC COM                      792860108     382901      12036               X                12036          0          0
SARA LEE CORP COM                        803111103   10172755     448376   X                           446376          0       2000
SARA LEE CORP COM                        803111103   28114334    1239172               X              1189632       4000      45540
SCHERING-PLOUGH CORP COM                 806605101   17194380     327512   X                           327312          0        200
SCHERING-PLOUGH CORP COM                 806605101   64421123    1227069               X              1179283          0      47786
SCHLUMBERGER LTD COM                     806857108   12570419     197375   X                           148330          0      49045
SCHLUMBERGER LTD COM                     806857108   31538998     495211               X               484804       1200       9207
SCHULMAN A INC COM                       808194104      36954       2150   X                             2150          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             331044811    9264108                              8735850      21602     506657
</TABLE>
<PAGE>   23
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    21
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------

SCHULMAN A INC COM                       808194104     182193      10600               X                 6275          0       4325
SCIENTIFIC ATLANTA INC COM               808655104      21600        600   X                              600          0          0
SCIENTIFIC ATLANTA INC COM               808655104     194400       5400               X                    0          0       5400
SCOTTS CO CL A COM                       810186106     388144       8150   X                             8150          0          0
SCOTTS CO CL A COM                       810186106    3376613      70900               X                68500          0       2400
SCRIPPS E W CO                           811054204     963626      20260               X                20260          0          0
SCUDDER INTERNATIONAL FD INC COM         811165109     451967       8819               X                 8819          0          0
SCUDDER MANAGED                          811170109      89033      10129   X                            10129          0          0
SCUDDER MANAGED                          811170109     509737      57991               X                57991          0          0
SEAGRAM LTD COM                          811850106     216613       4300   X                                0          0       4300
SEAGRAM LTD COM                          811850106     479167       9512               X                 9512          0          0
SEARS ROEBUCK & CO CAP                   812387108     498571      11188   X                             4488          0       6700
SEARS ROEBUCK & CO CAP                   812387108     343492       7708               X                 3808          0       3900
SECURITY FIRST TECHNOLOGIES              814279105     207575       4600   X                                0          0       4600
SELIGMAN COMMUNICATIONS &                816333108     282490       7949   X                             7949          0          0
SELIGMAN COMMUNICATIONS &                816333108    1391538      39154               X                37471       1434        249
SELIGMAN TAX-EXEMPT FD OHIO              816346506      22684       2879   X                             2879          0          0
SELIGMAN TAX-EXEMPT FD OHIO              816346506     562991      71446               X                71446          0          0
SENTINEL GROUP FUND INC                  817270309     236948       5255               X                 5255          0          0
SERVICE CORP INTERNATIONAL COM           817565104     460268      23910   X                            19410          0       4500
SERVICE CORP INTERNATIONAL COM           817565104      58713       3050               X                 3050          0          0
SERVICEMASTER CO COM                     81760N109    4853381     258847               X               221047          0      37800
SHEARSON LEHMAN HUTTON UNIT              820926533       3293      14378               X                14378          0          0
SHEARSON LEHMAN HUTTON UNIT              820926889        857      20903               X                20903          0          0
SHERWIN WILLIAMS CO COM                  824348106    1726106      62202   X                             4802          0      57400
SHERWIN WILLIAMS CO COM                  824348106    6189721     223053               X               178553        350      44150
SIFCO INDS VTG TR                        8265469A3    3782580     496076               X               496076          0          0
SIGMA ALDRICH CORP COM                   826552101    2197076      63798   X                            36648          0      27150
SIGMA ALDRICH CORP COM                   826552101    4518025     131193               X               127093          0       4100
SKY FINL GROUP INC                       83080P103     701551      25745               X                25745          0          0
SMITHKLINE BEECHAM CORP                  832378301      52850        800   X                              800          0          0
SMITHKLINE BEECHAM CORP                  832378301    1963194      29717               X                29717          0          0
SMUCKER J M CO CL A                      832696108      80100       3600   X                             3600          0          0
SMUCKER J M CO CL A                      832696108     948251      42618               X                36318          0       6300
SMUCKER J M CO                           832696207      68400       3600   X                             3600          0          0
SMUCKER J M CO                           832696207     767961      40419               X                34819          0       5600
SOLUTIA INC                              834376105      59740       2803   X                             2803          0          0
SOLUTIA INC                              834376105     164366       7712               X                 7712          0          0
SONAT INC COM                            835415100     198750       6000   X                             6000          0          0
SONAT INC COM                            835415100     247113       7460               X                 7460          0          0
SONOCO PRODS CO COM                      835495102     138314       4620   X                             4620          0          0
SONOCO PRODS CO COM                      835495102    1353647      45215               X                38802          0       6413
SOUTHDOWN INC COM                        841297104     997610      15527               X                14647          0        880
SOUTHERN CO COM                          842587107     384144      14496   X                             1596          0      12900
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              42335393    1904582                              1663731       1784     239067
</TABLE>
<PAGE>   24
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    22
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------

SOUTHERN CO COM                          842587107     872937      32941               X                32941          0          0
SPRINT CORP COM                          852061100    4178838      78846   X                            64046          0      14800
SPRINT CORP COM                          852061100    2336028      44076               X                42508        292       1276
SPRINT CORP                              852061506    1808211      31723   X                            24939       2184       4600
SPRINT CORP                              852061506    1298460      22780               X                22461          0        319
STANDARD PRODUCTS CO COM                 853836104      58938       2300   X                             2300          0          0
STANDARD PRODUCTS CO COM                 853836104    2027245      79112               X                77112          0       2000
STAPLES INC COM                          855030102     131548       4252   X                                0       4252          0
STAPLES INC COM                          855030102     139221       4500               X                 4500          0          0
STATE STR CORP                           857477103   12226383     143208   X                           142608          0        600
STATE STR CORP                           857477103   42911183     502620               X               491275        370      10975
STATE STREET EXCHANGE FUND               857478101   22842758      38025               X                38025          0          0
STATE STREET INVESTMENT                  857483101     948411      69890               X                69890          0          0
STEARNS & LEHMAN INC COM                 857890107      64922      36128               X                36128          0          0
STERIS CORP COM                          859152100     395541      20415   X                            14015          0       6400
STERIS CORP COM                          859152100    1937500     100000               X                95400          0       4600
STILLWATER MNG CO                        86074Q102     682500      21000   X                                0          0      21000
STRYKER CORP COM                         863667101     120250       2000   X                             2000          0          0
STRYKER CORP COM                         863667101     276575       4600               X                 3800          0        800
SUN CMMNTYS INC COM                      866674104     331038       9325   X                             9325          0          0
SUN CMMNTYS INC COM                      866674104     694274      19557               X                19557          0          0
SUN MICROSYSTEMS INC COM                 866810104    2504708      36366   X                            34366          0       2000
SUN MICROSYSTEMS INC COM                 866810104    5255714      76308               X                74658          0       1650
SUNTRUST BKS INC COM                     867914103     249977       3600   X                                0          0       3600
SUNTRUST BKS INC COM                     867914103    1262938      18188               X                18188          0          0
SYSCO CORP COM                           871829107    1832545      61468   X                            60468          0       1000
SYSCO CORP COM                           871829107   10869253     364581               X               359781       2000       2800
TECO ENERGY INC COM                      872375100      45500       2000   X                             2000          0          0
TECO ENERGY INC COM                      872375100     329193      14470               X                12470          0       2000
TJX COS INC NEW COM                      872540109     211538       6350   X                             6350          0          0
TJX COS INC NEW COM                      872540109     104936       3150               X                 3150          0          0
T R W INC COM                            872649108    1857683      33853   X                            33853          0          0
T R W INC COM                            872649108   11893553     216739               X               200847          0      15892
TANDY CORP COM                           875382103    1031751      21110   X                            21110          0          0
TANDY CORP COM                           875382103      97750       2000               X                 2000          0          0
TELEFLEX INC COM                         879369106     243253       5600               X                 5600          0          0
TELEFONOS DE MEXICO S A SPONSORED        879403780     161626       2000   X                             2000          0          0
TELEFONOS DE MEXICO S A SPONSORED        879403780      60610        750               X                  750          0          0
TELESIS MEDICAL MANAGEMENT INC           8795199A6      75000      20000               X                20000          0          0
TELLABS INC COM                          879664100     135126       2000   X                             2000          0          0
TELLABS INC COM                          879664100     729680      10800               X                10800          0          0
TELXON CORP COM                          879700102     137827      17363               X                17363          0          0
TEMPLETON FDS INC                        880196100     297200      16143               X                16143          0          0
TEMPLETON FDS INC                        880196209    1843866     179016   X                           167662          0      11354
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             137513988    2381153                              2264389       9098     107666
</TABLE>
<PAGE>   25
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    23
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------

TEMPLETON FDS INC                        880196209    4832439     469169               X               458334          0      10834
TEMPLETON INSTL FDS INC                  880210505   31808631    1614651   X                          1593696          0      20955
TEMPLETON INSTL FDS INC                  880210505    3645209     185036               X               172180       3942       8914
TERADYNE INC COM                         880770102    2575825      35900   X                              200          0      35700
TEXACO INC COM                           881694103    3688483      59134   X                            44114          0      15020
TEXACO INC COM                           881694103    1685872      27028               X                18916          0       8112
TEXAS INSTRS INC COM                     882508104    2445840      16985   X                             9885          0       7100
TEXAS INSTRS INC COM                     882508104    3031200      21050               X                19450          0       1600
TEXAS UTILITIES CO COM (HLDG)            882848104     896926      21645   X                            16545          0       5100
TEXAS UTILITIES CO COM (HLDG)            882848104     455031      10981               X                 8710          0       2271
TEXTRON INC COM                          883203101     452392       5496   X                             2696          0       2800
TEXTRON INC COM                          883203101     335837       4080               X                 2780          0       1300
THERMO ELECTRON CORP COM                 883556102     247116      12317               X                12317          0          0
THERMO TECH TECHNOLOGIES INC             88360H101       4140      60000               X                60000          0          0
THORNBURG INTERMEDIATE                   885215202     937411      70909               X                70909          0          0
THORNBURG INVT TR                        885215640     200007      18383               X                18383          0          0
TIDEWATER INC COM                        886423102     127185       4170   X                             4170          0          0
TIDEWATER INC COM                        886423102     135725       4450               X                 2450          0       2000
TIME WARNER INC COM                      887315109    6345392      87372   X                            66222          0      21150
TIME WARNER INC COM                      887315109    9182560     126438               X               125138          0       1300
TIMES MIRROR CO NEW                      887364107     204946       3459               X                 2525          0        934
TOOTSIE ROLL IND COM                     890516107     310275       8033               X                 8033          0          0
TOP ROC PRECAST CORP                     890790108          0      88332               X                88332          0          0
TORCHMARK CORP COM                       891027104     346369      10150   X                            10150          0          0
TORCHMARK CORP COM                       891027104      40950       1200               X                 1200          0          0
TRANSAMERICA CORP COM                    893485102      75000       1000   X                             1000          0          0
TRANSAMERICA CORP COM                    893485102     440550       5874               X                 5874          0          0
TRANSWITCH CORP                          894065101     596925      12600   X                                0          0      12600
TREX INC                                 89531P105     527800      20800   X                                0          0      20800
TRI-CONTINENTAL CORP COM                 895436103     183090       6065   X                             6065          0          0
TRI-CONTINENTAL CORP COM                 895436103     104239       3453               X                 3453          0          0
TRICON GLOBAL RESTAURANTS                895953107    1660555      30680   X                            30680          0          0
TRICON GLOBAL RESTAURANTS                895953107    5087371      93993               X                88165        800       5028
TRIBUNE CO NEW COM                       896047107     121975       1400   X                             1400          0          0
TRIBUNE CO NEW COM                       896047107     266603       3060               X                 1260          0       1800
TYCO INTL LTD NEW                        902124106   11059315     116721   X                           111177          0       5544
TYCO INTL LTD NEW                        902124106   24351358     257006               X               234868       1309      20829
USX-MARATHON GROUP COM NEW               902905827    1314731      40375   X                              275          0      40100
USX-MARATHON GROUP COM NEW               902905827     256141       7866               X                 7166        200        500
UST INC COM                              902911106     410382      14000               X                14000          0          0
US BANCORP NEW COM                       902973106     649244      19453   X                            19453          0          0
US BANCORP NEW COM                       902973106    1471838      44100               X                44100          0          0
UNCOMMON VALUES UNIT TR                  904310141      16517      16517   X                            16517          0          0
UNCOMMON VALUES UNIT TR                  904310166      14081      10058               X                10058          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             122543476    3671389                              3412846       6251     252291
</TABLE>
<PAGE>   26
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    24
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>       <C>        <C>
            COMMON STOCK
            ---------------

UNILEVER N V                             904784709     500596       7177   X                             1571       5606          0
UNILEVER N V                             904784709    1204373      17267               X                17267          0          0
UNION CARBIDE CORP CAP                   905581104     253500       5200   X                                0          0       5200
UNION CARBIDE CORP CAP                   905581104     182130       3736               X                 3736          0          0
UNION PAC CORP CO COM                    907818108     337049       5780   X                             1480          0       4300
UNION PAC CORP CO COM                    907818108    1083689      18584               X                12124          0       6460
UNION PAC RES GROUP INC COM              907834105      26639       1633   X                             1633          0          0
UNION PAC RES GROUP INC COM              907834105     278414      17067               X                14645          0       2422
UNITED DOMINION RLTY TR INC COM          910197102     235000      20000               X                20000          0          0
UNITED ACCUMULATIVE FD INVMT PROG        910450105     120759      13285               X                13285          0          0
UNITED HEALTH CARE CORP COM              910581107     221066       3530   X                              330          0       3200
UNITED HEALTH CARE CORP COM              910581107      25050        400               X                  400          0          0
U S WEST INC NEW                         91273H101    7990176     136003   X                           126932          0       9071
U S WEST INC NEW                         91273H101   12556437     213727               X               202310       1733       9684
UNITED TECHNOLOGIES CORP COM             913017109    1941696      26968   X                            26968          0          0
UNITED TECHNOLOGIES CORP COM             913017109    2099088      29154               X                28354          0        800
UNOCAL CORP COM                          915289102     910186      22970               X                19370          0       3600
VAN KAMPEN ADVANTAGE MUN INCOME TR       92112K107     207715      16700               X                16700          0          0
VAN KAMPEN SER FD INC                    921133609     791433      34069               X                34069          0          0
VAN KAMPEN SER FD INC                    921133856     108917      11381               X                11381          0          0
VANGUARD OHIO TAX FREE MONEY MARKET      921929105      52171      52171               X                52171          0          0
VANGUARD OHIO TAX FREE FD                921929204    1153183     100103               X               100103          0          0
VANGUARD                                 921935102       9154        295   X                              295          0          0
VANGUARD                                 921935102     325977      10505               X                10505          0          0
VANGUARD/WELLESLEY INCOME FD INC         921938106     284664      13352   X                            13352          0          0
VANGUARD WINDSOR FUND INC                922018106     759991      41827   X                            41827          0          0
VANGUARD WINDSOR FUND INC                922018106    1071123      58950               X                58950          0          0
VANGUARD                                 922018205     139721       4255   X                             4255          0          0
VANGUARD                                 922018205      74062       2255               X                 2255          0          0
VANGUARD FIXED INCOME SECS FD            922031208      77173      10168   X                            10168          0          0
VANGUARD FIXED INCOME SECS FD            922031208      37048       4881               X                 4881          0          0
VANGUARD FIXED INCOME SECS FD            922031307     102541      10183   X                            10183          0          0
VANGUARD INTL EQUITY INDEX FD            922042106     173767      18311               X                18311          0          0
VANGUARD MONEY MKT TR                    922906201      20513      20513               X                20513          0          0
VANGUARD MUN BD FD INC                   922907209     158958      12218               X                11667          0        551
VANGUARD MUN BD FD INC                   922907308     125172      11569               X                11569          0          0
VANGUARD                                 922908108     515092       4061   X                             4061          0          0
VANGUARD                                 922908108    5780414      45576               X                41205          0       4371
VANGUARD                                 922908504     255440       7321   X                             7321          0          0
VIACOM INC CL B COM                      925524308     633600      14400   X                             4000          0      10400
VIACOM INC CL B COM                      925524308     448888      10202               X                10202          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107    3220655      16349   X                            13489       2808         52
VODAFONE GROUP PLC SPONSORED ADR         92857T107    8186040      41554               X                41096        250        208
VORNADO RLTY TR SH BEN INT               929042109     529695      15000               X                15000          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              55208955    1130650                              1059934      10397      60319
</TABLE>
<PAGE>   27
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    25
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            COMMON STOCK
            ---------------

VULCAN MATERIALS CO COM                  929160109    9739938     201864               X               201864          0          0
WACHOVIA CORP COM                        929771103   16426043     191976   X                           188396          0       3580
WACHOVIA CORP COM                        929771103   61577041     719669               X               709503        475       9691
WAL MART STORES INC                      931142103   16759879     347355   X                           329375          0      17980
WAL MART STORES INC                      931142103   35482423     735387               X               698807          0      36580
WALGREEN CO COM                          931422109    5477116     186455   X                           184155          0       2300
WALGREEN CO COM                          931422109    7308559     248802               X               247802          0       1000
WALLACE COMPUTER SVCS INC                932270101     252400      10096               X                10096          0          0
WARNER LAMBERT CO COM                    934488107    1228490      17772   X                            17772          0          0
WARNER LAMBERT CO COM                    934488107    8586984     124224               X               124224          0          0
WASHINGTON MUTUAL INC                    939322103     188484       5300   X                                0          0       5300
WASHINGTON MUTUAL INC                    939322103     167680       4715               X                 1715          0       3000
WASTE MANAGEMENT INC NEW COM             94106L109     271169       5045   X                             5045          0          0
WASTE MANAGEMENT INC NEW COM             94106L109    1397178      25994               X                25469          0        525
WASTE-QUIP INC CL A COM                  9410779A9     283488      22679               X                    0          0      22679
WELLS FARGO & CO NEW                     949746101   20375206     476613   X                           458810      15953       1850
WELLS FARGO & CO NEW                     949746101   44661780    1044720               X               996420          0      48300
WERNER ENTERPRISES INC                   950755108     256761      12374   X                            12374          0          0
WESCO INTL INC                           95082P105     416150      20300   X                                0          0      20300
WESTVACO CORP COM                        961548104       7511        259   X                              259          0          0
WESTVACO CORP COM                        961548104     546128      18832               X                18832          0          0
WEYERHAEUSER CO COM                      962166104     469769       6833   X                             2333          0       4500
WEYERHAEUSER CO COM                      962166104      80231       1167               X                 1167          0          0
WHIRLPOOL CORP COM                       963320106   14350820     193930   X                           190930          0       3000
WHIRLPOOL CORP COM                       963320106    7621260     102990               X               100990          0       2000
WILLAMETTE INDS INC COM                  969133107    2728311      59230   X                            41000          0      18230
WILLAMETTE INDS INC COM                  969133107      73701       1600               X                 1600          0          0
WILLIAMS COS INC DEL COM                 969457100      61716       1450   X                             1450          0          0
WILLIAMS COS INC DEL COM                 969457100     293685       6900               X                 6420          0        480
WINN-DIXIE STORES INC COM                974280109     101653       2752   X                             2752          0          0
WINN-DIXIE STORES INC COM                974280109     128692       3484               X                 3484          0          0
WISCONSIN ENERGY CORP COM                976657106    1278363      51006   X                            51006          0          0
WISCONSIN ENERGY CORP COM                976657106    2128425      84923               X                84473          0        450
WOLVERINE TUBE INC COM                   978093102     111806       4450   X                             4450          0          0
WOLVERINE TUBE INC COM                   978093102     211678       8425               X                 7825          0        600
WRIGLEY WILLIAM JR CO COM                982526105     254899       2858               X                 2858          0          0
XILINX INC COM                           983919101     643490      11240   X                              520          0      10720
XILINX INC COM                           983919101     183200       3200               X                 2800          0        400
XEROX CORP COM                           984121103    2128631      36040   X                            29040          0       7000
XEROX CORP COM                           984121103    4381943      74191               X                69991          0       4200
YORK INTL CORP COM NEW                   986670107     528441      12343   X                            12343          0          0
YORK INTL CORP COM NEW                   986670107    1610497      37617               X                34892        150       2575
ZIONS BANCORP COM                        989701107     254000       4000               X                 4000          0          0
DORATY CHEVROLET INC                     990732687     814685        236   X                              236          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             271850304    5131296                              4887478      16578     227240
                                                    ---------  ---------                            ---------  ---------  ---------
</TABLE>
<PAGE>   28
<TABLE>
<S>                                                 <C>        <C>                                  <C>           <C>      <C>

SUBTOTALS FOR COMMON STOCK                         8305685745  341443360                            321741723     420321   19281310

</TABLE>
<PAGE>   29
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    26
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
B. PREFERRED STOCK                                                             INSTR OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            PREFERRED STOCK
            -----------------

APPLIED TECHNOLOGY VENTURES              0382839B5     277920        579               X                  579          0          0
GERMX L.L.C.                             3741599P8     120000     120000               X               120000          0          0
HOMEPLACE INC                            437399900     300000       4000               X                    0          0       4000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                697920     124579                               120579          0       4000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                          697920     124579                               120579          0       4000
</TABLE>
<PAGE>   30
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    27
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
C. OTHER                                                                       INSTR OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            OTHER
            --------------------

ALLWASTE INC                             020047AA4       1875      25000               X                    0          0      25000
CII FINL INC SDCV 7.5% DUE 9/15/2001     12551LAB7      74900      80000               X                80000          0          0
MERIDIAN DIAGNOSTICS INC SUB DEB         589602AB7      15000      15000               X                15000          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                 91775     120000                                95000          0      25000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                     91775     120000                                95000          0      25000
</TABLE>
<PAGE>   31
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 001             PAGE    28
**SUMMARY PAGE FOR: 01-NATIONAL CITY BANK               **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                <C>         <C>                                 <C>          <C>       <C>
A. COMMON STOCK                                    8305685745  341443360                            321741723     420321   19281310
B. PREFERRED STOCK                                     697920     124579                               120579          0       4000
C. OTHER                                                91775     120000                                95000          0      25000
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                   8306475440  341687939                            321957302     420321   19310310
</TABLE>
<PAGE>   32
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    29

<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK

PARTNERRE LTD                            G6852T105     216775       5800   X                             5800          0          0
PARTNERRE LTD                            G6852T105      40178       1075               X                    0       1075          0
AFLAC INC COM                            001055102      81388       1700   X                             1700          0          0
AFLAC INC COM                            001055102     210650       4400               X                 2200       2200          0
AT&T CORP COM                            001957109    4095781      73384   X                            71584        900        900
AT&T CORP COM                            001957109    2732828      48964               X                32962      16002          0
ABBOTT LABS                              002824100    4926364     108570   X                           108070        250        250
ABBOTT LABS                              002824100    3263733      71928               X                64928       7000          0
ADVANCED DRAINAGE SYSTEMS INC            0075999A3    1578628      14740               X                    0          0      14740
AGRICULTURAL LANDS                       008990103     196500        131   X                              131          0          0
AGRICULTURAL LANDS                       008990103     540000        360               X                    0          0        360
AIR PRODS & CHEMS INC COM                009158106     215338       5350   X                             5350          0          0
AIR PRODS & CHEMS INC COM                009158106      76475       1900               X                 1900          0          0
ALBERTSONS INC COM                       013104104     529243      10264   X                            10264          0          0
ALBERTSONS INC COM                       013104104     118595       2300               X                 1000       1300          0
ALCOA INC                                013817101     241313       3900   X                             3900          0          0
ALLMERICA FINL CORP COM                  019754100     415231       6828   X                             6828          0          0
ALLSTATE CORP COM                        020002101     455828      12706   X                            12306          0        400
ALLSTATE CORP COM                        020002101      87607       2442               X                 1756        686          0
ALLTEL CORP COM                          020039103     278636       3897   X                             3897          0          0
ALLTEL CORP COM                          020039103     204633       2862               X                    0       2862          0
ALTERA CORP COM                          021441100     224559       6100   X                             5850        250          0
ALTERA CORP COM                          021441100      34972        950               X                  300        650          0
AMERICA ONLINE INC DEL COM               02364J104     135300       1230   X                             1030          0        200
AMERICA ONLINE INC DEL COM               02364J104     412500       3750               X                  700       3050          0
AMERICAN ELECTRIC POWER CO INC           025537101     546467      14548   X                            14548          0          0
AMERICAN ELECTRIC POWER CO INC           025537101    1226394      32649               X                16222       5827      10600
AMERICAN EXPRESS CO COM                  025816109    1381407      10616   X                            10616          0          0
AMERICAN EXPRESS CO COM                  025816109     778668       5984               X                 5302        682          0
AMERICAN GENERAL CORP                    026351106      67838        900   X                              900          0          0
AMERICAN GENERAL CORP                    026351106     373559       4956               X                 3000       1956          0
AMERICAN HOME PRODS CORP COM             026609107    1563469      27250   X                            27250          0          0
AMERICAN HOME PRODS CORP COM             026609107    1845180      32160               X                22160      10000          0
AMERICAN INTL GROUP INC COM              026874107    3916971      33407   X                            32262         50       1095
AMERICAN INTL GROUP INC COM              026874107    2140751      18258               X                 9653       8605          0
AMERITECH CORP NEW COM                   030954101    5210415      70890   X                            70740        150          0
AMERITECH CORP NEW COM                   030954101    2197283      29895               X                23245       6650          0
AMGEN INC                                031162100     614838      10100   X                             9800          0        300
AMGEN INC                                031162100     301331       4950               X                 1050       3900          0
ANADARKO PETE CORP COM                   032511107     559558      15200               X                    0      15200          0
ANHEUSER BUSCH                           035229103     356109       5020   X                             5020          0          0
ANHEUSER BUSCH                           035229103    1746494      24620               X                24620          0          0
APPLIED MATLS INC                        038222105      11081        150   X                              150          0          0
APPLIED MATLS INC                        038222105     561450       7600               X                    0       7600          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              46712318     744684                               618994      96845      28845
</TABLE>
<PAGE>   33
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    30


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ARNOLD WHOLESALE CORP COM                041992108     874350        450   X                              450          0          0
ARNOLD WHOLESALE CORP COM                041992108    5809570       2990               X                 2337        653          0
ARMADA TAX MANAGED EQUITY FD #233        042086330    3561861     276972   X                           276972          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1130226     115565   X                           115565          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363     301042      30781               X                30781          0          0
ARMADA TREASURY MONEY MKT FD             042086504    1446050    1446050   X                          1446050          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579    3977887     357724   X                           356749          0        974
ARMADA SMALL CAP GROWTH FUND #519        042086579     135796      12212               X                 8118          0       4094
ARMADA CORE EQUITY FUND #681             042086595     483953      32944   X                            32185        759          0
ARMADA CORE EQUITY FUND #681             042086595     224974      15315               X                 9428       2070       3817
ARMADA INTERNATIONAL EQUITY FD           042086629    7821014     673065   X                           671639          0       1426
ARMADA INTERNATIONAL EQUITY FD           042086629     171017      14717               X                12838          0       1880
ARMADA EQUITY INDEX FUND #42             042086645     290101      24297   X                            24297          0          0
ARMADA GNMA INSTL CL #666                042086660     605830      60644   X                            60644          0          0
ARMADA GNMA INSTL CL #666                042086660     288264      28855               X                24558       2413       1884
ARMADA BOND FD INSTL CL #630             042086686   22146493    2246095   X                          2198875      47220          0
ARMADA BOND FD INSTL CL #630             042086686    4389019     445134               X               356959      86288       1887
ARMADA OHIO TAX EXEMPT FUND #612         042086751   22260239    2057323   X                          2037213      20110          0
ARMADA OHIO TAX EXEMPT FUND #612         042086751    6944874     641855               X               513279     114008      14568
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1318055     133137   X                           131667          0       1470
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     159213      16082               X                16082          0          0
ARMADA INTERMEDIATE BD FUND              042086793   22216444    2148592   X                          2143850          0       4743
ARMADA INTERMEDIATE BD FUND              042086793    1011880      97861               X                94186          0       3675
ARMADA ENHANCED INCOME FUND              042086827     225960      22755   X                            22755          0          0
ARMADA SMALL CAP VALUE FUND #616         042086843    6791555     486501   X                           485739          0        762
ARMADA SMALL CAP VALUE FUND #616         042086843    1777858     127354               X                74159      51759       1435
ARMADA EQUITY INCOME FUND #614           042086868   10564260     551083   X                           549483        700        901
ARMADA EQUITY INCOME FUND #614           042086868    1073301      55989               X                48138       5007       2843
ARMADA EQUITY GROWTH FUND                042086884   52300935    1983350   X                          1967830      13354       2165
ARMADA EQUITY GROWTH FUND                042086884    8191828     310650               X               225297      80650       4703
ASSOCIATES FIRST CAP CORP COM            046008108     430748       9762   X                             9554        208          0
ASSOCIATES FIRST CAP CORP COM            046008108     283150       6417               X                 2887       3530          0
ATLANTIC RICHFIELD CO COM                048825103     160441       1920   X                             1920          0          0
ATLANTIC RICHFIELD CO COM                048825103     300493       3596               X                 1996       1600          0
AUTOMATIC DATA PROCESSING INC COM        053015103    4802820     109155   X                           106355        700       2100
AUTOMATIC DATA PROCESSING INC COM        053015103    2655400      60350               X                58300       2050          0
BP AMOCO PLC-SPONS ADR                   055622104    4006580      36927   X                            36463        264        200
BP AMOCO PLC-SPONS ADR                   055622104    4160107      38342               X                35589       2753          0
BANC SVCS CORP COM                       059440107     225600       4800   X                             4800          0          0
BANK OF AMER CORP COM                    060505104    3356416      45782   X                            45182        600          0
BANK OF AMER CORP COM                    060505104     246112       3357               X                 3257        100          0
BANK NEW YORK INC COM                    064057102      25682        700   X                              700          0          0
BANK NEW YORK INC COM                    064057102    1069088      29140               X                29140          0          0
BANK ONE CORP COM                        06423A103    8951068     150279   X                           149929        350          0
                                                    ---------  ---------                           ----------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             219167554   14916869                             14424195     437146      55527
</TABLE>
<PAGE>   34
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    31


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
BANK ONE CORP COM                        06423A103    5896975      99004               X                89521       9483          0
BAXTER INTL INC COM                      071813109     864513      14260   X                            14260          0          0
BAXTER INTL INC COM                      071813109     205216       3385               X                 3085        300          0
BELL ATLANTIC CORP COM                   077853109    1886330      28854   X                            28854          0          0
BELL ATLANTIC CORP COM                   077853109     325960       4986               X                 4986          0          0
BELLSOUTH CORP COM                       079860102    2215292      48028   X                            47228        800          0
BELLSOUTH CORP COM                       079860102    1021577      22148               X                17148       5000          0
BEST FOODS                               08658U101     450450       9100   X                             9100          0          0
BEST FOODS                               08658U101     475200       9600               X                 7200       2400          0
BLOCK H & R INC                          093671105     590000      11800   X                            11525        275          0
BLOCK H & R INC                          093671105      25000        500               X                  200        300          0
BOB EVANS FARMS INC COM                  096761101     212901      10712   X                            10712          0          0
BOB EVANS FARMS INC COM                  096761101     672669      33845               X                30388       3457          0
BOEING CO                                097023105    1168552      26558   X                            25558        800        200
BOEING CO                                097023105     217800       4950               X                 4650        300          0
BORDERS GROUP INC COM                    099709107     245102      15500   X                            15100        400          0
BRISTOL MYERS SQUIBB CO COM              110122108   13398260     190214   X                           189414        600        200
BRISTOL MYERS SQUIBB CO COM              110122108    6206997      88120               X                62620      25500          0
BURLINGTON RES INC COM                   122014103      19463        450   X                              450          0          0
BURLINGTON RES INC COM                   122014103     371950       8600               X                    0       8600          0
CBS CORP                                 12490K107     262598       6028   X                             5628        400          0
CBS CORP                                 12490K107    1197983      27500               X                27500          0          0
CIGNA CORP COM                           125509109     213600       2400   X                             2400          0          0
CIGNA CORP COM                           125509109     287025       3225               X                 3225          0          0
CVS CORPORATION (DEL)                    126650100    1328635      26180   X                            23680       2100        400
CVS CORPORATION (DEL)                    126650100     903350      17800               X                 5100      12700          0
CALVERT TAX FREE RESVS                   131620205     222358      20859               X                20859          0          0
CANTWELL MACHINERY CO COM                138689310     655034       2206               X                    0       2206          0
CARDINAL HEALTH INC COM                  14149Y108     432459       6744   X                             6744          0          0
CARDINAL HEALTH INC COM                  14149Y108    5491665      85640               X                23147       6225      56268
CARNIVAL CORP COM                        143658102     128525       2650   X                             2100          0        550
CARNIVAL CORP COM                        143658102      92150       1900               X                 1900          0          0
CHASE MANHATTAN CORP (NEW) COM           16161A108    1044228      12072   X                            11872          0        200
CHASE MANHATTAN CORP (NEW) COM           16161A108      95496       1104               X                 1104          0          0
CHEVRON CORP COM                         166751107    3120918      32830   X                            32630          0        200
CHEVRON CORP COM                         166751107    2109923      22195               X                13931       8264          0
CHUBB CORP COM                           171232101    1285750      18500   X                            18200        100        200
CHUBB CORP COM                           171232101      69500       1000               X                  700        300          0
CINCINNATI FINL CORP COM                 172062101     441290      11748   X                            11666         82          0
CINCINNATI FINL CORP COM                 172062101     136279       3628               X                 2683        945          0
CISCO SYS INC COM                        17275R102   10140415     157367   X                           155167       1050       1150
CISCO SYS INC COM                        17275R102    2486147      38582               X                25042      13540          0
CINTAS CORP COM                          172908105    3691645      54945   X                            54170        575        200
CINTAS CORP COM                          172908105     853288      12700               X                11500       1200          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              73160468    1200417                              1032947     107902      59568
</TABLE>
<PAGE>   35
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    32


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
CITIGROUP INC COM                        172967101     190903       4019   X                             4019          0          0
CITIGROUP INC COM                        172967101     859323      18091               X                 3241      14850          0
CITIZENS UTILS CO DEL CL B               177342201     306327      27535   X                            27535          0          0
CLOROX CO COM                            189054109     300679       2815   X                             2765         50          0
CLOROX CO COM                            189054109     165560       1550               X                 1400        150          0
COCA-COLA CO COM                         191216100    6916201     111552   X                           110752        700        100
COCA-COLA CO COM                         191216100    1174652      18946               X                11508       7438          0
COLGATE-PALMOLIVE CO COM                 194162103     594940       6040   X                             6040          0          0
COLGATE-PALMOLIVE CO COM                 194162103     718656       7296               X                 3040       4256          0
COMCAST CORP CL A SPL                    200300200     287901       7490   X                             7490          0          0
COMCAST CORP CL A SPL                    200300200     288285       7500               X                 2000       5500          0
COMPAQ COMPUTER CORP COM                 204493100    1230118      51930   X                            50430       1200        300
COMPAQ COMPUTER CORP COM                 204493100     317609      13408               X                10800       2608          0
CONAGRA INC COM                          205887102    1139550      42800   X                            42800          0          0
CONCORD EFS INC COM                      206197105     423130      10000               X                    0      10000          0
CONSOLIDATED NAT GAS CO COM              209615103     192213       3164   X                             3164          0          0
CONSOLIDATED NAT GAS CO COM              209615103     255150       4200               X                 1000       3200          0
THE CROWN GROUP INC.                     228360103    1594880      89000               X                    0          0      89000
DCB FINL CORP                            233075100     272160      17280   X                            17280          0          0
DANAHER CORPORATION COM                  235851102      11625        200   X                              200          0          0
DANAHER CORPORATION COM                  235851102     383625       6600               X                    0       6600          0
DELL COMPUTER CORP COM                   247025109     849890      22970   X                            22470          0        500
DELL COMPUTER CORP COM                   247025109      72150       1950               X                 1500        450          0
DELPHI AUTOMOTIVE SYS CORP               247126105     349336      18883   X                            18593        290          0
DELPHI AUTOMOTIVE SYS CORP               247126105      47693       2578               X                 1562       1016          0
DIEBOLD INC COM                          253651103     204844       7125   X                             7125          0          0
DIEBOLD INC COM                          253651103      12219        425               X                  225        200          0
DILLARD'S INC                            254067101     277488       7900   X                             7900          0          0
DISNEY WALT CO COM                       254687106    1938292      62905   X                            59105       2500       1300
DISNEY WALT CO COM                       254687106     417824      13560               X                11580       1980          0
DISPATCH PRINTING CO CAP VTC             254991102   17226000        957   X                              957          0          0
DISPATCH PRINTING CO CAP VTC             254991102   41274000       2293               X                  940        300       1054
DOMINION RES INC VA                      257470104     575803      13294   X                            13294          0          0
DOMINION RES INC VA                      257470104     214356       4949               X                 3599       1350          0
DOW CHEM CO COM                          260543103    1186281       9350   X                             9200          0        150
DOW CHEM CO COM                          260543103     582864       4594               X                 4094        500          0
DOW JONES & CO INC COM                   260561105     451354       8506   X                             8506          0          0
DOW JONES & CO INC COM                   260561105     111432       2100               X                 2100          0          0
DU PONT E I DE NEMOURS & CO COM          263534109    4404207      64471   X                            64330         66         75
DU PONT E I DE NEMOURS & CO COM          263534109    1974861      28909               X                19299       9610          0
DUKE ENERGY CORP COM                     264399106     849777      15610   X                            15610          0          0
DUKE ENERGY CORP COM                     264399106     130651       2400               X                  400       2000          0
E M C CORP MASS COM                      268648102     533500       9700   X                             8700          0       1000
E M C CORP MASS COM                      268648102     588500      10700               X                 1800       8900          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              91896809     767545                               588353      85714      93479
</TABLE>
<PAGE>   36
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    33


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
EASTMAN KODAK CO COM                     277461109     115785       1709   X                             1609        100          0
EASTMAN KODAK CO COM                     277461109     132113       1950               X                 1950          0          0
EATON CORP COM                           278058102     897000       9750   X                             9750          0          0
EATON CORP COM                           278058102     423200       4600               X                 4600          0          0
EATON VANCE INVT TR OHIO LTD             27826H552     258799      25880               X                25880          0          0
EATON VANCE                              27826H867     124746      12703               X                12703          0          0
EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801      80809       7581   X                             7581          0          0
EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801      95502       8959               X                 1926       7033          0
EDISON INTL COM                          281020107     478558      17890   X                            17890          0          0
EDISON INTL COM                          281020107     181900       6800               X                 5200       1600          0
EDWARDS INDS INC COM                     2817679A3    1007286       1654               X                 1654          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104     673498      11894   X                            11894          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104     215402       3804               X                 3404        400          0
EMERSON ELEC CO COM                      291011104    5470382      86917   X                            84917       1000       1000
EMERSON ELEC CO COM                      291011104    2427141      38564               X                33200       5364          0
ENRON CORP COM                           293561106     382181       4675   X                             4675          0          0
ENRON CORP COM                           293561106     286125       3500               X                 3500          0          0
ERICSSON L M TEL CO                      294821400    1558758      47324   X                            47324          0          0
ERICSSON L M TEL CO                      294821400     741171      22502               X                 1500      21002          0
EXXON CORP COM                           302290101   14345019     185997   X                           183815       1732        450
EXXON CORP COM                           302290101    6265172      81234               X                69834      11400          0
FPL GROUP INC COM                        302571104     444265       8133   X                             8133          0          0
FPL GROUP INC COM                        302571104     321195       5880               X                 3100       2780          0
FDX CORP                                 31304N107     423150       7800               X                    0       7800          0
FREDDIE MAC COM                          313400301     457040       7880   X                             7080        800          0
FREDDIE MAC COM                          313400301     122960       2120               X                 1320        800          0
FANNIE MAE COM                           313586109    4858035      71180   X                            70560        500        120
FANNIE MAE COM                           313586109     841523      12330               X                 9670       2660          0
FEDERATED DEPT STORES INC DEL NEW        31410H101     243515       4600   X                             4600          0          0
FIDELITY SPARTAN MARKET INDEX FD         315912204    2554351      26947   X                            26947          0          0
FIDELITY CONTRAFUND INC #22              316071109    2674783      42572   X                            42572          0          0
FIDELITY MAGELLAN FUND INC               316184100     217105       1673   X                             1673          0          0
FIDELITY                                 316389204    2609530      53540   X                            53540          0          0
FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     112900      10000   X                            10000          0          0
FIFTH THIRD BANCORP                      316773100   34763283     522261   X                           522261          0          0
FIFTH THIRD BANCORP                      316773100   14737664     221409               X                 8000          0     213409
FIRST DATA CORP COM                      319963104     254478       5200   X                             5200          0          0
FIRST DATA CORP COM                      319963104      12235        250               X                  250          0          0
FIRST UNION CORP COM                     337358105     273702       5808   X                             5808          0          0
FIRST UNION CORP COM                     337358105     406972       8636               X                 8636          0          0
FIRSTAR CORP NEW WIS                     33763V109    2025072      72324   X                            72324          0          0
FIRSTAR CORP NEW WIS                     33763V109      68600       2450               X                 2450          0          0
FORD MOTOR CO DEL COM                    345370100    2476612      43882   X                            41782       2100          0
FORD MOTOR CO DEL COM                    345370100     947933      16796               X                10056       6740          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             108007450    1739558                              1450768      73811     214979
</TABLE>
<PAGE>   37
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    34

<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
FORTUNE BRANDS INC                       349631101     134469       3250   X                             3250          0          0
FORTUNE BRANDS INC                       349631101     273075       6600               X                 6600          0          0
FRANKLIN CUSTODIAN FDS INC               353496300      39533      16967   X                            16967          0          0
FRANKLIN CUSTODIAN FDS INC               353496300      15078       6471               X                 6471          0          0
FRANKLIN INCOME FUND                     353496805      30527      13046   X                            13046          0          0
FRANKLIN TAX FREE TR                     354723504     137248      11333   X                            11333          0          0
FRANKLIN TAX FREE TR                     354723504     132548      10945               X                 7141       3804          0
GTE CORP COM                             362320103    4392057      58173   X                            57191        282        700
GTE CORP COM                             362320103    1659037      21974               X                18264       3710          0
GANNETT CO INC COM                       364730101    1131008      15846   X                            15730        116          0
GANNETT CO INC COM                       364730101    5015950      70276               X                70276          0          0
GAP INC COM                              364760108     196463       3900   X                             3900          0          0
GAP INC COM                              364760108      15113        300               X                  300          0          0
GENERAL ELEC CO COM                      369604103   27553016     243832   X                           240641       2466        725
GENERAL ELEC CO COM                      369604103    7300252      64604               X                44140      20464          0
GENERAL MILLS INC COM                    370334104     743469       9250   X                             9250          0          0
GENERAL MILLS INC COM                    370334104     198205       2466               X                 1000       1466          0
GENERAL MTRS CORP COM                    370442105    1016334      15399   X                            15199        200          0
GENERAL MTRS CORP COM                    370442105     614592       9312               X                 7857       1455          0
GEORGIA PACIFIC CORP COM                 373298108     650743      13736   X                            13736          0          0
GEORGIA PACIFIC CORP COM                 373298108     521125      11000               X                10000       1000          0
GILLETTE CO COM                          375766102    2830722      69042   X                            67200       1642        200
GILLETTE CO COM                          375766102     685766      16726               X                11758       4968          0
GOLDMAN SACHS GROUP INC                  38141G104     303450       4200               X                    0       4200          0
GUIDANT CORP COM                         401698105     153375       3000   X                             3000          0          0
GUIDANT CORP COM                         401698105     506138       9900               X                    0       9900          0
HIE INC                                  40419W100     149264      62848   X                            62848          0          0
HALLIBURTON CO COM                       406216101     710425      15700   X                            14900        600        200
HALLIBURTON CO COM                       406216101     133488       2950               X                 2150        800          0
HANSEN-DAYTON INC COM                    411340904    8667996        722               X                    0        722          0
HARLEY DAVIDSON INC COM                  412822108    2839734      52225   X                            51325        500        400
HARLEY DAVIDSON INC COM                  412822108     277313       5100               X                 3400       1700          0
HEINZ H J CO COM                         423074103     393481       7850   X                             7850          0          0
HEINZ H J CO COM                         423074103      37594        750               X                  375        375          0
HEWLETT PACKARD CO COM                   428236103    3085350      30700   X                            29900          0        800
HEWLETT PACKARD CO COM                   428236103    1239969      12338               X                12233        105          0
HILTON HOTELS CORP COM                   432848109     212820      15000   X                            15000          0          0
HILTON HOTELS CORP COM                   432848109      21282       1500               X                    0       1500          0
HOME DEPOT INC COM                       437076102    7536604     116959   X                           113059       3200        700
HOME DEPOT INC COM                       437076102    1608115      24956               X                17956       7000          0
HUNTINGTON BANCSHARES INC COM            446150104    5875730     167878   X                           167878          0          0
HUNTINGTON BANCSHARES INC COM            446150104    1839285      52551               X                35043      17508          0
IDS HIGH YIELD TAX EXEMPT FD INC         449440106     204271      45293   X                            45293          0          0
ILLINOIS TOOL WORKS INC COM              452308109     750056       9175   X                             9075          0        100
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              91832070    1336043                              1242535      89683       3825
</TABLE>
<PAGE>   38
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    35


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ILLINOIS TOOL WORKS INC COM              452308109     138975       1700               X                 1300        400          0
INTEL CORP COM                           458140100    9819761     165038   X                           160358       4480        200
INTEL CORP COM                           458140100    1916495      32210               X                27772       4438          0
INTERNATIONAL BUSINESS MACHS CORP        459200101    9974223      77170   X                            75970       1200          0
INTERNATIONAL BUSINESS MACHS CORP        459200101    4011662      31038               X                24566       6472          0
INTERNATIONAL FLAVORS &                  459506101     211200       4800               X                 4800          0          0
INTERNATIONAL PAPER CO COM               460146103     432150       8600   X                             7800          0        800
INTERNATIONAL PAPER CO COM               460146103     182156       3625               X                 3625          0          0
INTIMATE BRANDS INC COM                  461156101     414437       8748   X                             8748          0          0
INTIMATE BRANDS INC COM                  461156101     118438       2500               X                 2500          0          0
JOHNSON & JOHNSON COM                    478160104    3236842      33029   X                            31389       1000        640
JOHNSON & JOHNSON COM                    478160104     619360       6320               X                 6320          0          0
KANSAS CITY PWR & LT CO COM              485134100     215220       8440               X                 8440          0          0
KELLOGG CO COM                           487836108     478500      14500   X                            14500          0          0
KEMPER GOV'T SEC TR UNIT                 488903162        810      45000   X                            45000          0          0
KEYCORP NEW COM                          493267108     202388       6300   X                             6300          0          0
KEYCORP NEW COM                          493267108     494725      15400               X                    0      15400          0
KIMBERLY-CLARK CORP COM                  494368103     945174      16582   X                            15882          0        700
KIMBERLY-CLARK CORP COM                  494368103     264936       4648               X                 3400       1248          0
KOHLS CORP COM                           500255104     222938       2900               X                    0       2900          0
KROGER CO COM                            501044101     524117      18760   X                            18760          0          0
KROGER CO COM                            501044101      55876       2000               X                 2000          0          0
LANCASTER COLONY CORP COM                513847103    6006174     174092   X                           174092          0          0
LAUDER ESTEE COS INC                     518439104     300750       6000   X                             6000          0          0
LAUDER ESTEE COS INC                     518439104      50125       1000               X                    0       1000          0
LEXMARK INTL GROUP INC                   529771107     161130       2460   X                             2460          0          0
LEXMARK INTL GROUP INC                   529771107     471600       7200               X                  200       7000          0
LILLY ELI & CO COM                       532457108     254269       3550   X                             3550          0          0
LILLY ELI & CO COM                       532457108     840161      11730               X                11030        700          0
LIMITED INC COM                          532716107    1205478      26567   X                            25758        109        700
LIMITED INC COM                          532716107      74869       1650               X                 1650          0          0
LIQUI BOX CORP                           536314107     362920       6752               X                 2300       4452          0
LUCENT TECHNOLOGIES INC COM              549463107    5704884      84595   X                            82323       2272          0
LUCENT TECHNOLOGIES INC COM              549463107    3021425      44803               X                32787      12016          0
MCI WORLDCOM INC                         55268B106    1916881      22273   X                            21798         75        400
MCI WORLDCOM INC                         55268B106     899100      10447               X                 3247       7200          0
MASCO CORP                               574599106    1095806      37950   X                            37950          0          0
MASCO CORP                               574599106     334950      11600               X                11600          0          0
MASSACHUSETTS INVESTORS GROWTH STK       575719109     386397      21659               X                    0      21659          0
MAXIM INTEGRATED PRODS INC               57772K101    1187025      17850   X                            17450        200        200
MAXIM INTEGRATED PRODS INC               57772K101      83125       1250               X                 1050        200          0
MAY DEPT STORES CO                       577778103     365831       8950   X                             8950          0          0
MAHLON MAXTON COM                        577991102    3699864        294   X                              294          0          0
MAZEL STORES INC                         578792103    6849945     629880               X                    0     629880          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              69753092    1641860                               913919     724301       3640
</TABLE>
<PAGE>   39
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    36


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
MCCORMICK & CO INC                       579780206     370234      11730   X                            11530        200          0
MCCORMICK & CO INC                       579780206      28407        900               X                  300        600          0
MCDONALDS CORP                           580135101    3765430      91561   X                            90461        800        300
MCDONALDS CORP                           580135101    3128461      76072               X                52172      23900          0
MCKESSON HBOC INC                        58155Q103     365849      11366   X                            10534        592        240
MCKESSON HBOC INC                        58155Q103     148419       4611               X                 2404       2207          0
MEDIAONE GROUP INC                       58440J104     154849       2082   X                             2082          0          0
MEDIAONE GROUP INC                       58440J104     210630       2832               X                 2500        332          0
MEDTRONIC INC                            585055106     814573      10460   X                             9860        600          0
MEDTRONIC INC                            585055106     568488       7300               X                  500       6800          0
MELLON BK CORP                           585509102     611100      16800   X                            16600        200          0
MELLON BK CORP                           585509102      72750       2000               X                 1800        200          0
MERCK & CO INC                           589331107   11237189     152627   X                           150057       2120        450
MERCK & CO INC                           589331107    5302473      72020               X                49828      22192          0
MICROSOFT CORP                           594918104   12445944     138000   X                           134450        400       3150
MICROSOFT CORP                           594918104    1183718      13125               X                 8725       4400          0
MINNESOTA MNG & MFG CO                   604059105    2777408      31947   X                            31415        232        300
MINNESOTA MNG & MFG CO                   604059105    1184965      13630               X                12575       1055          0
MOBIL CORP                               607059102    6448375      65300   X                            64100       1000        200
MOBIL CORP                               607059102    2030103      20558               X                18258       2300          0
MONSANTO CO                              611662107    1621885      40995   X                            40195        300        500
MONSANTO CO                              611662107     154296       3900               X                 1700       2200          0
MONTREAL RIVER INTL SILVER MINES LTD     614990901      27000      75000   X                            75000          0          0
MORGAN J P & CO INC                      616880100    1990885      14170   X                            13770          0        400
MORGAN J P & CO INC                      616880100     273975       1950               X                  850       1100          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     160095       1560   X                             1560          0          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     136902       1334               X                 1046        288          0
MOTOROLA INC                             620076109    1819200      19200   X                            18800          0        400
MOTOROLA INC                             620076109    1282347      13534               X                 8550       4984          0
NATIONAL CITY CORP                       635405103    4906147      74903   X                            74803        100          0
NATIONAL CITY CORP                       635405103   15115435     230770               X                58342      24628     147800
NATIONAL FUEL GAS CO N J                 636180101     278390       5740   X                             5740          0          0
NATIONAL LIME & STONE CO                 636795106     515970       1470   X                             1470          0          0
NESTLE S A                               641069406     216211       2400   X                             2400          0          0
NESTLE S A                               641069406      18018        200               X                  200          0          0
NORFOLK SOUTHN CORP                      655844108     351559      11670   X                            11670          0          0
NORFOLK SOUTHN CORP                      655844108     520289      17271               X                15771       1500          0
EDWARD A NORMAN INVESTMENT CO COM        656139904     781898        690   X                              690          0          0
NORTEL NETWORKS CORP                     656569100     559944       6450   X                             6200        250          0
NORTEL NETWORKS CORP                     656569100      82472        950               X                  300        650          0
NORTHERN TR CORP                         665859104     378300       3900   X                             3900          0          0
NUVEEN FLAGSHIP                          67065Q848     103582       9708   X                             9708          0          0
NUVEEN FLAGSHIP                          67065Q848      51689       4844               X                 4844          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     178043      15645   X                            15645          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              84373897    1303175                              1043305     106130     153740
</TABLE>
<PAGE>   40
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    37

<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
OMNICOM GROUP INC                        681919106      52800        660   X                              660          0          0
OMNICOM GROUP INC                        681919106     603840       7548               X                  248       7300          0
ONE VY BANCORP WEST VA INC               682419106     410138      10937   X                            10937          0          0
PE CORP                                  69332S102     252450       2200               X                    0       2200          0
PNC BK CORP                              693475105     594229      10312   X                             9112          0       1200
PNC BK CORP                              693475105     178638       3100               X                 3100          0          0
PPG INDS INC                             693506107     127104       2152   X                             2152          0          0
PPG INDS INC                             693506107     289409       4900               X                 3300       1600          0
PARK PL ENTMT CORP                       700690100     143385      15000   X                            15000          0          0
PARK PL ENTMT CORP                       700690100      14339       1500               X                    0       1500          0
PEPSICO INC                              713448108    8000369     206792   X                           201960       3432       1400
PEPSICO INC                              713448108    2835830      73300               X                53250      20050          0
PHARMACIA & UPJOHN INC                   716941109     301109       5300   X                             5300          0          0
PHARMACIA & UPJOHN INC                   716941109      90617       1595               X                 1595          0          0
PFIZER INC                               717081103   12864180     118020   X                           116645        500        875
PFIZER INC                               717081103    4337764      39796               X                38346       1450          0
PHILIP MORRIS COS INC                    718154107    5039294     125393   X                           125393          0          0
PHILIP MORRIS COS INC                    718154107    1725874      42945               X                35745       7200          0
PITNEY BOWES INC                         724479100    4131596      64305   X                            63805        500          0
PITNEY BOWES INC                         724479100    1914650      29800               X                22000       7800          0
PLUM CREEK TIMBER CO LP                  729237107     233910       7500   X                             7500          0          0
PRAXAIR INC                              74005P104     293628       6000   X                             6000          0          0
PROCTER & GAMBLE CO COM                  742718109    9493790     106373   X                           105207        166       1000
PROCTER & GAMBLE CO COM                  742718109    4690891      52559               X                42427      10132          0
PROVIDIAN FINL CORP                      74406A102     251775       2700   X                             2700          0          0
PROVIDIAN FINL CORP                      74406A102     139875       1500               X                 1500          0          0
PUBLIC SVC ENTERPRISE GROUP INC          744573106     236675       5799   X                             5799          0          0
PUBLIC SVC ENTERPRISE GROUP INC          744573106     229043       5612               X                 5612          0          0
PUTNAM GROWTH & INCOME FD II             74677M207     206676      13499   X                            13499          0          0
PUTNAM INVT FDS                          746802602     154797      10327   X                            10327          0          0
QUAKER OATS CO COM                       747402105     710213      10700   X                            10700          0          0
RPM INC OHIO COM                         749685103     309866      21840   X                            21840          0          0
RPM INC OHIO COM                         749685103     147172      10373               X                 7796       2577          0
RADIOHIO INC CAP                         749991907    2784000         87   X                               87          0          0
RADIOHIO INC CAP                         749991907    8640000        270               X                   30          0        240
RAYTHEON CO                              755111408     641550       9100               X                  200       8900          0
RENTALS BUILDING CORP COM                760099101     578545      13635   X                            13635          0          0
ROHM & HAAS CO COM                       775371107      85381       1991   X                             1991          0          0
ROHM & HAAS CO COM                       775371107     144673       3374               X                 2932        443          0
ROWAN COS INC COM                        779382100     304775      16700               X                    0      16700          0
ROYAL DUTCH PETROLEUM CO                 780257804     885675      14700   X                            14700          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     444886       7384               X                 1400       5984          0
SBC COMMUNICATIONS INC COM               78387G103     907526      15647   X                            15647          0          0
SBC COMMUNICATIONS INC COM               78387G103    1382082      23829               X                17559       6270          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              77805019    1127054                              1017636     104704       4715
</TABLE>
<PAGE>   41
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    38


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
SPX CORP COM                             784635104     291248       3488               X                 3488          0          0
SAFEWAY INC COM NEW                      786514208     107415       2170   X                             2170          0          0
SAFEWAY INC COM NEW                      786514208     480150       9700               X                    0       9700          0
SARA LEE CORP COM                        803111103    1173196      51710   X                            51710          0          0
SARA LEE CORP COM                        803111103     412922      18200               X                18200          0          0
SCHERING-PLOUGH CORP COM                 806605101    2744175      52270   X                            51870          0        400
SCHERING-PLOUGH CORP COM                 806605101     757050      14420               X                10800       3620          0
SCHLUMBERGER LTD COM                     806857108    3366293      52856   X                            51831        100        925
SCHLUMBERGER LTD COM                     806857108    1723397      27060               X                17150       9910          0
CHARLES SCHWAB CORP NEW                  808513105    1244235      11415   X                            11065        250        100
CHARLES SCHWAB CORP NEW                  808513105     376050       3450               X                  300       3150          0
SEALED AIR CORP NEW                      81211K100     110288       1700   X                             1700          0          0
SEALED AIR CORP NEW                      81211K100     724070      11161               X                 1661       9500          0
SECURITY BANC CORP COM                   813767100     259420       7630   X                             7630          0          0
SEDALIA FARMS INC COM                    814990107    1471250        250               X                  250          0          0
SELIGMAN TAX-EXEMPT FD OHIO              816346506      20015       2540   X                             2540          0          0
SELIGMAN TAX-EXEMPT FD OHIO              816346506     162134      20575               X                12333       8242          0
SHERWIN WILLIAMS CO COM                  824348106    1726050      62200   X                            62200          0          0
SHERWIN WILLIAMS CO COM                  824348106      72566       2615               X                 2615          0          0
SIGMA ALDRICH CORP COM                   826552101     268616       7800   X                             7800          0          0
SIGMA ALDRICH CORP COM                   826552101     117089       3400               X                 2600        800          0
SMITHKLINE BEECHAM CORP                  832378301     436016       6600   X                             6600          0          0
SOLECTRON CORP COM                       834182107      13338        200   X                              200          0          0
SOLECTRON CORP COM                       834182107     413466       6200               X                    0       6200          0
SOUTHERN CO COM                          842587107     457337      17258   X                            17258          0          0
SOUTHERN CO COM                          842587107      19080        720               X                  520        200          0
MCNEIL REAL ESTATE FD                    844545202       7500      25000   X                            25000          0          0
SPRINT CORP COM                          852061100    1189615      22446   X                            22446          0          0
SPRINT CORP COM                          852061100     975200      18400               X                 8200      10200          0
SPRINT CORP                              852061506     300960       5280   X                             5280          0          0
SPRINT CORP                              852061506     139650       2450               X                 2450          0          0
STAPLES INC COM                          855030102     442413      14300               X                    0      14300          0
STATE STR CORP                           857477103     198070       2320   X                             2320          0          0
STATE STR CORP                           857477103      99889       1170               X                  170       1000          0
SUN MICROSYSTEMS INC COM                 866810104    4344911      63084   X                            62084        200        800
SUN MICROSYSTEMS INC COM                 866810104    1205313      17500               X                12200       5300          0
TANDY CORP COM                           875382103     200388       4100   X                             4100          0          0
TANDY CORP COM                           875382103     351900       7200               X                    0       7200          0
TEMPLETON FDS INC                        880196209     187453      18199   X                            18199          0          0
TEMPLETON FDS INC                        880196209     716384      69552               X                22457      47095          0
TEMPLETON INSTL FDS INC                  880210505     518327      26311   X                            26311          0          0
TEMPLETON INSTL FDS INC                  880210505     197874      10044               X                10044          0          0
TEXACO INC COM                           881694103     327469       5250   X                             5250          0          0
TEXACO INC COM                           881694103     155938       2500               X                  700       1800          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              30506120     712694                               571702     138767       2225
</TABLE>
<PAGE>   42
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    39


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
TEXAS INSTRS INC COM                     882508104     388800       2700   X                             2700          0          0
TEXAS INSTRS INC COM                     882508104     979200       6800               X                 2000       4800          0
TEXTRON INC COM                          883203101     230476       2800               X                 2800          0          0
TIME WARNER INC COM                      887315109     705552       9715   X                             9715          0          0
TIME WARNER INC COM                      887315109     715356       9850               X                 1100       8750          0
TRICON GLOBAL RESTAURANTS                895953107     281450       5200   X                             5200          0          0
TRICON GLOBAL RESTAURANTS                895953107     154798       2860               X                 2740        120          0
TYCO INTL LTD NEW                        902124106     686559       7246   X                             7246          0          0
TYCO INTL LTD NEW                        902124106     115121       1215               X                  900        315          0
USA NETWORKS INC                         902984103     318994       7950   X                             7400        550          0
USA NETWORKS INC                         902984103      32100        800               X                  200        600          0
UNION PAC CORP CO COM                    907818108     326553       5600   X                             5600          0          0
UNITED BANKSHARES INC WEST V             909907107     428558      16172   X                            16172          0          0
U S WEST INC NEW                         91273H101     135125       2300   X                             2300          0          0
U S WEST INC NEW                         91273H101     199045       3388               X                 3047        341          0
UNITED TECHNOLOGIES CORP COM             913017109    2161728      30024   X                            29824        200          0
UNITED TECHNOLOGIES CORP COM             913017109     748800      10400               X                 5000       5400          0
UNOCAL CORP COM                          915289102     204782       5168   X                             5168          0          0
VAN KAMPEN                               920914108     308309      31174   X                            31174          0          0
VANGUARD                                 922908108    1839303      14502   X                            14502          0          0
VANGUARD                                 922908108      76098        600               X                  600          0          0
VANGUARD                                 922908207     571742      17685   X                            17685          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     559480       2840   X                             2840          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     561450       2850               X                 2000        850          0
WACHOVIA CORP COM                        929771103    1762598      20600   X                            20150        300        150
WACHOVIA CORP COM                        929771103     290914       3400               X                 3200        200          0
WAL MART STORES INC                      931142103    1972046      40871   X                            40271          0        600
WAL MART STORES INC                      931142103    3761860      77966               X                71850       6116          0
WALGREEN CO COM                          931422109    2673771      91022   X                            90322        200        500
WALGREEN CO COM                          931422109    1163250      39600               X                38726        874          0
WARNER LAMBERT CO COM                    934488107     688278       9957   X                             9857        100          0
WARNER LAMBERT CO COM                    934488107     214288       3100               X                 3100          0          0
WASHINGTON MUTUAL INC                    939322103     234965       6607   X                             6607          0          0
WASTE MANAGEMENT INC NEW COM             94106L109      53750       1000   X                             1000          0          0
WASTE MANAGEMENT INC NEW COM             94106L109    1343750      25000               X                13500      11500          0
WELLS FARGO & CO NEW                     949746101    3847500      90000   X                            87300       2450        250
WELLS FARGO & CO NEW                     949746101     807975      18900               X                16100       2800          0
WENDYS INTL INC COM                      950590109      94050       3300   X                             3300          0          0
WENDYS INTL INC COM                      950590109     717231      25166               X                 5166          0      20000
WILLAMETTE INDS INC COM                  969133107     207284       4500   X                             4500          0          0
WILLAMETTE INDS INC COM                  969133107     112946       2452               X                    0       2452          0
WISCONSIN ENERGY CORP COM                976657106     235116       9381   X                             9331         50          0
WISCONSIN ENERGY CORP COM                976657106      92733       3700               X                 3200        500          0
WORTHINGTON FOODS INC COM                981809106    3069330     186020   X                           186020          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              36073014     862381                               791413      49468      21500
</TABLE>
<PAGE>   43
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    40


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
WORTHINGTON FOODS INC COM                981809106      32142       1948               X                 1948          0          0
WORTHINGTON INDS INC                     981811102    3570646     217219   X                           217219          0          0
WORTHINGTON INDS INC                     981811102     333576      20293               X                14023       6270          0
XEROX CORP COM                           984121103    3488851      59070   X                            58070        400        600
XEROX CORP COM                           984121103    1452950      24600               X                23000       1600          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                               8878165     323130                               314260       8270        600
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR COMMON STOCK                          938165976   26675410                             24010027    2022741     642643
</TABLE>
<PAGE>   44
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    41


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
B. PREFERRED STOCK                                                              INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            PREFERRED STOCK

                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                               0          0                                    0          0          0
</TABLE>
<PAGE>   45
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    42


<TABLE>
<CAPTION>
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
C. OTHER                                                                        INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            OTHER

                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                         0          0                                    0          0          0
</TABLE>
<PAGE>   46
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK ON 08/11/99 AS OF 06/30/99      DEPT ID# 002
                                                                      PAGE    43

**SUMMARY PAGE FOR: 02-NATIONAL CITY BANK                                     **

<TABLE>
<CAPTION>
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                <C>         <C>                                  <C>        <C>        <C>
A. COMMON STOCK                                     938165976   26675410                             24010027    2022741     642643
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                                    0          0                                    0          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                    938165976   26675410                             24010027    2022741     642643
</TABLE>
<PAGE>   47
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    44

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ADC TELECOMMUNICATIONS INC COM           000886101    2916032      64000   X                            64000          0          0
AT&T CORP COM                            001957109    4508295      80775   X                            80775          0          0
ABBOTT LABS                              002824100    2974331      65550   X                            65550          0          0
ABBOTT LABS                              002824100     555844      12250               X                12250          0          0
ALBERTSONS INC COM                       013104104     177892       3450   X                             3450          0          0
ALBERTSONS INC COM                       013104104     340316       6600               X                 6600          0          0
ALCOA INC                                013817101     513563       8300   X                             8300          0          0
ALLIED SIGNAL INC COM                    019512102     252000       4000               X                 4000          0          0
AMERICA ONLINE INC DEL COM               02364J104    1804000      16400   X                            16400          0          0
AMERICAN EXPRESS CO COM                  025816109    2771663      21300   X                            21300          0          0
AMERICAN INTL GROUP INC COM              026874107   12387697     105652   X                           105652          0          0
AMERICAN INTL GROUP INC COM              026874107      29313        250               X                  250          0          0
AMERITECH CORP NEW COM                   030954101    1914675      26050   X                            26050          0          0
AMERITECH CORP NEW COM                   030954101      22050        300               X                  300          0          0
AMGEN INC                                031162100     203931       3350   X                             3350          0          0
ANHEUSER BUSCH                           035229103    1631574      23000   X                            23000          0          0
APPLIED MATLS INC                        038222105    2452650      33200   X                            33200          0          0
ARMADA GNMA INSTL CL #666                042086660     144904      14505   X                            14505          0          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     393626      39760   X                            39760          0          0
ARMADA INTERMEDIATE BD FUND              042086793    1695723     163996   X                           163996          0          0
ARMADA SMALL CAP VALUE FUND #616         042086843     325249      23299   X                            23299          0          0
ARMADA SMALL CAP VALUE FUND #616         042086843      16789       1203               X                 1203          0          0
ARMADA EQUITY INCOME FUND #614           042086868     443955      23159   X                            23159          0          0
ARMADA EQUITY GROWTH FUND                042086884    2071035      78538   X                            78538          0          0
ATLANTIC RICHFIELD CO COM                048825103     835630      10000   X                            10000          0          0
AUTOMATIC DATA PROCESSING INC COM        053015103    4536840     103110   X                           103110          0          0
AUTOMATIC DATA PROCESSING INC COM        053015103      26400        600               X                  600          0          0
AVON PRODS INC COM                       054303102    1282050      23100   X                            23100          0          0
BP AMOCO PLC-SPONS ADR                   055622104     698957       6442   X                             6442          0          0
BANK OF AMER CORP COM                    060505104    4609546      62875   X                            62875          0          0
BANK NEW YORK INC COM                    064057102    1467520      40000   X                            40000          0          0
BANK ONE CORP COM                        06423A103    1330935      22345   X                            22345          0          0
BANK ONE CORP COM                        06423A103     347371       5832               X                 5832          0          0
BELL ATLANTIC CORP COM                   077853109    1758588      26900   X                            26900          0          0
BELLSOUTH CORP COM                       079860102    2610675      56600   X                            56600          0          0
BELLSOUTH CORP COM                       079860102      18450        400               X                  400          0          0
BERKSHIRE HATHAWAY INC DEL               084670207    2918597       1303               X                 1303          0          0
BEST FOODS                               08658U101     905850      18300   X                            18300          0          0
BLACKROCK FDS                            091927103     121356     121356   X                           121356          0          0
BLACKROCK TARGET TERM TR INC COM         092476100     481250      50000   X                            50000          0          0
BOEING CO                                097023105     470800      10700   X                            10700          0          0
BORG WARNER AUTOMOTIVE INC               099724106    1303500      23700   X                            23700          0          0
BOSTON SCIENTIFIC CORP COM               101137107    3778668      86000   X                            86000          0          0
BRISTOL MYERS SQUIBB CO COM              110122108    8341268     118420   X                           118420          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              78391358    1606870                              1606870          0          0
</TABLE>
<PAGE>   48
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    45

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
BRISTOL MYERS SQUIBB CO COM              110122108    4190779      59496               X                59496          0          0
BURLINGTON NORTHERN SANTA FE CORP        12189T104    1309750      42250   X                            42250          0          0
BURLINGTON RES INC COM                   122014103     374113       8650   X                             8650          0          0
CBS CORP                                 12490K107     583744      13400   X                            13400          0          0
CIGNA CORP COM                           125509109     120150       1350   X                             1350          0          0
CIGNA CORP COM                           125509109     500625       5625               X                 5625          0          0
CVS CORPORATION (DEL)                    126650100    1370199      26999   X                            26999          0          0
CVS CORPORATION (DEL)                    126650100      20300        400               X                  400          0          0
CARDINAL HEALTH INC COM                  14149Y108    2141775      33400   X                            33400          0          0
CARDINAL HEALTH INC COM                  14149Y108      14428        225               X                  225          0          0
CARNIVAL CORP COM                        143658102    5487775     113150   X                           113150          0          0
CAROLINA PWR & LT CO COM                 144141108    1179498      27550   X                            27550          0          0
CAROLINA PWR & LT CO COM                 144141108      42813       1000               X                 1000          0          0
CHASE MANHATTAN CORP (NEW) COM           16161A108    6673475      77150   X                            77150          0          0
CISCO SYS INC COM                        17275R102   16756522     260041   X                           260041          0          0
CISCO SYS INC COM                        17275R102      54772        850               X                  850          0          0
CINTAS CORP COM                          172908105     742427      11050   X                            11050          0          0
CITIGROUP INC COM                        172967101    2576281      54238   X                            54238          0          0
CLOROX CO COM                            189054109     296406       2775   X                             2775          0          0
COASTAL CORP COM                         190441105    1883700      46800   X                            46800          0          0
COCA-COLA CO COM                         191216100    1636800      26400   X                            26400          0          0
COCA-COLA CO COM                         191216100    1357800      21900               X                21900          0          0
COMPAQ COMPUTER CORP COM                 204493100    1850601      78124   X                            78124          0          0
COMPUTER SCIENCES CORP COM               205363104    1207331      17450   X                            17450          0          0
CONSECO INC COM                          208464107     701565      23049   X                            23049          0          0
CORNING INC COM                          219350105    3516769      50150   X                            50150          0          0
DAYTON HUDSON CORP COM                   239753106     253500       3900   X                             3900          0          0
DELL COMPUTER CORP COM                   247025109    1698300      45900   X                            45900          0          0
DIAMOND OFFSHORE DRILLING INC COM        25271C102     283750      10000   X                            10000          0          0
DISNEY WALT CO COM                       254687106    1852478      60120   X                            60120          0          0
DISNEY WALT CO COM                       254687106     336139      10909               X                10909          0          0
DOW CHEM CO COM                          260543103     916672       7225   X                             7225          0          0
DU PONT E I DE NEMOURS & CO COM          263534109     660587       9670   X                             9670          0          0
DU PONT E I DE NEMOURS & CO COM          263534109     327902       4800               X                 4800          0          0
E M C CORP MASS COM                      268648102    5816250     105750   X                           105750          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104    1585500      28000   X                            28000          0          0
EMERSON ELEC CO COM                      291011104    5024655      79835   X                            79835          0          0
EMERSON ELEC CO COM                      291011104      28322        450               X                  450          0          0
ENRON CORP COM                           293561106    2125500      26000   X                            26000          0          0
ENTERGY CORP NEW COM                     29364G103     271875       8700   X                             8700          0          0
EVERGREEN FDS                            300250404    3502652    3502652   X                          3502652          0          0
EXXON CORP COM                           302290101    5317769      68950   X                            68950          0          0
EXXON CORP COM                           302290101    3108138      40300               X                40300          0          0
FPL GROUP INC COM                        302571104    2957944      54150   X                            54150          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              92658331    5070783                              5070783          0          0
</TABLE>
<PAGE>   49
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    46

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
FPL GROUP INC COM                        302571104      54625       1000               X                 1000          0          0
FREDDIE MAC COM                          313400301    4394950      75775   X                            75775          0          0
FREDDIE MAC COM                          313400301      29000        500               X                  500          0          0
FANNIE MAE COM                           313586109    7534800     110400   X                           110400          0          0
FANNIE MAE COM                           313586109      34125        500               X                  500          0          0
FIDELITY FDS                             316176106     843670     843670   X                           843670          0          0
FIRST DATA CORP COM                      319963104    2175294      44450   X                            44450          0          0
FIRST UNION CORP COM                     337358105     478319      10150   X                            10150          0          0
FLEET FINL GROUP INC NEW COM             338915101    2846656      64150   X                            64150          0          0
FRANKLIN RES INC COM                     354613101     219781       5410   X                             5410          0          0
GTE CORP COM                             362320103    6570690      87029   X                            87029          0          0
GTE CORP COM                             362320103      30200        400               X                  400          0          0
GALAXY FDS                               363178997   22625270   23625270   X                         23625270          0          0
GANNETT CO INC COM                       364730101    2084150      29200   X                            29200          0          0
GAP INC COM                              364760108     671411      13328   X                            13328          0          0
GAP INC COM                              364760108      51005       1013               X                 1013          0          0
GENERAL ELEC CO COM                      369604103   12028850     106450   X                           106450          0          0
GENERAL ELEC CO COM                      369604103    1389900      12300               X                12300          0          0
GENERAL MTRS CORP COM                    370442105    1072500      16250   X                            16250          0          0
GENUINE PARTS CO COM                     372460105     713125      20375   X                            20375          0          0
GILLETTE CO COM                          375766102    3145725      76725   X                            76725          0          0
GILLETTE CO COM                          375766102     225008       5488               X                 5488          0          0
GLOBAL MARINE INC COM NEW                379352404     806000      52000   X                            52000          0          0
GOODYEAR TIRE & RUBBER CO COM            382550101     247015       4200   X                             4200          0          0
GUIDANT CORP COM                         401698105    1712688      33500   X                            33500          0          0
HALLIBURTON CO COM                       406216101    3708238      81950   X                            81950          0          0
HALLIBURTON CO COM                       406216101      22625        500               X                  500          0          0
HARLEY DAVIDSON INC COM                  412822108     369750       6800   X                             6800          0          0
HARLEY DAVIDSON INC COM                  412822108      21750        400               X                  400          0          0
HASBRO INC COM                           418056107     349225      12500   X                            12500          0          0
HEALTHSOUTH CORP COM                     421924101    1399366      94075   X                            94075          0          0
HEALTH MGMT ASSOC INC NEW CL A           421933102     461250      41000   X                            41000          0          0
HERSHEY FOODS CORP                       427866108     730313      12300   X                            12300          0          0
HEWLETT PACKARD CO COM                   428236103     507525       5050   X                             5050          0          0
HEWLETT PACKARD CO COM                   428236103     904500       9000               X                 9000          0          0
HOME DEPOT INC COM                       437076102    9486756     147223   X                           147223          0          0
HOME DEPOT INC COM                       437076102     231977       3600               X                 3600          0          0
HONEYWELL INC COM                        438506107    1457128      12575   X                            12575          0          0
HONEYWELL INC COM                        438506107     115875       1000               X                 1000          0          0
T.ROWE PRICE INSTITUTIONAL               457759108     229795      12249   X                            12249          0          0
INTEL CORP COM                           458140100   11560850     194300   X                           194300          0          0
INTEL CORP COM                           458140100      23800        400               X                  400          0          0
INTERNATIONAL BUSINESS MACHS CORP        459200101    5157075      39900   X                            39900          0          0
INTERNATIONAL BUSINESS MACHS CORP        459200101    2207590      17080               X                17080          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             110930145   25931435                             25931435          0          0
</TABLE>
<PAGE>   50
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    47

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
INTERPUBLIC GROUP COS INC COM            460690100     701663       8100               X                 8100          0          0
JOHNSON & JOHNSON COM                    478160104    7214466      73617   X                            73617          0          0
JOHNSON & JOHNSON COM                    478160104     823200       8400               X                 8400          0          0
KIMBERLY-CLARK CORP COM                  494368103    4343400      76200   X                            76200          0          0
KIMBERLY-CLARK CORP COM                  494368103     228000       4000               X                 4000          0          0
KNIGHT RIDDER INC COM                    499040103     220252       4000               X                 4000          0          0
KOHLS CORP COM                           500255104    1153125      15000   X                            15000          0          0
KROGER CO COM                            501044101     419070      15000   X                            15000          0          0
LILLY ELI & CO COM                       532457108    5776556      80650   X                            80650          0          0
LILLY ELI & CO COM                       532457108      10744        150               X                  150          0          0
LOWES COS INC COM                        548661107    4313957      76100   X                            76100          0          0
LUCENT TECHNOLOGIES INC COM              549463107    9620570     142658   X                           142658          0          0
LUCENT TECHNOLOGIES INC COM              549463107     310215       4600               X                 4600          0          0
MBNA CORP COM                            55262L100    2136094      69750   X                            69750          0          0
MCI WORLDCOM INC                         55268B106    3887896      45175   X                            45175          0          0
MCI WORLDCOM INC                         55268B106     257070       2987               X                 2987          0          0
MARSH & MCLENNAN COS INC                 571748102     681192       9000               X                 9000          0          0
MATTEL INC                               577081102     522500      20000   X                            20000          0          0
MATTEL INC                               577081102      25498        976               X                  976          0          0
MAY DEPT STORES CO                       577778103     175763       4300   X                             4300          0          0
MAY DEPT STORES CO                       577778103     294300       7200               X                 7200          0          0
MCDONALDS CORP                           580135101    2294775      55800   X                            55800          0          0
MCKESSON HBOC INC                        58155Q103     225316       7000   X                             7000          0          0
MCKESSON HBOC INC                        58155Q103       5955        185               X                  185          0          0
MEDTRONIC INC                            585055106    5297836      68030   X                            68030          0          0
MEDTRONIC INC                            585055106    1767763      22700               X                22700          0          0
MERCK & CO INC                           589331107    8234956     111850   X                           111850          0          0
MERCK & CO INC                           589331107     721525       9800               X                 9800          0          0
MERRIMAC SER                             590266508      47301      47301   X                            47301          0          0
MICROSOFT CORP                           594918104   14741229     163450   X                           163450          0          0
MICROSOFT CORP                           594918104      54113        600               X                  600          0          0
MOBIL CORP                               607059102    3169875      32100   X                            32100          0          0
MONSANTO CO                              611662107     150339       3800   X                             3800          0          0
MONSANTO CO                              611662107     882255      22300               X                22300          0          0
MOTOROLA INC                             620076109     701150       7400   X                             7400          0          0
NATIONAL CITY CORP                       635405103     321867       4914               X                 4914          0          0
NOKIA CORP                               654902204     201439       2200   X                             2200          0          0
NORFOLK SOUTHN CORP                      655844108    1221569      40550   X                            40550          0          0
OFFICE DEPOT INC                         676220106    2532832     114800   X                           114800          0          0
PARKER HANNIFIN CORP                     701094104     231587       5062               X                 5062          0          0
PENNEY J C CO INC                        708160106     339941       7000   X                             7000          0          0
PENNEY J C CO INC                        708160106      48563       1000               X                 1000          0          0
PEPSICO INC                              713448108    4601938     118950   X                           118950          0          0
PEPSICO INC                              713448108      58032       1500               X                 1500          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              90967687    1516155                              1516155          0          0
</TABLE>
<PAGE>   51
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    48

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
PFIZER INC                               717081103    9314050      85450   X                            85450          0          0
PFIZER INC                               717081103     261600       2400               X                 2400          0          0
PHILIP MORRIS COS INC                    718154107    1819512      45275   X                            45275          0          0
PHILIP MORRIS COS INC                    718154107      60282       1500               X                 1500          0          0
PITNEY BOWES INC                         724479100     308400       4800   X                             4800          0          0
PITNEY BOWES INC                         724479100     848100      13200               X                13200          0          0
PRIME OBLIGATIONS PORTFOLIO              74157A9A3     234524     234524   X                           234524          0          0
PROCTER & GAMBLE CO COM                  742718109    6729896      75405   X                            75405          0          0
PROCTER & GAMBLE CO COM                  742718109      26775        300               X                  300          0          0
PROVIDIAN FINL CORP                      74406A102     463919       4975   X                             4975          0          0
QUESTAR CORP COM                         748356102    1038488      54300   X                            54300          0          0
RODNEY SQUARE FD                         774892202    1093622    1093622               X              1093622          0          0
T ROWE PRICE                             779572106     213155       9809   X                             9809          0          0
SBC COMMUNICATIONS INC COM               78387G103    3372236      58142   X                            58142          0          0
SBC COMMUNICATIONS INC COM               78387G103     133400       2300               X                 2300          0          0
SEI FDS                                  784199903     190749     190749   X                           190749          0          0
SAFEWAY INC COM NEW                      786514208    2650230      53540   X                            53540          0          0
SAFEWAY INC COM NEW                      786514208      27225        550               X                  550          0          0
SARA LEE CORP COM                        803111103     222342       9800   X                             9800          0          0
SCHERING-PLOUGH CORP COM                 806605101    2508713      47785   X                            47785          0          0
SCHERING-PLOUGH CORP COM                 806605101     483000       9200               X                 9200          0          0
SCHLUMBERGER LTD COM                     806857108    4039411      63425   X                            63425          0          0
SCHLUMBERGER LTD COM                     806857108      19106        300               X                  300          0          0
SILICON GRAPHICS INC COM                 827056102     163750      10000   X                            10000          0          0
SMITH BARNEY MONEY FDS INC               831804109     386664     386664   X                           386664          0          0
SOUTHTRUST FDS                           844734103    4790651    4790651   X                          4790651          0          0
SPRINT CORP COM                          852061100     832100      15700   X                            15700          0          0
SPRINT CORP                              852061506     917700      16100   X                            16100          0          0
STAPLES INC COM                          855030102    4150333     134150   X                           134150          0          0
STATE STR CORP                           857477103    2339275      27400   X                            27400          0          0
STATE STR CORP                           857477103      25613        300               X                  300          0          0
STATE STR BK                             857499909     747392     747392   X                           747392          0          0
SEVEN SEAS FDS                           8611238A8    1142047    1142047   X                          1142047          0          0
SUN MICROSYSTEMS INC COM                 866810104     526894       7650   X                             7650          0          0
SYSCO CORP COM                           871829107     208691       7000   X                             7000          0          0
TENNECO INC (NEW)                        88037E101    1241500      52000   X                            52000          0          0
TEXACO INC COM                           881694103    3062613      49100   X                            49100          0          0
TEXAS INSTRS INC COM                     882508104    1048320       7280   X                             7280          0          0
3COM CORP COM                            885535104    1797437      67350   X                            67350          0          0
TIME WARNER INC COM                      887315109    4484594      61750   X                            61750          0          0
TIME WARNER INC COM                      887315109      50838        700               X                  700          0          0
TORCHMARK CORP COM                       891027104     327600       9600               X                 9600          0          0
TYCO INTL LTD NEW                        902124106    4160478      43910   X                            43910          0          0
TYCO INTL LTD NEW                        902124106      42638        450               X                  450          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              68505863    9638545                              9638545          0          0
</TABLE>
<PAGE>   52
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    49

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
UNUM CORP COM                            903192102     903375      16500   X                            16500          0          0
U S TREAS OBLIG FDS                      912999919      50598      50598   X                            50598          0          0
UNITED TECHNOLOGIES CORP COM             913017109    3852000      53500   X                            53500          0          0
VANGUARD TOTAL BOND MARKET               921937108    1239122     126312   X                           126312          0          0
VISX INC DEL                             92844S105     316752       4000   X                             4000          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     364450       1850   X                             1850          0          0
WACHOVIA CORP COM                        929771103     444928       5200               X                 5200          0          0
WAL MART STORES INC                      931142103    4489663      93050   X                            93050          0          0
WAL MART STORES INC                      931142103      33775        700               X                  700          0          0
WALGREEN CO COM                          931422109     283469       9650   X                             9650          0          0
WALGREEN CO COM                          931422109     975250      33200               X                33200          0          0
WARNER LAMBERT CO COM                    934488107    7619303     110225   X                           110225          0          0
WASTE MANAGEMENT INC NEW COM             94106L109     556958      10362   X                            10362          0          0
WASTE MANAGEMENT INC NEW COM             94106L109      77938       1450               X                 1450          0          0
WELLS FARGO & CO NEW                     949746101    4773038     111650   X                           111650          0          0
WELLS FARGO & CO NEW                     949746101     213750       5000               X                 5000          0          0
WILLIAMS COS INC DEL COM                 969457100    1960026      46050   X                            46050          0          0
XEROX CORP COM                           984121103    1278714      21650   X                            21650          0          0
XEROX CORP COM                           984121103      17719        300               X                  300          0          0
MONEY MARKET SWEEP ACCT                  99784R716     143829     143829   X                           143829          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              29594657     845076                               845076          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                          471048041   44608864                             44608864          0          0
</TABLE>
<PAGE>   53
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 006             PAGE    50

**SUMMARY PAGE FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT **

CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                <C>         <C>                                  <C>        <C>        <C>
A. COMMON STOCK                                     471048041   44608864                             44608864          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                    471048041   44608864                             44608864          0          0
</TABLE>
<PAGE>   54
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    51

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
AARP HIGH QUALITY TAX-FREE INCM FD       00036Q100      30000      30000               X                30000          0          0
AFLAC INC COM                            001055102     153200       3200   X                             3200          0          0
AFLAC INC COM                            001055102     459600       9600               X                 9600          0          0
AT&T CORP COM                            001957109     906738      16246   X                            16246          0          0
AT&T CORP COM                            001957109     831223      14893               X                14368          0        525
ABBOTT LABS                              002824100    3154289      69516   X                            68816          0        700
ABBOTT LABS                              002824100    4620990     101840               X                97640        200       4000
AEGON N V ORD AMER REG (NLG)             007924103     249171       3370   X                             3370          0          0
AEGON N V ORD AMER REG (NLG)             007924103      44363        600               X                  600          0          0
AIR PRODS & CHEMS INC COM                009158106     163013       4050   X                             4050          0          0
AIR PRODS & CHEMS INC COM                009158106     124775       3100               X                 3100          0          0
ALBERTSONS INC COM                       013104104     280503       5440   X                             5440          0          0
ALBERTSONS INC COM                       013104104      85595       1660               X                 1660          0          0
ALLTEL CORP COM                          020039103     162877       2278   X                             2278          0          0
ALLTEL CORP COM                          020039103      76005       1063               X                 1063          0          0
AMCAP FUND INC COM                       023375108     200319      10633   X                            10633          0          0
AMERICAN CENTURY SMALL CAP               02507M840      55508      10970               X                10970          0          0
AMERICAN CENTURY                         025086505     212569      18484               X                18484          0          0
AMERICAN EXPRESS CO COM                  025816109    1299949       9990   X                             9990          0          0
AMERICAN EXPRESS CO COM                  025816109     253093       1945               X                 1945          0          0
AMERICAN HOME PRODS CORP COM             026609107    4243685      73964   X                            73164          0        800
AMERICAN HOME PRODS CORP COM             026609107    2592145      45179               X                35679        100       9400
AMERICAN INTL GROUP INC COM              026874107    5444387      46434   X                            46434          0          0
AMERICAN INTL GROUP INC COM              026874107    2711055      23122               X                22797        100        225
AMERITECH CORP NEW COM                   030954101    2287320      31120   X                            31120          0          0
AMERITECH CORP NEW COM                   030954101    1709169      23254               X                22454          0        800
AMGEN INC                                031162100     413950       6800   X                             6800          0          0
AMGEN INC                                031162100     115663       1900               X                 1900          0          0
ANHEUSER BUSCH                           035229103      21281        300   X                              300          0          0
ANHEUSER BUSCH                           035229103     933970      13166               X                13166          0          0
ARMADA FDS                               042086272   16933398    1584041   X                          1554694          0      29347
ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1536256     157081   X                           157081          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1552339     158726               X               158726          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579    1771756     159331   X                           159331          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579      23727       2134               X                 2134          0          0
ARMADA CORE EQUITY FUND #681             042086595     327107      22267   X                            22267          0          0
ARMADA CORE EQUITY FUND #681             042086595     139072       9467               X                 9467          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629    2928044     251983   X                           251983          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629     589506      50732               X                49846        886          0
ARMADA EQUITY INDEX FUND #42             042086645    1404152     117601   X                           117601          0          0
ARMADA EQUITY INDEX FUND #42             042086645      56597       4740               X                 4740          0          0
ARMADA GNMA INSTL CL #666                042086660    2946690     294964   X                           250751          0      44213
ARMADA GNMA INSTL CL #666                042086660     343117      34346               X                31921       2425          0
ARMADA BOND FD INSTL CL #630             042086686   26648555    2702693   X                          2700247          0       2446
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              91036721    6134223                              6038056       3711      92456
</TABLE>
<PAGE>   55
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                DEPT ID# 009              PAGE    52

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ARMADA BOND FD INSTL CL #630             042086686    8705817     882943               X               777550      67470      37923
ARMADA OHIO TAX EXEMPT FUND #612         042086751   30912859    2857011   X                          2857011          0          0
ARMADA OHIO TAX EXEMPT FUND #612         042086751   22600242    2088747               X              2077367      11380          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777   22479974    2270704   X                          2270704          0          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    4436299     448111               X               439190       1475       7446
ARMADA INTERMEDIATE BD FUND              042086793    6996148     676610   X                           668232          0       8378
ARMADA INTERMEDIATE BD FUND              042086793    2106221     203696               X               203696          0          0
ARMADA ENHANCED INCOME FUND              042086827    2207161     222272   X                           222272          0          0
ARMADA ENHANCED INCOME FUND              042086827     451682      45487               X                44492        995          0
ARMADA SMALL CAP VALUE FUND #616         042086843   10217705     731927   X                           729553       2374          0
ARMADA SMALL CAP VALUE FUND #616         042086843    2615526     187359               X               185339       2020          0
ARMADA EQUITY INCOME FUND #614           042086868   41454957    2162491   X                          2162491          0          0
ARMADA EQUITY INCOME FUND #614           042086868   11632602     606813               X               572060      28750       6004
ARMADA EQUITY GROWTH FUND                042086884   70322097    2666746   X                          2663304       3442          0
ARMADA EQUITY GROWTH FUND                042086884   18598172     705278               X               551389     112621      41267
ATLANTIC RICHFIELD CO COM                048825103     762596       9126   X                             9126          0          0
ATLANTIC RICHFIELD CO COM                048825103    1837467      21989               X                21989          0          0
AUTOMATIC DATA PROCESSING INC COM        053015103    1387452      31533   X                            31533          0          0
AUTOMATIC DATA PROCESSING INC COM        053015103     888404      20191               X                20191          0          0
BP AMOCO PLC-SPONS ADR                   055622104    1938895      17870   X                            17870          0          0
BP AMOCO PLC-SPONS ADR                   055622104    3158435      29110               X                28846        264          0
BANK OF AMER CORP COM                    060505104    1223961      16695   X                            16695          0          0
BANK OF AMER CORP COM                    060505104     114735       1565               X                 1565          0          0
BANK ONE CORP COM                        06423A103     236644       3973   X                             3973          0          0
BANK ONE CORP COM                        06423A103    1623092      27250               X                27250          0          0
BARON ASSET FD                           068278100     123743       2041   X                             2041          0          0
BARON ASSET FD                           068278100     742887      12253               X                12253          0          0
BELL ATLANTIC CORP COM                   077853109     806597      12338   X                            12338          0          0
BELL ATLANTIC CORP COM                   077853109     308962       4726               X                 4726          0          0
BELLSOUTH CORP COM                       079860102    3378011      73236   X                            73236          0          0
BELLSOUTH CORP COM                       079860102    2706338      58674               X                56374          0       2300
BERKSHIRE HATHAWAY INC DEL               084670108     619200          9   X                                9          0          0
BERKSHIRE HATHAWAY INC DEL               084670108     412800          6               X                    6          0          0
BERKSHIRE HATHAWAY INC DEL               084670207     672000        300   X                              300          0          0
BERKSHIRE HATHAWAY INC DEL               084670207     365120        163               X                  163          0          0
BEST FOODS                               08658U101       9900        200   X                              200          0          0
BEST FOODS                               08658U101    1069200      21600               X                21600          0          0
BRANDYWINE FD INC COM                    10532D107    3467313     100182   X                           100182          0          0
BRANDYWINE FD INC COM                    10532D107      66431       1919               X                 1919          0          0
BRISTOL MYERS SQUIBB CO COM              110122108    7358658     104470   X                           103270        600        600
BRISTOL MYERS SQUIBB CO COM              110122108   13714138     194698               X               187798          0       6900
CVS CORPORATION (DEL)                    126650100    1009215      19886   X                            19886          0          0
CVS CORPORATION (DEL)                    126650100     325917       6422               X                 6422          0          0
CAPITAL HOLDINGS INC COM                 14018R101     211554       3358   X                             3358          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             306277127   17551978                             17209769     231391     110818
</TABLE>
<PAGE>   56
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    53

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
CARNIVAL CORP COM                        143658102     354050       7300   X                             7300          0          0
CARNIVAL CORP COM                        143658102      53350       1100               X                 1100          0          0
CATERPILLAR INC COM                      149123101     223800       3730   X                             3730          0          0
CATERPILLAR INC COM                      149123101     528000       8800               X                 8800          0          0
CEDAR FAIR LP DEPOSITARY UNITS           150185106      66784       2678   X                             2678          0          0
CEDAR FAIR LP DEPOSITARY UNITS           150185106     311226      12480               X                12480          0          0
CHASE MANHATTAN CORP (NEW) COM           16161A108    1565650      18100   X                            17500          0        600
CHASE MANHATTAN CORP (NEW) COM           16161A108     643560       7440               X                 7340        100          0
CHEVRON CORP COM                         166751107    1751441      18424   X                            18424          0          0
CHEVRON CORP COM                         166751107    2080549      21886               X                21886          0          0
CHUBB CORP COM                           171232101     951664      13693   X                            13193        500          0
CHUBB CORP COM                           171232101    1572021      22619               X                22619          0          0
CHURCH & DWIGHT INC COM                  171340102     348000       8000   X                             8000          0          0
CHURCH & DWIGHT INC COM                  171340102      30450        700               X                  700          0          0
CISCO SYS INC COM                        17275R102    6391734      99192   X                            98192          0       1000
CISCO SYS INC COM                        17275R102    2429441      37702               X                37502        200          0
CINTAS CORP COM                          172908105     602475       8967   X                             8967          0          0
CINTAS CORP COM                          172908105     485971       7233               X                 7233          0          0
CITIGROUP INC COM                        172967101      21375        450   X                              450          0          0
CITIGROUP INC COM                        172967101     500508      10537               X                 9037       1500          0
CLOROX CO COM                            189054109    1765085      16525   X                            16225          0        300
CLOROX CO COM                            189054109     277714       2600               X                 2600          0          0
COCA-COLA CO COM                         191216100    5529842      89191   X                            88691          0        500
COCA-COLA CO COM                         191216100    5399952      87096               X                78196        100       8800
COMCAST CORP CL A SPL                    200300200     224862       5850   X                             5850          0          0
COMCAST CORP CL A SPL                    200300200      11531        300               X                  300          0          0
COMERICA INC COM                         200340107     111446       1875   X                             1875          0          0
COMERICA INC COM                         200340107      93615       1575               X                 1575          0          0
COMPAQ COMPUTER CORP COM                 204493100     720115      30400   X                            30400          0          0
COMPAQ COMPUTER CORP COM                 204493100     343476      14500               X                12400          0       2100
COOPER INDS INC COM                      216669101     140400       2700   X                             2700          0          0
COOPER INDS INC COM                      216669101     548600      10550               X                10550          0          0
COOPER TIRE & RUBBER CO                  216831107     154744       6550   X                             6550          0          0
COOPER TIRE & RUBBER CO                  216831107     598894      25350               X                25350          0          0
COSTCO COMPANIES INC                     22160Q102     572450       7150   X                             7150          0          0
COSTCO COMPANIES INC                     22160Q102     128101       1600               X                 1600          0          0
DANA CORP COM                            235811106      88257       1916   X                             1916          0          0
DANA CORP COM                            235811106     614112      13332               X                11532          0       1800
DAYTON HUDSON CORP COM                   239753106    1904630      29302   X                            29302          0          0
DAYTON HUDSON CORP COM                   239753106      26000        400               X                  400          0          0
DELL COMPUTER CORP COM                   247025109    1178080      31840   X                            31840          0          0
DELL COMPUTER CORP COM                   247025109     481000      13000               X                13000          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103      97875       5800   X                             5800          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103     210094      12450               X                12450          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              42132924     722883                               705383       2400      15100
</TABLE>
<PAGE>   57
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    54

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
DISNEY WALT CO COM                       254687106    2631831      85413   X                            85413          0          0
DISNEY WALT CO COM                       254687106    1050199      34083               X                33783          0        300
DONNELLEY R R & SONS CO COM              257867101     228456       6164   X                             6164          0          0
DONNELLEY R R & SONS CO COM              257867101     294058       7934               X                 7934          0          0
DOW CHEM CO COM                          260543103     594536       4686   X                             4686          0          0
DOW CHEM CO COM                          260543103     574744       4530               X                 4530          0          0
DU PONT E I DE NEMOURS & CO COM          263534109     971616      14223   X                            14223          0          0
DU PONT E I DE NEMOURS & CO COM          263534109    2078081      30420               X                30420          0          0
DUKE REALTY INVST CO NEW                 264411505      60920       2700   X                             2700          0          0
DUKE REALTY INVST CO NEW                 264411505     227886      10100               X                10100          0          0
DUN & BRADSTREET CORP DEL                26483B106     222196       6270   X                             6270          0          0
DUN & BRADSTREET CORP DEL                26483B106      89764       2533               X                 2333          0        200
EDISON INTL COM                          281020107     120375       4500   X                             4500          0          0
EDISON INTL COM                          281020107     171200       6400               X                 4800          0       1600
ELECTRONIC DATA SYS CORP NEW COM         285661104     125991       2225   X                             2225          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104     172706       3050               X                 3050          0          0
EMERSON ELEC CO COM                      291011104    1613793      25641   X                            25641          0          0
EMERSON ELEC CO COM                      291011104    1045400      16610               X                15810          0        800
EQUITY INVT FD                           294710751      16650      15000               X                15000          0          0
EQUITY INV FD                            294711155      16775      15825               X                15825          0          0
EXXON CORP COM                           302290101    4749126      61577   X                            61577          0          0
EXXON CORP COM                           302290101    4632745      60068               X                59968          0        100
FPA CAP FD INC COM                       302539101     262484       7150               X                 7150          0          0
FPL GROUP INC COM                        302571104     210907       3861   X                             3861          0          0
FPL GROUP INC COM                        302571104     562638      10300               X                10300          0          0
FREDDIE MAC COM                          313400301     521710       8995   X                             8995          0          0
FREDDIE MAC COM                          313400301     176900       3050               X                 3050          0          0
FANNIE MAE COM                           313586109    2752045      40323   X                            40323          0          0
FANNIE MAE COM                           313586109    1210073      17730               X                17630        100          0
FIDELITY ADVISOR SER II                  315807206     280529       5241               X                 5241          0          0
FIDELITY CAP TR                          316066307    1643522      51009   X                            51009          0          0
FIDELITY FINL TR                         316145101     470717      14710   X                            14710          0          0
FIDELITY FINL TR                         316145101      57325       1791               X                 1791          0          0
FIDELITY BALANCED FD #304                316345206     339219      19015   X                            19015          0          0
FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     241354      21378   X                            21378          0          0
FIFTH THIRD BANCORP                      316773100     944662      14192   X                            14192          0          0
FIFTH THIRD BANCORP                      316773100    5901209      88656               X                51856          0      36800
FIRST TR SPL SITUATIONS TR               33734T134      27549      10678               X                10678          0          0
FIRSTMERIT CORP COM                      337915102     280630      10000   X                            10000          0          0
FLEET FINL GROUP INC NEW COM             338915101    1720153      38764   X                            38764          0          0
FLEET FINL GROUP INC NEW COM             338915101     493095      11112               X                11112          0          0
FORD MOTOR CO DEL COM                    345370100     223607       3962   X                             3962          0          0
FORD MOTOR CO DEL COM                    345370100     145554       2579               X                 2579          0          0
FORT JAMES CORP                          347471104     239559       6325               X                 6325          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              40394489     810773                               770873        100      39800
</TABLE>
<PAGE>   58
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    55

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK

FORTUNE BRANDS INC                       349631101      62063       1500   X                             1500          0          0
FORTUNE BRANDS INC                       349631101     248953       6017               X                 5750        267          0
FRANKLIN RES INC COM                     354613101     857147      21099   X                            21099          0          0
FRANKLIN RES INC COM                     354613101     255897       6299               X                 6299          0          0
GTE CORP COM                             362320103    1280556      16961   X                            16561        400          0
GTE CORP COM                             362320103    2610941      34582               X                34032          0        550
GAP INC COM                              364760108     921208      18287   X                            18287          0          0
GAP INC COM                              364760108     170016       3375               X                 3375          0          0
GENERAL ELEC CO COM                      369604103    8799310      77870   X                            77870          0          0
GENERAL ELEC CO COM                      369604103   13069580     115660               X               105310        100      10250
GENERAL MILLS INC COM                    370334104     333637       4151   X                             4151          0          0
GENERAL MILLS INC COM                    370334104     531841       6617               X                 6617          0          0
GENERAL MTRS CORP COM                    370442105      49038        743   X                              743          0          0
GENERAL MTRS CORP COM                    370442105     155826       2361               X                 2361          0          0
GILLETTE CO COM                          375766102    1506135      36735   X                            36035          0        700
GILLETTE CO COM                          375766102    3200050      78050               X                77850        200          0
GLAXO WELLCOME PLC                       37733W105     113250       2000   X                             2000          0          0
GLAXO WELLCOME PLC                       37733W105     118913       2100               X                 2100          0          0
GUIDANT CORP COM                         401698105     726077      14202   X                            14202          0          0
GUIDANT CORP COM                         401698105    1036202      20268               X                16516          0       3752
HCR MANOR CARE INC COM                   404134108     238542       9862   X                             9862          0          0
HCR MANOR CARE INC COM                   404134108      55028       2275               X                 2275          0          0
HALLIBURTON CO COM                       406216101     549788      12150   X                            12150          0          0
HALLIBURTON CO COM                       406216101     470600      10400               X                10400          0          0
HARLEY DAVIDSON INC COM                  412822108    1349588      24820   X                            24820          0          0
HARLEY DAVIDSON INC COM                  412822108     656959      12082               X                11882        200          0
HEALTH CARE REIT INC                     42217K106      57172       2459   X                             2459          0          0
HEALTH CARE REIT INC                     42217K106     578042      24862               X                24862          0          0
HEINZ H J CO COM                         423074103     322053       6425   X                             6425          0          0
HEINZ H J CO COM                         423074103     842100      16800               X                16800          0          0
HEWLETT PACKARD CO COM                   428236103    1782569      17737   X                            17737          0          0
HEWLETT PACKARD CO COM                   428236103    3564434      35467               X                32767          0       2700
HOME DEPOT INC COM                       437076102    4196911      65131   X                            65131          0          0
HOME DEPOT INC COM                       437076102    2473904      38392               X                37592        200        600
HUNTINGTON BANCSHARES INC COM            446150104     302750       8650   X                             8650          0          0
HUNTINGTON BANCSHARES INC COM            446150104    1846460      52756               X                52756          0          0
IMS HEALTH INC                           449934108     375000      12000   X                            12000          0          0
IMS HEALTH INC                           449934108      65625       2100               X                 2100          0          0
ILLINOIS TOOL WORKS INC COM              452308109     296344       3625   X                             3625          0          0
ILLINOIS TOOL WORKS INC COM              452308109     163500       2000               X                 1900        100          0
INTEL CORP COM                           458140100    4173687      70146   X                            70146          0          0
INTEL CORP COM                           458140100    1541050      25900               X                24500          0       1400
INTERNATIONAL BUSINESS MACHS CORP        459200101    1815963      14050   X                            14050          0          0
INTERNATIONAL BUSINESS MACHS CORP        459200101     953348       7376               X                 6896          0        480
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              64718057     946342                               924443       1467      20432
</TABLE>
<PAGE>   59
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    56

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
INTERPUBLIC GROUP COS INC COM            460690100    1086884      12547   X                            12547          0          0
INTERPUBLIC GROUP COS INC COM            460690100    1944558      22448               X                21548          0        900
SCUDDER GROWTH & INCOME FUND             460965882     240875       8272   X                             8272          0          0
SCUDDER GROWTH & INCOME FUND             460965882      67053       2303               X                 2303          0          0
JANUS FUND INCORPORATED                  471023101    6444484     160311   X                           160311          0          0
JANUS FUND INCORPORATED                  471023101     151206       3761               X                 3761          0          0
JANUS INVT FD WORLDWIDE FD               471023309     344114       6440   X                             6440          0          0
JANUS INVT FD WORLDWIDE FD               471023309     680286      12732               X                12732          0          0
JOHNSON & JOHNSON COM                    478160104    1215396      12402   X                            12402          0          0
JOHNSON & JOHNSON COM                    478160104    2317700      23650               X                23650          0          0
KELLOGG CO COM                           487836108     290400       8800   X                             8800          0          0
KELLOGG CO COM                           487836108     158400       4800               X                 4800          0          0
KEYCORP NEW COM                          493267108     658595      20501   X                            20501          0          0
KEYCORP NEW COM                          493267108     946724      29470               X                20470          0       9000
KIMBERLY-CLARK CORP COM                  494368103     257925       4525   X                             4525          0          0
KIMBERLY-CLARK CORP COM                  494368103     260262       4566               X                 4566          0          0
KIMCO RLTY CORP COM                      49446R109      19875        500   X                              500          0          0
KIMCO RLTY CORP COM                      49446R109     224588       5650               X                 5650          0          0
LANCASTER COLONY CORP COM                513847103     976454      28303               X                28303          0          0
LILLY ELI & CO COM                       532457108     685809       9575   X                             9575          0          0
LILLY ELI & CO COM                       532457108    1069361      14930               X                12806          0       2124
LOWES COS INC COM                        548661107     170064       3000   X                             3000          0          0
LOWES COS INC COM                        548661107      79363       1400               X                 1400          0          0
LUCENT TECHNOLOGIES INC COM              549463107    3333359      49429   X                            49429          0          0
LUCENT TECHNOLOGIES INC COM              549463107    2189408      32466               X                32014          0        452
MCN ENERGY GROUP INC COM                 55267J100    1539816      74208               X                74208          0          0
MCI WORLDCOM INC                         55268B106    1441297      16747   X                            16747          0          0
MCI WORLDCOM INC                         55268B106     593577       6897               X                 6797        100          0
MARSH & MCLENNAN COS INC                 571748102    1108829      14650   X                            14650          0          0
MARSH & MCLENNAN COS INC                 571748102     209353       2766               X                 2766          0          0
MAXIM INTEGRATED PRODS INC               57772K101     172900       2600   X                             2600          0          0
MAXIM INTEGRATED PRODS INC               57772K101     126350       1900               X                 1900          0          0
MCDONALDS CORP                           580135101    2002253      48687   X                            47687          0       1000
MCDONALDS CORP                           580135101    1589481      38650               X                38450        200          0
MCGRAW-HILL COS INC                      580645109      10788        200   X                              200          0          0
MCGRAW-HILL COS INC                      580645109    1132698      21000               X                21000          0          0
MEDIAONE GROUP INC                       58440J104     298393       4012   X                             4012          0          0
MEDIAONE GROUP INC                       58440J104     416500       5600               X                 5600          0          0
MEDTRONIC INC                            585055106     778750      10000   X                            10000          0          0
MEDTRONIC INC                            585055106     207148       2660               X                 2660          0          0
MELLON BK CORP                           585509102     571088      15700   X                            15700          0          0
MELLON BK CORP                           585509102     200063       5500               X                 5500          0          0
MERCK & CO INC                           589331107    5332512      72428   X                            72428          0          0
MERCK & CO INC                           589331107    8974446     121894               X               119294        200       2400
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              52519385     948880                               932504        500      15876
</TABLE>
<PAGE>   60
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    57

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
MICROSOFT CORP                           594918104    5069648      56212   X                            56212          0          0
MICROSOFT CORP                           594918104    3354994      37200               X                35600        200       1400
MINNESOTA MNG & MFG CO                   604059105    1278336      14704   X                            14704          0          0
MINNESOTA MNG & MFG CO                   604059105    2111463      24287               X                23787          0        500
MOBIL CORP                               607059102    2380369      24105   X                            24105          0          0
MOBIL CORP                               607059102    2458776      24899               X                23699          0       1200
MONSANTO CO                              611662107     478712      12100   X                            12100          0          0
MONSANTO CO                              611662107     239356       6050               X                 5850          0        200
MORGAN J P & CO INC                      616880100     569868       4056   X                             4056          0          0
MORGAN J P & CO INC                      616880100     498775       3550               X                 3550          0          0
MOTOROLA INC                             620076109      18950        200   X                              200          0          0
MOTOROLA INC                             620076109     220768       2330               X                 2330          0          0
N-VIRO INTERNATIONAL CORPORATION         62944W9A8      13926      10128               X                10128          0          0
NATIONAL CITY CORP                       635405103    2683142      40964   X                            39764       1200          0
NATIONAL CITY CORP                       635405103    6803747     103874               X               100856       3018          0
NATIONAL PROCESSING INC                  637229105     126563      12500   X                            12500          0          0
NICHOLAS FD INC COM                      653735100     100033       1184   X                             1184          0          0
NICHOLAS FD INC COM                      653735100     178391       2112               X                 2112          0          0
NORDSTROM INC                            655664100      46900       1400   X                             1400          0          0
NORDSTROM INC                            655664100     178689       5334               X                 5334          0          0
NORFOLK SOUTHN CORP                      655844108     235879       7830   X                             7830          0          0
NORFOLK SOUTHN CORP                      655844108      15063        500               X                  500          0          0
NORTHERN TR CORP                         665859104    1713505      17665   X                            17665          0          0
NORTHERN TR CORP                         665859104    2415300      24900               X                24300          0        600
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     158941      13967   X                            13967          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762      47929       4212               X                 4212          0          0
OHIO INSD MUNS INCOME TR                 67738G755     417619        423   X                              423          0          0
PNC BK CORP                              693475105    2004313      34782   X                            34782          0          0
PNC BK CORP                              693475105     905174      15708               X                15208          0        500
PPG INDS INC                             693506107     413441       7000               X                 7000          0          0
PARKSTONE MICHIGAN MUNICIPAL FUND        701475881     479277      44750   X                            44750          0          0
PEPSICO INC                              713448108    2383606      61611   X                            61611          0          0
PEPSICO INC                              713448108    2335517      60368               X                56968          0       3400
PHARMACIA & UPJOHN INC                   716941109      80447       1416   X                             1416          0          0
PHARMACIA & UPJOHN INC                   716941109     539724       9500               X                 9500          0          0
PFIZER INC                               717081103    4815511      44179   X                            44179          0          0
PFIZER INC                               717081103    3733686      34254               X                32954          0       1300
PHILIP MORRIS COS INC                    718154107    1953137      48600   X                            48600          0          0
PHILIP MORRIS COS INC                    718154107    2169067      53973               X                51273          0       2700
PITNEY BOWES INC                         724479100    2496434      38855   X                            38455        400          0
PITNEY BOWES INC                         724479100    2255304      35102               X                32002          0       3100
PROCTER & GAMBLE CO COM                  742718109    4437510      49720   X                            49720          0          0
PROCTER & GAMBLE CO COM                  742718109    4784425      53607               X                49007        100       4500
PROVIDIAN FINL CORP                      74406A102     608363       6524   X                             6524          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              70210578    1056635                              1032317       4918      19400
</TABLE>
<PAGE>   61
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    58

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
PROVIDIAN FINL CORP                      74406A102     209813       2250               X                 2250          0          0
RPM INC OHIO COM                         749685103     302985      21355   X                            21355          0          0
RPM INC OHIO COM                         749685103     102040       7192               X                 7192          0          0
REUTERS GROUP PLC-SPONS ADR              76132M102     760371       9380   X                             9380          0          0
REUTERS GROUP PLC-SPONS ADR              76132M102     242216       2988               X                 2488          0        500
T ROWE PRICE                             779556109     213939       5642   X                             5642          0          0
T ROWE PRICE                             779556109     247087       6516               X                 6516          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     287091       4765   X                             4765          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     537129       8915               X                 8915          0          0
SBC COMMUNICATIONS INC COM               78387G103    2571836      44342   X                            44342          0          0
SBC COMMUNICATIONS INC COM               78387G103    1873748      32306               X                31136          0       1170
SAFECO GROWTH FD INC                     786434100     429292      20183               X                20183          0          0
SARA LEE CORP COM                        803111103    1230370      54230   X                            54230          0          0
SARA LEE CORP COM                        803111103    1868901      82374               X                75374          0       7000
SCHERING-PLOUGH CORP COM                 806605101    7046235     134214   X                           132214       2000          0
SCHERING-PLOUGH CORP COM                 806605101    3018435      57494               X                45894          0      11600
SCHLUMBERGER LTD COM                     806857108    1987511      31207   X                            31207          0          0
SCHLUMBERGER LTD COM                     806857108     216539       3400               X                 3200          0        200
SCIENTIFIC ATLANTA INC COM               808655104     295200       8200   X                             8200          0          0
SERVICEMASTER CO COM                     81760N109     337500      18000   X                            18000          0          0
SERVICEMASTER CO COM                     81760N109     374400      19968               X                19968          0          0
SKY FINL GROUP INC                       83080P103     105376       3867   X                             3867          0          0
SKY FINL GROUP INC                       83080P103     983153      36079               X                34036       2043          0
SMITHKLINE BEECHAM CORP                  832378301     541717       8200   X                             7200          0       1000
SMITHKLINE BEECHAM CORP                  832378301     393075       5950               X                 5950          0          0
SPRINT CORP COM                          852061100      63600       1200   X                             1200          0          0
SPRINT CORP COM                          852061100     704688      13296               X                13296          0          0
SPRINT CORP                              852061506      79800       1400   X                             1400          0          0
SPRINT CORP                              852061506     185193       3249               X                 3249          0          0
STATE STR CORP                           857477103     286006       3350   X                             3350          0          0
STATE STR CORP                           857477103      93913       1100               X                 1100          0          0
SUN MICROSYSTEMS INC COM                 866810104     413250       6000   X                             6000          0          0
SUN MICROSYSTEMS INC COM                 866810104     303050       4400               X                 4400          0          0
SYSCO CORP COM                           871829107     139912       4693   X                             4693          0          0
SYSCO CORP COM                           871829107     282001       9459               X                 8559          0        900
TELEFONICA S.A.                          879382208     536041       3643               X                 3643          0          0
TEMPLETON FDS INC                        880196209    1109194     107689   X                           106421       1267          0
TEMPLETON FDS INC                        880196209     634803      61631               X                61631          0          0
TEMPLETON INSTL FDS INC                  880210505    2151556     109216   X                           109216          0          0
TEMPLETON INSTL FDS INC                  880210505     723107      36706               X                36706          0          0
TEXACO INC COM                           881694103     126559       2029   X                             2029          0          0
TEXACO INC COM                           881694103     694858      11140               X                11140          0          0
TEXAS INSTRS INC COM                     882508104     236304       1641   X                             1641          0          0
TEXAS INSTRS INC COM                     882508104     959040       6660               X                 6660          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              35898834    1017519                               989838       5310      22370
</TABLE>
<PAGE>   62
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    59

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
TEXAS PAC LD TR SUB SH                   882610108     322200       7200               X                 7200          0          0
TEXAS UTILITIES CO COM (HLDG)            882848104     271419       6550   X                             6550          0          0
TIME WARNER INC COM                      887315109    1241888      17100   X                            17100          0          0
TIME WARNER INC COM                      887315109     196088       2700               X                 2700          0          0
TOLEDO MIRROR AND GLASS COMPANY          8892729A0    1680560        322   X                              322          0          0
TYCO INTL LTD NEW                        902124106    1146191      12097   X                            12097          0          0
TYCO INTL LTD NEW                        902124106     503407       5313               X                 4790          0        523
UNCOMMON VALUES UNIT TR                  904310174      21832      21832               X                21832          0          0
U S WEST INC NEW                         91273H101     461305       7852   X                             7852          0          0
U S WEST INC NEW                         91273H101     483865       8236               X                 8236          0          0
UNITED TECHNOLOGIES CORP COM             913017109    1417032      19681   X                            19681          0          0
UNITED TECHNOLOGIES CORP COM             913017109     456264       6337               X                 4629       1708          0
VANGUARD BD INDEX FD INC                 921937306    1210137     123106   X                           123106          0          0
VANGUARD INSTL INDEX FD                  922040100     639169       5089   X                             5089          0          0
VANGUARD INSTL INDEX FD                  922040100      17968        143               X                  143          0          0
VANGUARD                                 922908108    3711056      29260   X                            29260          0          0
VANGUARD                                 922908108    1779626      14032               X                14032          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     899502       4566   X                             4566          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     352926       1792               X                 1325         67        400
WACHOVIA CORP COM                        929771103     886176      10357   X                             9817          0        540
WACHOVIA CORP COM                        929771103    1490336      17418               X                17418          0          0
WAL MART STORES INC                      931142103    6118872     126816   X                           125816          0       1000
WAL MART STORES INC                      931142103    2236388      46350               X                45550        200        600
WALGREEN CO COM                          931422109    1073833      36556   X                            36556          0          0
WALGREEN CO COM                          931422109     135125       4600               X                 4600          0          0
WARNER LAMBERT CO COM                    934488107      41475        600   X                              600          0          0
WARNER LAMBERT CO COM                    934488107     767288      11100               X                11100          0          0
WASTE MANAGEMENT INC NEW COM             94106L109      55094       1025   X                             1025          0          0
WASTE MANAGEMENT INC NEW COM             94106L109     151575       2820               X                 2820          0          0
WELLS FARGO & CO NEW                     949746101    6380480     149251   X                           149251          0          0
WELLS FARGO & CO NEW                     949746101    2632374      61576               X                61576          0          0
WISCONSIN ENERGY CORP COM                976657106     227397       9073   X                             9073          0          0
WISCONSIN ENERGY CORP COM                976657106     113886       4544               X                 1700          0       2844
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              39122734     775294                               767412       1975       5907
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                          742310849   29964527                             29370595     251772     342159
</TABLE>
<PAGE>   63
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    60

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
B. PREFERRED STOCK                                                              INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            PREFERRED STOCK

                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                               0          0                                    0          0          0
</TABLE>
<PAGE>   64
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    61

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
C. OTHER                                                                        INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            OTHER
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                         0          0                                    0          0          0
</TABLE>
<PAGE>   65
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 09-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 009             PAGE    62
**SUMMARY PAGE FOR: 09-NATIONAL CITY BANK                                     **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                <C>         <C>                                  <C>        <C>        <C>
A. COMMON STOCK                                     742310849   29964527                             29370595     251772     342159
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                                    0          0                                    0          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                    742310849   29964527                             29370595     251772     342159
</TABLE>
<PAGE>   66
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    63

                                                                             SEC USE ONLY
                                                                                          ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5        ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV     INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED     NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>            <C>        <C>       <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 LEMAR INVESTMENT CO                      LEMARINV0     342020        80    X                               54         26          0
 AT&T CORP COM                            001957109     505610      9059    X                             9059          0          0
 AT&T CORP COM                            001957109      42530       762                X                  762          0          0
 ABBOTT LABS                              002824100    2331368     51380    X                            50070        550        760
 ABBOTT LABS                              002824100     104363      2300                X                    0       2300          0
 AEGON N V ORD AMER REG (NLG)             007924103     146397      1980    X                             1980          0          0
 AEGON N V ORD AMER REG (NLG)             007924103      65213       882                X                  882          0          0
 AEROSPACE DESIGN & FABRICATION, INC      008017907      93040     12922    X                            12922          0          0
 ALBERTSONS INC COM                       013104104    1059620     20550    X                            20550          0          0
 ALBERTSONS INC COM                       013104104      18563       360                X                  360          0          0
 ALLSTATE CORP COM                        020002101     457406     12750    X                            12750          0          0
 ALLTEL CORP COM                          020039103     588159      8226    X                             8226          0          0
 AMERICAN EXPRESS CO COM                  025816109     702935      5402    X                             5402          0          0
 AMERICAN EXPRESS CO COM                  025816109      26025       200                X                  200          0          0
 AMERICAN HOME PRODS CORP COM             026609107     880706     15350    X                            15350          0          0
 AMERICAN HOME PRODS CORP COM             026609107      55080       960                X                  960          0          0
 AMERICAN INTL GROUP INC COM              026874107    3726674     31784    X                            31784          0          0
 AMERICAN INTL GROUP INC COM              026874107     158288      1350                X                   50       1300          0
 AMERICAN WTR WKS CO INC                  030411102     123000      4000    X                             4000          0          0
 AMERICAN WTR WKS CO INC                  030411102     110700      3600                X                    0       3600          0
 AMERITECH CORP NEW COM                   030954101    3119340     42440    X                            42440          0          0
 AMERITECH CORP NEW COM                   030954101     135681      1846                X                 1846          0          0
 AMGEN INC                                031162100     118706      1950    X                             1950          0          0
 AMGEN INC                                031162100     109575      1800                X                    0       1800          0
 ARMADA FDS                               042086272    1025096     95893    X                            56729          0      39164
 ARMADA TAX MANAGED EQUITY FD #233        042086330   41558323   3231596    X                          3014965     163710      52921
 ARMADA TAX MANAGED EQUITY FD #233        042086330    7338886    570675                X               348004     222672          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    2688596    274908    X                           256741      18166          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     236052     24136                X                21636       2500          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579    1810632    162827    X                           150904          0      11923
 ARMADA CORE EQUITY FUND #681             042086595    1228789     83648    X                            83648          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    3810634    327938    X                           327938          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629     156479     13466                X                11102       2365          0
 ARMADA EQUITY INDEX FUND #42             042086645     608476     50961    X                            50961          0          0
 ARMADA GNMA INSTL CL #666                042086660     623156     62378    X                            62378          0          0
 ARMADA BOND FD INSTL CL #630             042086686   24403762   2475027    X                          2339425       3985     131616
 ARMADA BOND FD INSTL CL #630             042086686    1584215    160671                X               110825      49846          0
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   14852973   1372733    X                          1341938      30795          0
 ARMADA OHIO TAX EXEMPT FUND #612         042086751    1475417    136360                X                49149      87211          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    6741054    680915    X                           658344       1432      21139
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     398621     40265                X                23192      17073          0
 ARMADA INTERMEDIATE BD FUND              042086793    4949849    478709    X                           475357          0       3351
 ARMADA INTERMEDIATE BD FUND              042086793      19677      1903                X                 1903          0          0
 ARMADA ENHANCED INCOME FUND              042086827     847875     85385    X                            85385          0          0
                                                     ---------  --------                               -------     ------     ------
 SUBTOTALS FOR THIS PAGE                             131379561  10562327                               9692121     609331     260874
</TABLE>
<PAGE>   67
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    64

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-             SOLE      SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 ARMADA SMALL CAP VALUE FUND #616         042086843    6287726     450410    X                           427478      12811     10121
 ARMADA SMALL CAP VALUE FUND #616         042086843     123316       8834                X                 7101       1732         0
 ARMADA EQUITY INCOME FUND #614           042086868    7130351     371954    X                           340258          0     31695
 ARMADA EQUITY INCOME FUND #614           042086868      14945        780                X                  780          0         0
 ARMADA EQUITY GROWTH FUND                042086884   19092141     724010    X                           671730       3394     48886
 ARMADA EQUITY GROWTH FUND                042086884     444588      16860                X                15693       1167         0
 ATLANTIC RICHFIELD CO COM                048825103     302665       3622    X                             2422       1200         0
 AUTOMATIC DATA PROCESSING INC COM        053015103    2059200      46800    X                            46800          0         0
 AUTOMATIC DATA PROCESSING INC COM        053015103      61600       1400                X                 1400          0         0
 BP AMOCO PLC-SPONS ADR                   055622104     656208       6048    X                             6048          0         0
 BP AMOCO PLC-SPONS ADR                   055622104     125535       1157                X                 1157          0         0
 BANK OF AMER CORP COM                    060505104     239587       3268    X                             3268          0         0
 BANK ONE CORP COM                        06423A103    1432967      24058    X                            24058          0         0
 BELL ATLANTIC CORP COM                   077853109     688268      10528    X                            10528          0         0
 BELL ATLANTIC CORP COM                   077853109     102770       1572                X                 1572          0         0
 BELLSOUTH CORP COM                       079860102    1247220      27040    X                            27040          0         0
 BELLSOUTH CORP COM                       079860102      40959        888                X                  888          0         0
 BEST FOODS                               08658U101     239580       4840    X                             4840          0         0
 BEST FOODS                               08658U101      69300       1400                X                 1400          0         0
 BRISTOL MYERS SQUIBB CO COM              110122108    3591070      50982    X                            50982          0         0
 BRISTOL MYERS SQUIBB CO COM              110122108     147920       2100                X                 1000       1100         0
 CVS CORPORATION (DEL)                    126650100     317188       6250    X                             6250          0         0
 CVS CORPORATION (DEL)                    126650100      91350       1800                X                    0       1800         0
 CARDINAL HEALTH INC COM                  14149Y108     493955       7703    X                             7703          0         0
 CARDINAL HEALTH INC COM                  14149Y108     122222       1906                X                  206       1700         0
 CARNIVAL CORP COM                        143658102     164900       3400    X                             3400          0         0
 CARNIVAL CORP COM                        143658102     106700       2200                X                    0       2200         0
 CERIDIAN CORP COM                        15677T106     245160       7500    X                             7500          0         0
 CHASE MANHATTAN CORP (NEW) COM           16161A108     438382       5068    X                             5068          0         0
 CHEVRON CORP COM                         166751107     885227       9312    X                             9037        275         0
 CINCINNATI FINL CORP COM                 172062101     220194       5862    X                             5862          0         0
 CINCINNATI FINL CORP COM                 172062101      51386       1368                X                 1368          0         0
 CISCO SYS INC COM                        17275R102    5901876      91590    X                            91590          0         0
 CISCO SYS INC COM                        17275R102     296415       4600                X                 1200       3400         0
 CINTAS CORP COM                          172908105     549262       8175    X                             8175          0         0
 CINTAS CORP COM                          172908105     114220       1700                X                  600       1100         0
 CLOROX CO COM                            189054109     331120       3100    X                             3100          0         0
 CLOROX CO COM                            189054109      85450        800                X                    0        800         0
 COCA-COLA CO COM                         191216100    1784980      28790    X                            28790          0         0
 COCA-COLA CO COM                         191216100      24800        400                X                  400          0         0
 COMCAST CORP CL A SPL                    200300200     591945      15400    X                            15400          0         0
 COMCAST CORP CL A SPL                    200300200     126845       3300                X                    0       3300         0
 COMPAQ COMPUTER CORP COM                 204493100     560221      23650    X                            23650          0         0
 COMPAQ COMPUTER CORP COM                 204493100        829         35                X                   35          0         0
                                                      --------    -------                               -------      -----     -----
 SUBTOTALS FOR THIS PAGE                              57602543    1992460                               1865777      35979     90702
</TABLE>
<PAGE>   68
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    65

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 COSTCO COMPANIES INC                     22160Q102    2341843      29250   X                            29250          0          0
 COSTCO COMPANIES INC                     22160Q102      16013        200               X                  200          0          0
 DPL INC COM                              233293109    1008435      54510   X                            54510          0          0
 DPL INC COM                              233293109      41477       2242               X                 2242          0          0
 DANAHER CORPORATION COM                  235851102     229594       3950   X                             3950          0          0
 DANAHER CORPORATION COM                  235851102      69750       1200               X                    0       1200          0
 DAYTON HUDSON CORP COM                   239753106    1105000      17000   X                            17000          0          0
 DELL COMPUTER CORP COM                   247025109     210900       5700   X                             5700          0          0
 DELL COMPUTER CORP COM                   247025109     129500       3500               X                    0       3500          0
 DISNEY WALT CO COM                       254687106     587296      19060   X                            19060          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    1610411      23574   X                            23574          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109     143457       2100               X                  500       1600          0
 E M C CORP MASS COM                      268648102     689150      12530   X                            12530          0          0
 EASTMAN KODAK CO COM                     277461109     209009       3085   X                             3085          0          0
 EASTMAN KODAK CO COM                     277461109      32181        475               X                  475          0          0
 EMERSON ELEC CO COM                      291011104    2698781      42880   X                            42880          0          0
 EMERSON ELEC CO COM                      291011104      62938       1000               X                 1000          0          0
 EQUITY INV FD                            294711122      35474      30581   X                            30581          0          0
 ERICSSON L M TEL CO                      294821400     769102      23350   X                            23350          0          0
 EXXON CORP COM                           302290101    4027930      52226   X                            50226       2000          0
 EXXON CORP COM                           302290101     339042       4396               X                 4396          0          0
 FARMERS CAPITAL BANCORP COM              309562106     355000      10000   X                                0          0      10000
 FREDDIE MAC COM                          313400301    1537000      26500   X                            26500          0          0
 FREDDIE MAC COM                          313400301     118900       2050               X                    0       2050          0
 FANNIE MAE COM                           313586109    2545725      37300   X                            37300          0          0
 FIDELITY CONTRAFUND INC #22              316071109     625585       9957   X                             9957          0          0
 FIFTH THIRD BANCORP                      316773100     202152       3037   X                             3037          0          0
 FIFTH THIRD BANCORP                      316773100      65099        978               X                  452          0        526
 FIRSTAR CORP NEW WIS                     33763V109     456400      16300   X                            16300          0          0
 FIRSTAR CORP NEW WIS                     33763V109     102060       3645               X                   45       3600          0
 FLEET FINL GROUP INC NEW COM             338915101     419344       9450   X                             9450          0          0
 FORD MOTOR CO DEL COM                    345370100     599992      10631   X                            10631          0          0
 FORD MOTOR CO DEL COM                    345370100       5644        100               X                  100          0          0
 FRANKLIN RES INC COM                     354613101    1040813      25620   X                            25620          0          0
 FRANKLIN RES INC COM                     354613101      52813       1300               X                 1300          0          0
 FRANKLIN TAX FREE TR                     354723504     461335      38095   X                            38095          0          0
 GTE CORP COM                             362320103    2295804      30408   X                            29508        600        300
 GTE CORP COM                             362320103      51340        680               X                  680          0          0
 GAP INC COM                              364760108    2810169      55785   X                            55785          0          0
 GENERAL ELEC CO COM                      369604103    5984593      52961   X                            52561          0        400
 GENERAL ELEC CO COM                      369604103     870552       7704               X                 6604       1100          0
 GENERAL MILLS INC COM                    370334104     343603       4275   X                             4275          0          0
 GILLETTE CO COM                          375766102     766700      18700   X                            18700          0          0
 GUIDANT CORP COM                         401698105     255216       4992   X                             4992          0          0
                                                      --------     ------                               ------      -----      -----
 SUBTOTALS FOR THIS PAGE                              38323122     703277                               676401      15650      11226
</TABLE>
<PAGE>   69
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    66

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 GUIDANT CORP COM                         401698105     130164       2546               X                  746       1800          0
 HALLIBURTON CO COM                       406216101     261636       5782   X                             5782          0          0
 HARLEY DAVIDSON INC COM                  412822108    1237575      22760   X                            22760          0          0
 HARLEY DAVIDSON INC COM                  412822108     117450       2160               X                  160       2000          0
 HEWLETT PACKARD CO COM                   428236103    1763775      17550   X                            17550          0          0
 HEWLETT PACKARD CO COM                   428236103     120600       1200               X                 1200          0          0
 HOME DEPOT INC COM                       437076102    3051010      47348   X                            47348          0          0
 HOME DEPOT INC COM                       437076102     109545       1700               X                    0       1700          0
 ILLINOIS TOOL WORKS INC COM              452308109     365831       4475   X                             4475          0          0
 INTEL CORP COM                           458140100    4370989      73462   X                            73462          0          0
 INTEL CORP COM                           458140100     220150       3700               X                 1600       2100          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    3154217      24404   X                            24404          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101     359832       2784               X                 1784       1000          0
 INTERNATIONAL PAPER CO COM               460146103     226125       4500   X                             4500          0          0
 JAMES ADVANTAGE FUNDS                    470259102     503264      29124   X                            29124          0          0
 JANUS INVT FD WORLDWIDE FD               471023309      31307        586   X                              586          0          0
 JANUS INVT FD WORLDWIDE FD               471023309     223006       4174               X                    0       4174          0
 JOHNSON & JOHNSON COM                    478160104    2585730      26385   X                            26385          0          0
 JOHNSON & JOHNSON COM                    478160104     244020       2490               X                 1690        800          0
 KEYCORP NEW COM                          493267108     175081       5450   X                             5450          0          0
 KEYCORP NEW COM                          493267108     106013       3300               X                 3300          0          0
 KIMBERLY-CLARK CORP COM                  494368103     242934       4262   X                             4262          0          0
 KIMBERLY-CLARK CORP COM                  494368103       8550        150               X                  150          0          0
 LEXMARK INTL GROUP INC                   529771107     337980       5160   X                             5160          0          0
 LILLY ELI & CO COM                       532457108     645771       9016   X                             9016          0          0
 LILLY ELI & CO COM                       532457108       1433         20               X                   20          0          0
 LINCOLN NATL CORP IND COM                534187109     238024       4550   X                             4550          0          0
 LOWES COS INC COM                        548661107     226752       4000   X                             4000          0          0
 LOWES COS INC COM                        548661107      28344        500               X                  500          0          0
 LUCENT TECHNOLOGIES INC COM              549463107    3492176      51784   X                            51784          0          0
 LUCENT TECHNOLOGIES INC COM              549463107     212565       3152               X                  752       2400          0
 MCI WORLDCOM INC                         55268B106    2533178      29434   X                            29434          0          0
 MCI WORLDCOM INC                         55268B106     177806       2066               X                   16       2050          0
 MACAULAY BROWN INC                       554223990    3894445       7778   X                             7778          0          0
 MARSH & MCLENNAN COS INC                 571748102     219495       2900   X                             2900          0          0
 MARSH & MCLENNAN COS INC                 571748102      86966       1149               X                 1149          0          0
 MCDONALDS CORP                           580135101     238525       5800   X                             5800          0          0
 MCDONALDS CORP                           580135101      61688       1500               X                    0       1500          0
 MCGRAW-HILL COS INC                      580645109     248115       4600   X                             4600          0          0
 MEDTRONIC INC                            585055106    1381580      17741   X                            17741          0          0
 MEDTRONIC INC                            585055106      23363        300               X                  300          0          0
 MELLON BK CORP                           585509102     225525       6200   X                             6200          0          0
 MELLON BK CORP                           585509102     138225       3800               X                    0       3800          0
 MERCK & CO INC                           589331107    3656954      49670   X                            44820       4250        600
                                                      --------     ------                               ------      -----        --
 SUBTOTALS FOR THIS PAGE                              37677714     501412                               473238      27574        600
</TABLE>
<PAGE>   70
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    67

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>         <C>        <C>
             COMMON STOCK
             ------------
 MERCK & CO INC                           589331107     463838       6300               X                 4900       1400          0
 MIAMI COMPUTER SUPPLY CORP               593261100     307663      16300   X                            16300          0          0
 MICROSOFT CORP                           594918104    6537007      72482   X                            72482          0          0
 MICROSOFT CORP                           594918104     369771       4100               X                 2200       1900          0
 MILTONFEDERAL FINANCIAL CORP             601795107     255000      20000   X                            20000          0          0
 MINNESOTA MNG & MFG CO                   604059105     429213       4937   X                             4777          0        160
 MINNESOTA MNG & MFG CO                   604059105      62595        720               X                  720          0          0
 MOBIL CORP                               607059102    1273875      12900   X                            12900          0          0
 MOBIL CORP                               607059102      19750        200               X                  200          0          0
 MONSANTO CO                              611662107    1092730      27620   X                            27620          0          0
 MONSANTO CO                              611662107      87039       2200               X                    0       2200          0
 MORGAN J P & CO INC                      616880100     526875       3750   X                             3750          0          0
 NATIONAL CITY CORP                       635405103    3561956      54381   X                            49488       4893          0
 NATIONAL CITY CORP                       635405103     353045       5390               X                 3600       1790          0
 NEFF FOLDING BOX COMPANY CLASS B         639994102    1007372       6289   X                             6289          0          0
 NEFF FOLDING BOX CO                      640090916    1802996      17606   X                            17606          0          0
 NEWELL RUBBERMAID INC                    651229106    1048075      22600   X                            22600          0          0
 NEWELL RUBBERMAID INC                    651229106      20359        439               X                  439          0          0
 NORTHERN TR CORP                         665859104     281300       2900   X                             2900          0          0
 NORTHERN TR CORP                         665859104      58200        600               X                  600          0          0
 NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     120781      10613   X                            10613          0          0
 OHIO ELECTBONIC ENGRAVERS INC            6773599A1     429000       2200   X                             2200          0          0
 OMNICOM GROUP INC                        681919106     272000       3400   X                             3400          0          0
 PNC BK CORP                              693475105     285301       4951   X                             4951          0          0
 PNC BK CORP                              693475105      56934        988               X                  150        838          0
 PEPSICO INC                              713448108     643459      16632   X                            16632          0          0
 PEPSICO INC                              713448108     216653       5600               X                 5600          0          0
 PFIZER INC                               717081103    3742842      34338   X                            34338          0          0
 PFIZER INC                               717081103     340625       3125               X                 2025       1100          0
 PHILIP MORRIS COS INC                    718154107     999476      24870   X                            24870          0          0
 PHILIP MORRIS COS INC                    718154107     204959       5100               X                 5100          0          0
 PITNEY BOWES INC                         724479100    1237455      19260   X                            19260          0          0
 PITNEY BOWES INC                         724479100     403490       6280               X                 6280          0          0
 PROCTER & GAMBLE CO COM                  742718109    4514176      50579   X                            50179          0        400
 PROCTER & GAMBLE CO COM                  742718109    7021298      78670               X                 3100      75570          0
 PROGRESSIVE CORP OHIO                    743315103     188500       1300   X                             1300          0          0
 PROGRESSIVE CORP OHIO                    743315103     130500        900               X                    0        900          0
 PROVIDIAN FINL CORP                      74406A102     557169       5975   X                             5975          0          0
 PROVIDIAN FINL CORP                      74406A102     153863       1650               X                 1650          0          0
 QWEST COMMUNICATIONS INTL INC COM        749121109     209950       6350   X                             6350          0          0
 QWEST COMMUNICATIONS INTL INC COM        749121109      95883       2900               X                    0       2900          0
 REYNOLDS & REYNOLDS CO CL A              761695105     317057      13600   X                            13600          0          0
 REYNOLDS & REYNOLDS CO CL A              761695105       5828        250               X                  250          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     159663       2650   X                             2650          0          0
                                                      --------     ------                               ------      -----        ---
 SUBTOTALS FOR THIS PAGE                              41865521     583895                               489844      93491        560
</TABLE>
<PAGE>   71
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    68

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>         <C>       <C>
             COMMON STOCK
             ------------
 ROYAL DUTCH PETROLEUM CO                 780257804      67480       1120               X                 1120          0          0
 SBC COMMUNICATIONS INC COM               78387G103    1859538      32061   X                            32061          0          0
 SBC COMMUNICATIONS INC COM               78387G103     343476       5922               X                 5922          0          0
 SEI DAILY INCOME TR                      783965726     118480     118480   X                           118480          0          0
 SAFEWAY INC COM NEW                      786514208    2606175      52650   X                            52650          0          0
 SAFEWAY INC COM NEW                      786514208     126225       2550               X                  200       2350          0
 SARA LEE CORP COM                        803111103     249795      11010   X                            11010          0          0
 SARA LEE CORP COM                        803111103       4538        200               X                  200          0          0
 SCHERING-PLOUGH CORP COM                 806605101    2762025      52610   X                            52610          0          0
 SCHERING-PLOUGH CORP COM                 806605101      26250        500               X                  500          0          0
 SCHLUMBERGER LTD COM                     806857108    1424446      22366   X                            20850       1516          0
 SCHLUMBERGER LTD COM                     806857108      12738        200               X                  200          0          0
 SCHWAB CHARLES FAMILY FDS                808515100      18117      18117               X                    0          0      18117
 SECURITY BANC CORP COM                   813767100     208896       6144   X                             6144          0          0
 SMITHKLINE BEECHAM CORP                  832378301     132588       2007   X                             2007          0          0
 SMITHKLINE BEECHAM CORP                  832378301     198189       3000               X                 3000          0          0
 SPRINT CORP COM                          852061100     477000       9000   X                             9000          0          0
 SPRINT CORP                              852061506     135375       2375   X                             2375          0          0
 SPRINT CORP                              852061506      79800       1400               X                    0       1400          0
 STATE STR CORP                           857477103    1745919      20450   X                            20450          0          0
 STATE STR CORP                           857477103     102450       1200               X                  400        800          0
 SUN MICROSYSTEMS INC COM                 866810104     754181      10950   X                            10950          0          0
 SUN MICROSYSTEMS INC COM                 866810104       6888        100               X                  100          0          0
 TE-CO, AN OHIO CORP                      872370903     286774         33   X                               33          0          0
 TJX COS INC NEW COM                      872540109     339793      10200   X                            10200          0          0
 TANDY CORP COM                           875382103     977500      20000   X                            20000          0          0
 TEMPLETON FDS INC                        880196209     297818      28914   X                            28063        852          0
 TEMPLETON FDS INC                        880196209      42679       4144               X                 4144          0          0
 TEMPLETON INSTL FDS INC                  880210505     776494      39416   X                            33353          0       6063
 TEMPLETON INSTL FDS INC                  880210505      26968       1369               X                    0       1369          0
 TEXAS INSTRS INC COM                     882508104     288000       2000   X                             2000          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     404021       9750   X                             9750          0          0
 TIME WARNER INC COM                      887315109    2414781      33250   X                            33250          0          0
 TIME WARNER INC COM                      887315109     152513       2100               X                  400       1700          0
 TIPP MACHINE & TOOL INC                  887820900    1046500      91000   X                            91000          0          0
 TOWNE FINL CORP COM                      892138108     606452      20048   X                            20048          0          0
 TYCO INTL LTD NEW                        902124106    4868160      51379   X                            50201       1178          0
 TYCO INTL LTD NEW                        902124106     223705       2361               X                  561       1800          0
 UNITED HEALTH CARE CORP COM              910581107     244238       3900   X                             3900          0          0
 UNITED TECHNOLOGIES CORP COM             913017109    1660176      23058   X                            23058          0          0
 UNITED TECHNOLOGIES CORP COM             913017109     194400       2700               X                  400       2300          0
 VANGUARD TOTAL BOND MARKET               921937108     736774      75104               X                    0      75104          0
 VANGUARD                                 922908108     280089       2208   X                             2208          0          0
 VANGUARD                                 922908108     163308       1288               X                 1288          0          0
                                                      --------     ------                               ------      -----      -----
 SUBTOTALS FOR THIS PAGE                              29491712     798634                               684086      90369      24180
</TABLE>
<PAGE>   72
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    69

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>          <C>         <C>
             COMMON STOCK
             ------------
 WACHOVIA CORP COM                        929771103     896700      10480   X                            10480          0          0
 WACHOVIA CORP COM                        929771103     116195       1358               X                 1358          0          0
 WAL MART STORES INC                      931142103    3338900      69200   X                            69200          0          0
 WAL MART STORES INC                      931142103     197825       4100               X                  700       3400          0
 WALGREEN CO COM                          931422109    2373794      80810   X                            80810          0          0
 WALGREEN CO COM                          931422109     111625       3800               X                    0       3800          0
 WARNER LAMBERT CO COM                    934488107     873671      12639   X                            12639          0          0
 WARNER LAMBERT CO COM                    934488107     114056       1650               X                    0       1650          0
 WASTE MANAGEMENT INC NEW COM             94106L109     492995       9172   X                             9172          0          0
 WELLS FARGO & CO NEW                     949746101    2530800      59200   X                            59200          0          0
 WELLS FARGO & CO NEW                     949746101     149625       3500               X                  600       2900          0
 XEROX CORP COM                           984121103     856414      14500   X                            14500          0          0
 XEROX CORP COM                           984121103     135845       2300               X                    0       2300          0
                                                     ---------   --------                             --------     ------     ------
 SUBTOTALS FOR THIS PAGE                              12188445     272709                               258659      14050          0
                                                     ---------   --------                             --------     ------     ------
 SUBTOTALS FOR COMMON STOCK                          348528618   15414714                             14140126     886444     388142
</TABLE>
<PAGE>   73
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    70
                                                                             SEC USE ONLY
                                                                                          ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5        ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV     INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED     NONE
 B. PREFERRED STOCK                                                             INSTR  OTHER
<S>                                   <C>            <C>        <C>       <C>   <C>    <C>    <C>      <C>          <C>       <C>
             PREFERRED STOCK
             ---------------
 NEFF FOLDING BOX CO                      6400909A6     266994       1260               X                 1260          0          0
                                                     ---------  ---------                              -------      -----     ------
 SUBTOTALS FOR THIS PAGE                                266994       1260                                 1260          0          0
                                                     ---------- ---------                              -------      -----     ------
 SUBTOTALS FOR PREFERRED STOCK                          266994       1260                                 1260          0          0
</TABLE>
<PAGE>   74
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    71
                                                                             SEC USE ONLY
                                                                                          ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5        ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV     INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED     NONE
 C. OTHER                                                                       INSTR  OTHER
<S>                                   <C>            <C>        <C>       <C>   <C>    <C>    <C>      <C>          <C>       <C>
             OTHER
             -----
                                                     ---------  ---------                              -------      -----     ------
 SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                     ---------  ---------                              -------      -----     ------
 SUBTOTALS FOR OTHER                                         0          0                                    0          0          0
</TABLE>
<PAGE>   75
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 10-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 010             PAGE    72

**SUMMARY PAGE FOR: 10-NATIONAL CITY BANK                 **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- -----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                  <C>         <C>                                  <C>          <C>        <C>
 A. COMMON STOCK                                     348528618   15414714                             14140126     886444     388142
 B. PREFERRED STOCK                                     266994       1260                                 1260          0          0
 C. OTHER                                                    0          0                                    0          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                    348795612   15415974                             14141386     886444     388142
</TABLE>
<PAGE>   76
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE    94

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>     <C>          <C>       <C>
             COMMON STOCK
             ------------
 DAIMLERCHRYSLER AG                       D1668R123     115344       1296   X                             1296          0          0
 DAIMLERCHRYSLER AG                       D1668R123     190193       2137               X                 2137          0          0
 INCOME ADVANTAGE FUND                    000520999     137000     137000   X                           137000          0          0
 AT&T CORP COM                            001957109    5656424     101346   X                           101346          0          0
 AT&T CORP COM                            001957109    4182403      74936               X                73541        795        600
 ABBOTT LABS                              002824100    2677670      59012   X                            58443          0        569
 ABBOTT LABS                              002824100    5889448     129795               X               129130          0        665
 AEGON N V ORD AMER REG (NLG)             007924103      73938       1000   X                             1000          0          0
 AEGON N V ORD AMER REG (NLG)             007924103     321482       4348               X                 4348          0          0
 AETNA INC COM NEW                        008117103      33539        375   X                              375          0          0
 AETNA INC COM NEW                        008117103     603975       6753               X                 6753          0          0
 AIM                                      008879306    2668837      57980   X                            57980          0          0
 AIM                                      008879306      17001        369               X                  369          0          0
 AIM                                      008882102    1355731      70136   X                            70136          0          0
 AIRGAS INC                               009363102     147000      12000               X                12000          0          0
 AKZO NOBEL NV ADR                        010199305     508500      12000               X                12000          0          0
 ALBERTSONS INC COM                       013104104    1158363      22465   X                            22465          0          0
 ALBERTSONS INC COM                       013104104      99310       1926               X                 1926          0          0
 ALCOA INC                                013817101    1414153      22855   X                            22855          0          0
 ALCOA INC                                013817101      68063       1100               X                  500        600          0
 ALLSTATE CORP COM                        020002101     423971      11818   X                            11818          0          0
 ALLSTATE CORP COM                        020002101     178765       4983               X                 4983          0          0
 ALLTEL CORP COM                          020039103     994637      13911   X                            13911          0          0
 ALLTEL CORP COM                          020039103     680966       9524               X                 7624          0       1900
 ALTERA CORP COM                          021441100     217307       5903   X                             5687          0        216
 AMCAP FUND INC COM                       023375108     213623      11339   X                            11339          0          0
 AMCAP FUND INC COM                       023375108      21939       1165               X                 1165          0          0
 AMCOR LTD                                02341R302     315000      14000               X                14000          0          0
 AMERICA ONLINE INC DEL COM               02364J104     192500       1750   X                             1750          0          0
 AMERICA ONLINE INC DEL COM               02364J104     268400       2440               X                 1440       1000          0
 AMERICAN ELECTRIC POWER CO INC           025537101     213921       5695   X                             5695          0          0
 AMERICAN ELECTRIC POWER CO INC           025537101     117722       3134               X                 3134          0          0
 AMERICAN EXPRESS CO COM                  025816109      75993        584   X                              584          0          0
 AMERICAN EXPRESS CO COM                  025816109     609766       4686               X                 4686          0          0
 AMERICAN GENERAL CORP                    026351106    1244818      16515   X                            16515          0          0
 AMERICAN GENERAL CORP                    026351106      60300        800               X                  250        550          0
 AMERICAN HOME PRODS CORP COM             026609107    3528448      61498   X                            60991          0        507
 AMERICAN HOME PRODS CORP COM             026609107    8361546     145735               X               145035          0        700
 AMERICAN INTL GROUP INC COM              026874107    3072302      26203   X                            26203          0          0
 AMERICAN INTL GROUP INC COM              026874107    5781480      49309               X                48757          0        552
 AMERICAN WTR WKS CO INC                  030411102     288743       9390   X                             8790          0        600
 AMERICAN WTR WKS CO INC                  030411102     199875       6500               X                 6500          0          0
 AMERITECH CORP NEW COM                   030954101    6761412      91992   X                            91992          0          0
 AMERITECH CORP NEW COM                   030954101    8275586     112593               X               111547        650        396
                                                      --------    -------                              -------       ----       ----
 SUBTOTALS FOR THIS PAGE                              69417394    1330296                              1319996       3595       6705
</TABLE>
<PAGE>   77
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE    95

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>           <C>       <C>
             COMMON STOCK
             ------------
 AMGEN INC                                031162100     158275       2600   X                             2600          0          0
 AMGEN INC                                031162100     751806      12350               X                12350          0          0
 ANHEUSER BUSCH                           035229103      42563        600   X                              600          0          0
 ANHEUSER BUSCH                           035229103     751943      10600               X                10600          0          0
 AON CORP COM                             037389103    2018693      48938   X                            48938          0          0
 APPLEBEE'S INTL COM                      037899101     554300      18400               X                18400          0          0
 APPLIED INDL TECHNOLOGIES IN             03820C105      81225       4275   X                             4275          0          0
 APPLIED INDL TECHNOLOGIES IN             03820C105     152000       8000               X                 8000          0          0
 APPLIED MATLS INC                        038222105      43365        587   X                              472          0        115
 APPLIED MATLS INC                        038222105    2925450      39600               X                39600          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     103682       6716   X                             6716          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     507524      32875               X                32875          0          0
 ARDEN RLTY INC COM                       039793104     601589      24430   X                            24430          0          0
 ARDEN RLTY INC COM                       039793104      17484        710               X                    0        710          0
 ARMADA FDS                               042086272    4239865     396620   X                           396620          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330   25350090    1971236   X                          1971236          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330   23317509    1813181               X              1813181          0          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1117495     114263   X                           114263          0          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     162321      16597               X                16597          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579    4969989     446941   X                           446941          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579     853686      76770               X                76770          0          0
 ARMADA CORE EQUITY FUND #681             042086595     615750      41916   X                            41916          0          0
 ARMADA CORE EQUITY FUND #681             042086595     377805      25719               X                25719          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    7241894     623227   X                           617056          0       6170
 ARMADA INTERNATIONAL EQUITY FD           042086629     904154      77810               X                76793       1017          0
 ARMADA EQUITY INDEX FUND #42             042086645   14787316    1238469   X                          1191031          0      47438
 ARMADA EQUITY INDEX FUND #42             042086645     848267      71044               X                71044          0          0
 ARMADA GNMA INSTL CL #666                042086660    5208997     521421   X                           515955          0       5466
 ARMADA GNMA INSTL CL #666                042086660     237511      23775               X                23775          0          0
 ARMADA BOND FD INSTL CL #630             042086686   38520593    3906754   X                          3805065      11254      90435
 ARMADA BOND FD INSTL CL #630             042086686   13379984    1356996               X              1348586          0       8410
 ARMADA OHIO TAX EXEMPT FUND #612         042086751    9557817     883347   X                           873790          0       9557
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   13646281    1261209               X              1227483          0      33726
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777   24148550    2439247   X                          2432830       3384       3033
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    4960296     501040               X               491733       9307          0
 ARMADA INTERMEDIATE BD FUND              042086793   35406986    3424273   X                          3402325      11391      10556
 ARMADA INTERMEDIATE BD FUND              042086793    2017797     195145               X               195145          0          0
 ARMADA ENHANCED INCOME FUND              042086827    7663359     771738   X                           748057       1009      22672
 ARMADA ENHANCED INCOME FUND              042086827     210464      21195               X                21195          0          0
 ARMADA SMALL CAP VALUE FUND #616         042086843   11496437     823527   X                           807883       3788      11856
 ARMADA SMALL CAP VALUE FUND #616         042086843    2524828     180862               X               171563       6263       3036
 ARMADA EQUITY INCOME FUND #614           042086868   23760343    1239455   X                          1209988      11474      17992
 ARMADA EQUITY INCOME FUND #614           042086868    3901258     203508               X               197305       6204          0
 ARMADA EQUITY GROWTH FUND                042086884   79385773    3010458   X                          2977156      11165      22137
                                                     ---------   --------                             --------      -----     ------
 SUBTOTALS FOR THIS PAGE                             369523314   27888424                             27518857      76966     292599
</TABLE>
<PAGE>   78
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE    96

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>     <C>          <C>       <C>
             COMMON STOCK
             ------------
 ARMADA EQUITY GROWTH FUND                042086884    8413232     319046               X               297036      22009          0
 ARMSTRONG WORLD INDS INC COM             042476101     351503       6080   X                             6080          0          0
 ARMSTRONG WORLD INDS INC COM             042476101      19541        338               X                  168        170          0
 ARVIN INDS INC COM                       043339100     238613       6300               X                 6300          0          0
 ASSOCIATED BRIT FOODS LTD                045519402     287320      44000               X                44000          0          0
 ASSOCIATES FIRST CAP CORP COM            046008108     282488       6402   X                             6036        366          0
 ASSOCIATES FIRST CAP CORP COM            046008108     727180      16480               X                16480          0          0
 ASTRA AB CLASS-A ADR                     046298105     752500      35000               X                35000          0          0
 ATLANTIC RICHFIELD CO COM                048825103    1710200      20466   X                            20166        300          0
 ATLANTIC RICHFIELD CO COM                048825103     377621       4519               X                 4019        500          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    2154108      48957   X                            48957          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    1669668      37947               X                37247          0        700
 AVALONBAY CMNTYS INC                     053484101      53391       1443   X                             1443          0          0
 AVALONBAY CMNTYS INC                     053484101     177230       4790               X                 4790          0          0
 BASF A G NEW ADR                         055262406     417354       9500               X                 9500          0          0
 BP AMOCO PLC-SPONS ADR                   055622104    2245733      20698   X                            20448        250          0
 BP AMOCO PLC-SPONS ADR                   055622104    2556369      23561               X                22966        595          0
 BANCWEST CORP NEW                        059790105     207900       5600               X                 5600          0          0
 BANK OF AMER CORP COM                    060505104    1580775      21562   X                            21562          0          0
 BANK OF AMER CORP COM                    060505104    2132822      29092               X                28622        470          0
 BANK ONE CORP COM                        06423A103    9324052     156541   X                           155378       1163          0
 BANK ONE CORP COM                        06423A103    5713998      95932               X                86482       8789        661
 BAXTER INTL INC COM                      071813109     141802       2339   X                             2339          0          0
 BAXTER INTL INC COM                      071813109     632622      10435               X                10035        400          0
 BAYER A G SPONSORED ADR'S                072730302     353702       8500               X                 8500          0          0
 BELL ATLANTIC CORP COM                   077853109    2263152      34618   X                            34618          0          0
 BELL ATLANTIC CORP COM                   077853109    2739147      41899               X                41427        472          0
 BELLSOUTH CORP COM                       079860102    2470732      53566   X                            53566          0          0
 BELLSOUTH CORP COM                       079860102    5568764     120732               X               119832          0        900
 BERKSHIRE HATHAWAY INC DEL               084670108     206400          3               X                    3          0          0
 BERKSHIRE HATHAWAY INC DEL               084670207     165760         74   X                               74          0          0
 BERKSHIRE HATHAWAY INC DEL               084670207     336000        150               X                  150          0          0
 BEST FOODS                               08658U101     418770       8460   X                             7560        900          0
 BEST FOODS                               08658U101     722007      14586               X                14586          0          0
 BLACK & DECKER CORP                      091797100     500203       7924               X                 7924          0          0
 BOEING CO                                097023105     308440       7010   X                             7010          0          0
 BOEING CO                                097023105     878328      19962               X                19962          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108    7969778     113146   X                           112216          0        930
 BRISTOL MYERS SQUIBB CO COM              110122108   12076595     171450               X               163130       1120       7200
 BRITISH AIRWAYS PLC ADR                  110419306     500066       7000               X                 7000          0          0
 BRITISH TELECOMMUNICATIONS PLC           111021408     599375       3500               X                 3500          0          0
 BROWNING FERRIS INDS INC COM             115885105     761100      17700   X                            17700          0          0
 BROWNING FERRIS INDS INC COM             115885105      81399       1893               X                 1893          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104      68200       2200   X                             2200          0          0
                                                      --------    -------                              -------      -----      -----
 SUBTOTALS FOR THIS PAGE                              81155940    1561401                              1513505      37504      10391
</TABLE>
<PAGE>   79
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE    97

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>          <C>       <C>
             COMMON STOCK
             ------------
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     303149       9779               X                 9779          0          0
 BURLINGTON RES INC COM                   122014103     157171       3634   X                             3634          0          0
 BURLINGTON RES INC COM                   122014103     228793       5290               X                 5290          0          0
 CBRL GROUP INC                           12489V106     417243      24100               X                24100          0          0
 CIGNA CORP COM                           125509109     829302       9318   X                             9318          0          0
 CIGNA CORP COM                           125509109     259791       2919               X                 2919          0          0
 CMP GROUP INC                            125887109     295924      11300               X                11300          0          0
 CSX CORP COM                             126408103     950561      20949   X                            20949          0          0
 CSX CORP COM                             126408103     712841      15710               X                15710          0          0
 CUNO INC                                 126583103     878717      45946   X                            45946          0          0
 CUNO INC                                 126583103    8477577     443272               X               324276     118996          0
 CVS CORPORATION (DEL)                    126650100     961662      18949   X                            18949          0          0
 CVS CORPORATION (DEL)                    126650100      68107       1342               X                 1342          0          0
 CANON INC ADR REPSTG 5 SHS               138006309     728125      25000               X                25000          0          0
 CARDINAL HEALTH INC COM                  14149Y108     973931      15188   X                            15188          0          0
 CARDINAL HEALTH INC COM                  14149Y108     133059       2075               X                 2075          0          0
 CAROLINA PWR & LT CO COM                 144141108      92048       2150   X                             2150          0          0
 CAROLINA PWR & LT CO COM                 144141108     333941       7800               X                 7800          0          0
 CATERPILLAR INC COM                      149123101     699300      11655   X                            11655          0          0
 CATERPILLAR INC COM                      149123101     139800       2330               X                 2090        240          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106      39901       1600   X                             1600          0          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106     320952      12870               X                12870          0          0
 CENDANT CORP                             151313103       4100        200   X                              100          0        100
 CENDANT CORP                             151313103     717500      35000               X                35000          0          0
 CENTURY ALUM CO                          156431108      99627      16100               X                16100          0          0
 CERIDIAN CORP COM                        15677T106     476101      14565   X                            14565          0          0
 CERIDIAN CORP COM                        15677T106       6995        214               X                  214          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108     632488       7312   X                             7312          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108    1158062      13388               X                13388          0          0
 CHEVRON CORP COM                         166751107    3535678      37193   X                            37193          0          0
 CHEVRON CORP COM                         166751107    1147791      12074               X                11594        480          0
 CHUBB CORP COM                           171232101    1322585      19030   X                            19030          0          0
 CHUBB CORP COM                           171232101     494910       7121               X                 6471        450        200
 CIENA CORP                               171779101     516215      17100               X                17100          0          0
 CINCINNATI FINL CORP COM                 172062101     351402       9355   X                             9355          0          0
 CINCINNATI FINL CORP COM                 172062101     577757      15381               X                15381          0          0
 CIRCUIT CITY STORES-CIRCUIT CITY         172737108     860250       9250               X                 9250          0          0
 CISCO SYS INC COM                        17275R102    6414416      99544   X                            98520          0       1024
 CISCO SYS INC COM                        17275R102   12392072     192310               X               180740          0      11570
 CINTAS CORP COM                          172908105     410720       6113   X                             6113          0          0
 CINTAS CORP COM                          172908105     311752       4640               X                 4640          0          0
 CITIGROUP INC COM                        172967101     249375       5250   X                             5250          0          0
 CITIGROUP INC COM                        172967101    2991265      62974               X                62974          0          0
 CLOROX CO COM                            189054109     297261       2783   X                             2783          0          0
                                                      --------    -------                              -------     ------      -----
 SUBTOTALS FOR THIS PAGE                              52970217    1280073                              1147013     120166      12894
</TABLE>
<PAGE>   80
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE    98

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>         <C>         <C>
             COMMON STOCK
             ------------
 CLOROX CO COM                            189054109     214694       2010               X                 2010          0          0
 COCA-COLA CO COM                         191216100    5676534      91557   X                            91507          0         50
 COCA-COLA CO COM                         191216100    4870596      78558               X                74608       3500        450
 COMCAST CORP CL A SPL                    200300200    1227902      31945   X                            31945          0          0
 COMCAST CORP CL A SPL                    200300200     257535       6700               X                 6700          0          0
 COMERICA INC COM                         200340107     454522       7647   X                             7647          0          0
 COMERICA INC COM                         200340107      34355        578               X                  578          0          0
 COMMERCIAL INTERTECH CORP                201709102    1621660     101748   X                           101748          0          0
 COMMERCIAL INTERTECH CORP                201709102    8304750     521066               X               393012     125296       2758
 COMPAQ COMPUTER CORP COM                 204493100    1307056      55178   X                            54378          0        800
 COMPAQ COMPUTER CORP COM                 204493100    1960016      82743               X                81993          0        750
 CONEXANT SYSTEMS INC                     207142100      19045        328   X                              328          0          0
 CONEXANT SYSTEMS INC                     207142100    2492006      42919               X                42919          0          0
 CONSOLIDATED EDISON INC                  209115104    1361482      30088   X                            30088          0          0
 CONSOLIDATED EDISON INC                  209115104     301818       6670               X                 5240       1430          0
 CONSOLIDATED NAT GAS CO COM              209615103    1856277      30556   X                            30556          0          0
 CONSOLIDATED NAT GAS CO COM              209615103     237168       3904               X                 3344        560          0
 CONSTELLATION ENERGY CORP                210371100     165485       5586   X                             5586          0          0
 CONSTELLATION ENERGY CORP                210371100     104102       3514               X                 2364       1150          0
 COOPER INDS INC COM                      216669101     688480      13240   X                            13240          0          0
 COOPER INDS INC COM                      216669101     173264       3332               X                 2982        350          0
 COPLEY PHARMACEUTICAL INC COM            21745K101     231650      22600               X                22600          0          0
 CORTLAND BANCORP                         220587109     209619       9214               X                    0       9214          0
 COSTCO COMPANIES INC                     22160Q102    1485169      18550   X                            18550          0          0
 COSTCO COMPANIES INC                     22160Q102     162688       2032               X                 1845          0        187
 CROWN CORK & SEAL INC COM                228255105     285000      10000               X                10000          0          0
 CYTEC INDS INC                           232820100     204750       6500               X                 6500          0          0
 DAI NIPPON PRTG LTD JAPAN ADR            233806207     479610       3000               X                 3000          0          0
 DANAHER CORPORATION COM                  235851102     290625       5000   X                             5000          0          0
 DANAHER CORPORATION COM                  235851102       8719        150               X                  150          0          0
 DAYTON HUDSON CORP COM                   239753106    1208350      18590   X                            18590          0          0
 DAYTON HUDSON CORP COM                   239753106     302575       4655               X                 4655          0          0
 DEERE & CO COM                           244199105     200251       5110   X                             5110          0          0
 DELL COMPUTER CORP COM                   247025109     338698       9154   X                             8986          0        168
 DELL COMPUTER CORP COM                   247025109     693750      18750               X                13650       1800       3300
 DEN DANSKE BANK GROUP ADR                248206203     542285       5000               X                 5000          0          0
 DEUTSCHE BANK AG                         251525309     483149       8100               X                 8100          0          0
 DIEBOLD INC COM                          253651103     494845      17212   X                            16012          0       1200
 DIEBOLD INC COM                          253651103     362250      12600               X                12600          0          0
 DILLARD'S INC                            254067101      48297       1375   X                             1375          0          0
 DILLARD'S INC                            254067101     583602      16615               X                16615          0          0
 DIMON INC COM                            254394109     132294      25500               X                25500          0          0
 DISNEY WALT CO COM                       254687106    1650498      53565   X                            52265          0       1300
 DISNEY WALT CO COM                       254687106    1261299      40934               X                39959          0        975
                                                      --------    -------                              -------     ------      -----
 SUBTOTALS FOR THIS PAGE                              44988720    1434073                              1278835     143300      11938
</TABLE>
<PAGE>   81
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE    99

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>        <C>         <C>
             COMMON STOCK
             ------------
 DOMINION RES INC VA                      257470104    1192840      27540   X                            26840        700          0
 DOMINION RES INC VA                      257470104     360364       8320               X                 7395        925          0
 DONNELLEY R R & SONS CO COM              257867101     380526      10267               X                10267          0          0
 DOW CHEM CO COM                          260543103    2358987      18593   X                            18193        400          0
 DOW CHEM CO COM                          260543103    1547621      12198               X                11948        250          0
 DREYFUS MUN BD FD INC COM                26201Q104      68773       5703   X                             5703          0          0
 DREYFUS MUN BD FD INC COM                26201Q104    2601980     215753               X               215753          0          0
 DREYFUS PREMIER ST MUN BD FD             26202D672     126525      10171   X                            10171          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    2120572      31042   X                            31042          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    2376199      34784               X                33384       1400          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104      64079       6031   X                             6031          0          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104      50628       4765               X                 4765          0          0
 DUKE REALTY INVST CO NEW                 264411505    1139544      50505   X                            50505          0          0
 DUKE REALTY INVST CO NEW                 264411505      74232       3290               X                 1590       1700          0
 DUN & BRADSTREET CORP DEL                26483B106     832261      23485   X                            23485          0          0
 DUN & BRADSTREET CORP DEL                26483B106      99262       2801               X                 2221        580          0
 E M C CORP MASS COM                      268648102     754380      13716   X                            13516          0        200
 E M C CORP MASS COM                      268648102     221100       4020               X                 4020          0          0
 EASTMAN KODAK CO COM                     277461109     622013       9181   X                             9181          0          0
 EASTMAN KODAK CO COM                     277461109    1481218      21863               X                21625        238          0
 EATON VANCE                              277905832     139748      12400               X                12400          0          0
 EATON VANCE                              277905865      92053      11212               X                11212          0          0
 EATON CORP COM                           278058102     334052       3631   X                             3581          0         50
 EATON CORP COM                           278058102     547400       5950               X                 5950          0          0
 EDISON INTL COM                          281020107      53500       2000   X                             2000          0          0
 EDISON INTL COM                          281020107     273332      10218               X                10218          0          0
 EL PASO ELEC CO COM NEW                  283677854     136751      15300               X                15300          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     144450       2551   X                             2551          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     621459      10975               X                10975          0          0
 ELF AQUITAINE SPONSORED ADR              286269105     514941       7000               X                 7000          0          0
 EMERSON ELEC CO COM                      291011104    2076136      32987   X                            32987          0          0
 EMERSON ELEC CO COM                      291011104    2053793      32632               X                32194          0        438
 ENDESA S A                               29258N107     531250      25000               X                25000          0          0
 ENRON CORP COM                           293561106    1299825      15900   X                            15900          0          0
 ENRON CORP COM                           293561106      44145        540               X                    0        540          0
 ERICSSON L M TEL CO                      294821400     384386      11670   X                            11670          0          0
 ERICSSON L M TEL CO                      294821400      92292       2802               X                 2802          0          0
 EXXON CORP COM                           302290101   10231788     132665   X                           132427          0        238
 EXXON CORP COM                           302290101    9706104     125849               X               123550       1760        539
 FFY FINANCIAL CORP COM                   30242U108     191250      10200               X                 9200          0       1000
 F N B CORP COM                           302520101    1095147      40561   X                            40561          0          0
 F N B CORP COM                           302520101     450171      16673               X                  774      15899          0
 FPL GROUP INC COM                        302571104     243518       4458   X                             4458          0          0
 FPL GROUP INC COM                        302571104     161144       2950               X                 2950          0          0
                                                      --------    -------                              -------      -----       ----
 SUBTOTALS FOR THIS PAGE                              49891739    1050152                              1023295      24392       2465
</TABLE>
<PAGE>   82
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   100

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>        <C>        <C>
             COMMON STOCK
             ------------
 FARMERS NATL BANC CORP COM               309627107    2840985      81171   X                            81171          0          0
 FARMERS NATL BANC CORP COM               309627107     949340      27124               X                11000      16124          0
 FDX CORP                                 31304N107      43400        800   X                              800          0          0
 FDX CORP                                 31304N107     720874      13288               X                13288          0          0
 FREDDIE MAC COM                          313400301    1523660      26270   X                            26270          0          0
 FREDDIE MAC COM                          313400301     130848       2256               X                 2256          0          0
 FANNIE MAE COM                           313586109    4124621      60434   X                            60034          0        400
 FANNIE MAE COM                           313586109    1462734      21432               X                20102        380        950
 FEDERATED                                313900102    5747241     137757   X                           137757          0          0
 FEDERATED                                313900102    1018075      24403               X                24403          0          0
 FIDELITY CONTRAFUND INC #22              316071109    1062018      16903   X                            16903          0          0
 FIDELITY CONTRAFUND INC #22              316071109      22244        354               X                  354          0          0
 FIDELITY MAGELLAN FUND INC               316184100      83533        644   X                              644          0          0
 FIDELITY MAGELLAN FUND INC               316184100     946578       7294               X                 7294          0          0
 FIFTH THIRD BANCORP                      316773100      21234        319   X                              319          0          0
 FIFTH THIRD BANCORP                      316773100     287086       4313               X                 4313          0          0
 FIRST UNION CORP COM                     337358105     497169      10550   X                            10550          0          0
 FIRST UNION CORP COM                     337358105      92365       1960               X                 1680        280          0
 FIRSTMERIT CORP COM                      337915102     563224      20070   X                            20070          0          0
 FIRSTMERIT CORP COM                      337915102    3394949     120976               X               120376          0        600
 FIRSTENERGY CORP                         337932107     327370      10560   X                            10560          0          0
 FIRSTENERGY CORP                         337932107     323516      10436               X                10436          0          0
 FLEET FINL GROUP INC NEW COM             338915101     137563       3100   X                             3100          0          0
 FLEET FINL GROUP INC NEW COM             338915101     303880       6848               X                 6848          0          0
 FORD MOTOR CO DEL COM                    345370100    2411934      42736   X                            41819        700        217
 FORD MOTOR CO DEL COM                    345370100    1808894      32051               X                31371        680          0
 FORTUNE BRANDS INC                       349631101    1421852      34365   X                            34365          0          0
 FORTUNE BRANDS INC                       349631101     434603      10504               X                 9804        700          0
 FRANKLIN RES INC COM                     354613101     810550      19952   X                            19952          0          0
 FRANKLIN RES INC COM                     354613101     409297      10075               X                10075          0          0
 FRANKLIN TAX FREE TR                     354723504     255874      21129   X                            21129          0          0
 FRANKLIN TAX FREE TR                     354723504     258413      21339               X                21339          0          0
 FUJI PHOTO FILM LTD                      359586302     570000      15000               X                15000          0          0
 GTE CORP COM                             362320103    8246941     109231   X                           108131        700        400
 GTE CORP COM                             362320103    3952727      52354               X                49997        940       1417
 GALLAHER GROUP PLC                       363595109     141740       5800   X                             5800          0          0
 GALLAHER GROUP PLC                       363595109     127542       5219               X                 5219          0          0
 GAP INC COM                              364760108    1504298      29862   X                            29862          0          0
 GAP INC COM                              364760108      46798        929               X                  232          0        697
 GATEWAY INC                              367626108      64969       1100   X                             1100          0          0
 GATEWAY INC                              367626108     147658       2500               X                 2500          0          0
 GENERAL AMERICAN INVESTORS CO INC        368802104     208650       6371               X                 6371          0          0
 GENERAL DYNAMICS CORP COM                369550108     990767      14385   X                            14385          0          0
 GENERAL DYNAMICS CORP COM                369550108      48901        710               X                  320        390          0
                                                      --------    -------                              -------      -----       ----
 SUBTOTALS FOR THIS PAGE                              50486915    1044874                              1019299      20894       4681
</TABLE>
<PAGE>   83
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   101

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>           <C>       <C>
             COMMON STOCK
             ------------
 GENERAL ELEC CO COM                      369604103   16284317     144109   X                           143323          0        786
 GENERAL ELEC CO COM                      369604103   19878169     175913               X               171638          0       4275
 GENERAL MILLS INC COM                    370334104    1068988      13300   X                            13300          0          0
 GENERAL MILLS INC COM                    370334104     831962      10351               X                10171        180          0
 GENERAL MTRS CORP COM                    370442105     336864       5104   X                             5054          0         50
 GENERAL MTRS CORP COM                    370442105     303468       4598               X                 4598          0          0
 GENUINE PARTS CO COM                     372460105    1079575      30845   X                            29645        400        800
 GENUINE PARTS CO COM                     372460105     199500       5700               X                 4890        810          0
 GEORGIA PACIFIC CORP COM                 373298108     537327      11342   X                            11342          0          0
 GEORGIA PACIFIC CORP COM                 373298108     374263       7900               X                 6700       1200          0
 GILLETTE CO COM                          375766102    1040416      25376   X                            25376          0          0
 GILLETTE CO COM                          375766102    2865859      69899               X                69899          0          0
 GLAXO WELLCOME PLC                       37733W105     305775       5400   X                             5400          0          0
 GLAXO WELLCOME PLC                       37733W105     617213      10900               X                10900          0          0
 GOLDEN WEST FINL CORP                    381317106     437080       4460   X                             4460          0          0
 GOLDEN WEST FINL CORP                    381317106       4508         46               X                   46          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101     404633       6880   X                             6880          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101     885136      15050               X                15050          0          0
 GREAT LAKES CHEM CORP COM                390568103     368504       8000               X                 8000          0          0
 GREIF BROTHERS CORP                      397624206     259054       8800   X                             8800          0          0
 GROUPE DANONE                            399449107     523130      10000               X                10000          0          0
 GROWTH FD AMER INC COM                   399874106     128500       4818   X                             4818          0          0
 GROWTH FD AMER INC COM                   399874106     161811       6067               X                 6067          0          0
 GUIDANT CORP COM                         401698105     122700       2400   X                             2400          0          0
 GUIDANT CORP COM                         401698105     317180       6204               X                 6204          0          0
 HMT TECHNOLOGY CORP COM                  403917107      29500      11800               X                11800          0          0
 HSBC HLDGS PLC                           404280307     830185       2276               X                 2276          0          0
 HALLIBURTON CO COM                       406216101     251952       5568   X                             5568          0          0
 HALLIBURTON CO COM                       406216101      11267        249               X                  249          0          0
 HARLEY DAVIDSON INC COM                  412822108    1931726      35526   X                            35526          0          0
 HARLEY DAVIDSON INC COM                  412822108    2287176      42063               X                39395          0       2668
 HARRIS CORP COM                          413875105     391880      10000               X                10000          0          0
 HEALTHSOUTH CORP COM                     421924101     192706      12955   X                            12955          0          0
 HEALTHSOUTH CORP COM                     421924101       2514        169               X                  169          0          0
 HEINZ H J CO COM                         423074103    1630065      32520   X                            32520          0          0
 HEINZ H J CO COM                         423074103    1819137      36292               X                36292          0          0
 HERSHEY FOODS CORP                       427866108     730313      12300   X                            12300          0          0
 HERSHEY FOODS CORP                       427866108     178125       3000               X                 3000          0          0
 HEWLETT PACKARD CO COM                   428236103    3542424      35248   X                            34186          0       1062
 HEWLETT PACKARD CO COM                   428236103    4359489      43378               X                42773          0        605
 HITACHI LTD                              433578507     377752       4000               X                 4000          0          0
 HOME DEPOT INC COM                       437076102    5027388      78019   X                            77205          0        814
 HOME DEPOT INC COM                       437076102    5764237      89454               X                88204          0       1250
 HONDA MOTOR ADR NEW                      438128308     216875       2500               X                 2500          0          0
                                                      --------    -------                              -------       ----      -----
 SUBTOTALS FOR THIS PAGE                              78910643    1050779                              1035879       2590      12310
</TABLE>
<PAGE>   84
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   102

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 HONEYWELL INC COM                        438506107     431750       3726   X                             3656          0         70
 HONEYWELL INC COM                        438506107       2202         19               X                   19          0          0
 HOVNANIAN ENTERPRISES INC CL A           442487203     142625      16300               X                16300          0          0
 HUBBELL INC CL B                         443510201     683348      15060   X                            15060          0          0
 HUBBELL INC CL B                         443510201      50548       1114               X                  744        370          0
 HUNTINGTON BANCSHARES INC COM            446150104     231000       6600   X                             6600          0          0
 IKON OFFICE SOLUTIONS INC                451713101     456750      30450               X                30450          0          0
 ILLINOIS TOOL WORKS INC COM              452308109     362561       4435   X                             4435          0          0
 ILLINOIS TOOL WORKS INC COM              452308109     354386       4335               X                 4335          0          0
 ING GROEP N V                            456837103     467500       8500               X                 8500          0          0
 INSO CORP COM                            457674109     109650      20400               X                20400          0          0
 INSURANCE AUTO AUCTIONS INC COM          457875102     259613      16100               X                16100          0          0
 INTERGRATED DEVICE TECHNOLOGY COM        458118106     130500      12000               X                12000          0          0
 INTEL CORP COM                           458140100    4284000      72000   X                            71700          0        300
 INTEL CORP COM                           458140100    5743714      96533               X                88763       3000       4770
 INTERIORS INC                            458688108      13819      13000   X                            13000          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    6683001      51706   X                            51706          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    7431617      57498               X                56798          0        700
 INTERNATIONAL PAPER CO COM               460146103     440090       8758   X                             8536          0        222
 INTERNATIONAL PAPER CO COM               460146103      21105        420               X                  420          0          0
 INTERPUBLIC GROUP COS INC COM            460690100    1197937      13829   X                            13829          0          0
 INTERPUBLIC GROUP COS INC COM            460690100    1715695      19806               X                19431          0        375
 SCUDDER GROWTH & INCOME FUND             460965882     287257       9865   X                             9865          0          0
 INVESCO INCOME FDS INC                   461277303      80607      12363               X                12363          0          0
 JANUS FUND INCORPORATED                  471023101    2666090      66321   X                            66321          0          0
 JANUS FUND INCORPORATED                  471023101     866750      21561               X                20519       1042          0
 JEFFERSON-PILOT CORP COM                 475070108     166794       2520   X                             2520          0          0
 JEFFERSON-PILOT CORP COM                 475070108      82735       1250               X                 1250          0          0
 JOHN HANCOCK SER TR                      478032204     360805      33315               X                33315          0          0
 JOHNSON & JOHNSON COM                    478160104    2150904      21948   X                            21948          0          0
 JOHNSON & JOHNSON COM                    478160104    3726842      38029               X                35984        840       1205
 K MART CORP COM                          482584109      39138       2372   X                             2372          0          0
 K MART CORP COM                          482584109     379500      23000               X                23000          0          0
 KERR MCGEE CORP COM                      492386107       5922        118   X                              118          0          0
 KERR MCGEE CORP COM                      492386107     378468       7541               X                 7541          0          0
 KEYCORP NEW COM                          493267108    2855688      88893   X                            88893          0          0
 KEYCORP NEW COM                          493267108    2703704      84162               X                83462          0        700
 KIMBERLY-CLARK CORP COM                  494368103    1062138      18634   X                            18634          0          0
 KIMBERLY-CLARK CORP COM                  494368103     778221      13653               X                13653          0          0
 KIRIN BREWERY ADR                        497350207     267188       2250               X                 2250          0          0
 KONINKLIJKE PHILIPS ELECTRS              500472204      51043        506   X                              506          0          0
 KONINKLIJKE PHILIPS ELECTRS              500472204     201750       2000               X                 2000          0          0
 KYOCERA CORP ADR                         501556203     779194      13000               X                13000          0          0
 LG & E ENERGY CORP COM                   501917108     407001      19381   X                            19381          0          0
                                                      --------     ------                               ------       ----       ----
 SUBTOTALS FOR THIS PAGE                              51511150     955271                               941677       5252       8342
</TABLE>
<PAGE>   85
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   103

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>           <C>       <C>
             COMMON STOCK
             ------------
 LG & E ENERGY CORP COM                   501917108      40194       1914               X                 1404        510          0
 LEXMARK INTL GROUP INC                   529771107     695610      10620   X                            10620          0          0
 LEXMARK INTL GROUP INC                   529771107       3275         50               X                   50          0          0
 LILLY ELI & CO COM                       532457108    6188400      86400   X                            85900          0        500
 LILLY ELI & CO COM                       532457108    4199016      58625               X                57105       1300        220
 LINEAR TECHNOLOGY CORP COM               535678106    2501700      37200               X                37200          0          0
 LOUIS DREYFUS NATURAL GAS CORP           546011107     260912      12100               X                12100          0          0
 LOWES COS INC COM                        548661107     149089       2630   X                             2630          0          0
 LOWES COS INC COM                        548661107     119045       2100               X                 1700          0        400
 LUCENT TECHNOLOGIES INC COM              549463107    6804713     100903   X                            99247         64       1592
 LUCENT TECHNOLOGIES INC COM              549463107    7003183     103846               X               102489          0       1357
 MBNA CORP COM                            55262L100      24041        785   X                              785          0          0
 MBNA CORP COM                            55262L100    1823719      59550               X                59550          0          0
 MCI WORLDCOM INC                         55268B106    3008246      34954   X                            34954          0          0
 MCI WORLDCOM INC                         55268B106    1203763      13987               X                13637          0        350
 MAHONING NATL BANCORP INC COM            560090102    1279240      29240   X                            29240          0          0
 MAHONING NATL BANCORP INC COM            560090102    2248838      51402               X                49002          0       2400
 MALLINCKRODT INC NEW                     561232109     585638      16100               X                16100          0          0
 MARSH & MCLENNAN COS INC                 571748102     568038       7505   X                             7055          0        450
 MARSH & MCLENNAN COS INC                 571748102    1325751      17516               X                17516          0          0
 MASCO CORP                               574599106    1324641      45875   X                            45875          0          0
 MASCO CORP                               574599106     130515       4520               X                 3370       1150          0
 MATTEL INC                               577081102     208478       7980   X                             7980          0          0
 MATTEL INC                               577081102     137026       5245               X                 5245          0          0
 MAXIM INTEGRATED PRODS INC               57772K101     430588       6475   X                             6475          0          0
 MAXIM INTEGRATED PRODS INC               57772K101    2615113      39325               X                39175          0        150
 MAY DEPT STORES CO                       577778103    7689405     188120   X                           188120          0          0
 MAY DEPT STORES CO                       577778103   13566658     331906               X               331081        825          0
 MCDONALDS CORP                           580135101    1015376      24690   X                            24690          0          0
 MCDONALDS CORP                           580135101    1158286      28165               X                28165          0          0
 MEDIAONE GROUP INC                       58440J104     367561       4942   X                             4942          0          0
 MEDIAONE GROUP INC                       58440J104    1030168      13851               X                12851          0       1000
 MEDTRONIC INC                            585055106    1252230      16080   X                            16080          0          0
 MEDTRONIC INC                            585055106    2640196      33903               X                33903          0          0
 MELLON BK CORP                           585509102     531875      14622   X                            14622          0          0
 MELLON BK CORP                           585509102     119310       3280               X                 2500        780          0
 MENTOR GRAPHICS CORP                     587200106     161444      12600               X                12600          0          0
 MERCK & CO INC                           589331107    4807860      65302   X                            64502          0        800
 MERCK & CO INC                           589331107   11054205     150142               X               147597          0       2545
 MERITOR AUTOMOTIVE INC                   59000G100      10047        394   X                              394          0          0
 MERITOR AUTOMOTIVE INC                   59000G100     573725      22499               X                22499          0          0
 MERRILL LYNCH & CO INC                   590188108      63600        800   X                              800          0          0
 MERRILL LYNCH & CO INC                   590188108     159000       2000               X                 2000          0          0
 MERRILL LYNCH MUN BD FD INC              590193108     171083      21962               X                21962          0          0
                                                      --------    -------                              -------       ----      -----
 SUBTOTALS FOR THIS PAGE                              91250801    1692105                              1675712       4629      11764
</TABLE>
<PAGE>   86
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                  ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   104

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>           <C>       <C>
             COMMON STOCK
             ------------
 MERRILL LYNCH MUNI NATL PORTFOLIO        590193207     108598      10626   X                            10626          0          0
 MICROSOFT CORP                           594918104    3653245      40507   X                            40107          0        400
 MICROSOFT CORP                           594918104    4266704      47309               X                45907        300       1102
 MICRON TECHNOLOGY INC                    595112103     627831      15502   X                            15452          0         50
 MINNESOTA MNG & MFG CO                   604059105    3508992      40362   X                            39565        200        597
 MINNESOTA MNG & MFG CO                   604059105    2437133      28033               X                27453        230        350
 MOBIL CORP                               607059102    6974021      70623   X                            70623          0          0
 MOBIL CORP                               607059102    3180836      32211               X                31031        580        600
 MONSANTO CO                              611662107    1850718      46779   X                            46179          0        600
 MONSANTO CO                              611662107     568046      14358               X                14155          0        203
 MORGAN J P & CO INC                      616880100    1888320      13440   X                            13368          0         72
 MORGAN J P & CO INC                      616880100     862951       6142               X                 5962        180          0
 MORGAN STANLEY DEAN WITTER EQUITY FD     616926200     134289      11053               X                11053          0          0
 MSDW DIVIDEND GROWTH SECS IN             616938205     829711      12623               X                12623          0          0
 MORGAN STANLEY DEAN WITTER DISCOVER      617446448     249174       2428   X                             2428          0          0
 MORGAN STANLEY DEAN WITTER DISCOVER      617446448      68348        666               X                  666          0          0
 MOTOROLA INC                             620076109    1162772      12272   X                            11872          0        400
 MOTOROLA INC                             620076109     861562       9093               X                 9093          0          0
 FEDERATED OHIO MUN INCOME FD CL F        625922307     151809      13363               X                13363          0          0
 MYERS INDS INC                           628464109    5356660     267833               X               267833          0          0
 NATIONAL AUSTRALIA BK LTD                632525408     840000      10000               X                10000          0          0
 NATIONAL CITY CORP                       635405103    8742416     133472   X                           133472          0          0
 NATIONAL CITY CORP                       635405103    7529487     114954               X               106631       7548        775
 NATIONWIDE INVESTING FNDTN I             638652875     250090       7213   X                             7213          0          0
 NESTLE S A                               641069406      94592       1050   X                             1050          0          0
 NESTLE S A                               641069406     540528       6000               X                 6000          0          0
 NEW PERSPECTIVE FD INC COM               648018109     205964       7940   X                             7940          0          0
 NEW PERSPECTIVE FD INC COM               648018109     236179       9105               X                 9105          0          0
 NEWELL RUBBERMAID INC                    651229106     554135      11949   X                            11949          0          0
 NEWELL RUBBERMAID INC                    651229106     119416       2575               X                 2575          0          0
 NICHOLAS FD INC COM                      653735100     281332       3330   X                             3330          0          0
 NICHOLAS FD INC COM                      653735100      64537        764               X                  764          0          0
 NORFOLK SOUTHN CORP                      655844108     437927      14537   X                            14537          0          0
 NORFOLK SOUTHN CORP                      655844108    1389064      46110               X                46110          0          0
 NORSK HYDRO A S                          656531605     420750      11000               X                11000          0          0
 NORTEL NETWORKS CORP                     656569100     235350       2711   X                             2584          0        127
 NORTEL NETWORKS CORP                     656569100      26044        300               X                  300          0          0
 NORTHERN TR CORP                         665859104    1314156      13548   X                            13350          0        198
 NORTHERN TR CORP                         665859104    1821175      18775               X                18775          0          0
 NORTHROP GRUMMAN CORP                    666807102     585080       8823   X                             8823          0          0
 NORTHROP GRUMMAN CORP                    666807102      23210        350               X                  120        230          0
 NOVARTIS AG                              66987V109     511070       7000               X                 7000          0          0
 NOVELL INC                               670006105     530000      20000               X                20000          0          0
 NOVO-NORDISK A S                         670100205     347750       6500               X                 6500          0          0
                                                      --------    -------                              -------       ----       ----
 SUBTOTALS FOR THIS PAGE                              65841972    1153229                              1138487       9268       5474
</TABLE>
<PAGE>   87
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   105
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-              SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                   <C>             <C>         <C>     <C>   <C>    <C>            <C>          <C>          <C>
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     113387       9964    X                             9964          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     150187      13197                X                13197          0          0
OAK ASSOCIATES FDS                       671081107     300312       6100    X                             6100          0          0
OFFICEMAX INC                            67622M108     150000      12500                X                12500          0          0
OGDEN CORP                               676346109      26938       1000    X                             1000          0          0
OGDEN CORP                               676346109     199341       7400                X                 7400          0          0
OLSTEN CORP                              681385100     284085      45000                X                45000          0          0
OMNICOM GROUP INC                        681919106     723200       9040    X                             9040          0          0
OMNICOM GROUP INC                        681919106      23200        290                X                  290          0          0
O'SULLIVAN INDS HLDGS INC                688609106     241400      14200                X                14200          0          0
PNC BK CORP                              693475105    1444947      25075    X                            25075          0          0
PNC BK CORP                              693475105     382227       6633                X                 6153        480          0
PPG INDS INC                             693506107     461636       7816    X                             7816          0          0
PPG INDS INC                             693506107     667589      11303                X                11303          0          0
PARAMETRIC TECHNOLOGY CORP               699173100     536963      38700                X                38700          0          0
PAYLESS SHOESOURCE INC                   704379106     400127       7479    X                             7479          0          0
PAYLESS SHOESOURCE INC                   704379106     607707      11359                X                11359          0          0
PENNEY J C CO INC                        708160106    1068192      21996    X                            21996          0          0
PENNEY J C CO INC                        708160106     116260       2394                X                 1944        450          0
PEOPLES BANCORP INC                      709789101     291170      10588    X                            10588          0          0
PEOPLES BANCORP INC                      709789101     274313       9975                X                 9975          0          0
PEOPLES ENERGY CORP                      711030106     328828       8725    X                             8725          0          0
PEOPLES ENERGY CORP                      711030106     248741       6600                X                 5800        800          0
PEP BOYS MANNY MOE & JACK                713278109     525000      25000                X                25000          0          0
PEPSICO INC                              713448108    2826236      73052    X                            73052          0          0
PEPSICO INC                              713448108    3438241      88871                X                86371        400       2100
PHARMACIA & UPJOHN INC                   716941109      73289       1290    X                             1290          0          0
PHARMACIA & UPJOHN INC                   716941109     428938       7550                X                 7550          0          0
PFIZER INC                               717081103    3919422      35958    X                            35758          0        200
PFIZER INC                               717081103    4633045      42505                X                41730          0        775
PHILIP MORRIS COS INC                    718154107    1449782      36075    X                            36075          0          0
PHILIP MORRIS COS INC                    718154107    1438087      35784                X                35284          0        500
PHILLIPS PETE CO                         718507106     128600       2556    X                             2556          0          0
PHILLIPS PETE CO                         718507106     240043       4771                X                 4771          0          0
PITNEY BOWES INC                         724479100    1251462      19478    X                            19078          0        400
PITNEY BOWES INC                         724479100    2435139      37901                X                37301          0        600
POPE & TALBOT INC                        732827100     166940      13839                X                13839          0          0
POTTERS FINL CORP COM                    738140102     177773      13943    X                            13943          0          0
POWERGEN PLC                             738905405     428750      10000                X                10000          0          0
PROCTER & GAMBLE CO COM                  742718109    8995954     100795    X                           100155          0        640
PROCTER & GAMBLE CO COM                  742718109   10096763     113129                X               112273          0        856
PROGRESSIVE CORP OHIO                    743315103     320160       2208    X                             2088          0        120
PROGRESSIVE CORP OHIO                    743315103     246500       1700                X                 1700          0          0
PROVIDIAN FINL CORP                      74406A102     139875       1500    X                             1500          0          0
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              52400749     955239                                946918       2130       6191
</TABLE>
<PAGE>   88
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   106
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-              SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>        <C>          <C>      <C>   <C>    <C>            <C>         <C>          <C>
PROVIDIAN FINL CORP                      74406A102     674850       7237                X                 7237          0          0
QUAKER OATS CO COM                       747402105     219038       3300    X                             3300          0          0
QUAKER OATS CO COM                       747402105    1020980      15382                X                15382          0          0
RPM INC OHIO COM                         749685103     846087      59634    X                            59634          0          0
RPM INC OHIO COM                         749685103     387630      27321                X                26129       1192          0
RWE AG                                   74975E303     463040      10000                X                10000          0          0
RED ROOF INNS INC COM                    757005103     206287      11500                X                11500          0          0
RELIANCE GROUP HLDGS INC COM             759464100      97438      13100                X                13100          0          0
REPSOL S A SPONSORED ADR                 76026T205     731268      36000                X                36000          0          0
RIO TINTO LTD                            767202104     393534       6000                X                 6000          0          0
ROADWAY EXPRESS INC COM                  769742107    5877871     303374                X                 3374     300000          0
ROCKWELL INTL CORP NEW                   773903109     288927       4756    X                             4756          0          0
ROCKWELL INTL CORP NEW                   773903109    5268119      86718                X                86718          0          0
ROYAL DUTCH PETROLEUM CO                 780257804    1100768      18270    X                            18070          0        200
ROYAL DUTCH PETROLEUM CO                 780257804    2065732      34286                X                34086        200          0
SBC COMMUNICATIONS INC COM               78387G103    7102448     122456    X                           120736        328       1392
SBC COMMUNICATIONS INC COM               78387G103    7672472     132284                X               129884          0       2400
SLM HLDG CORP                            78442A109     458130      10000                X                10000          0          0
SAFEWAY INC COM NEW                      786514208    1077368      21765    X                            21765          0          0
SAFEWAY INC COM NEW                      786514208      13563        274                X                  274          0          0
SANTA FE SNYDER CORPORATION              80218K105     118176      14772                X                14772          0          0
SAP AKTIENGESELLSCHAFT                   803054204     225063       6500                X                 6500          0          0
SARA LEE CORP COM                        803111103     699743      30842    X                            29642          0       1200
SARA LEE CORP COM                        803111103    1530033      67438                X                64638          0       2800
SCHERING-PLOUGH CORP COM                 806605101    2254298      42939    X                            42635          0        304
SCHERING-PLOUGH CORP COM                 806605101    2687790      51196                X                51196          0          0
SCHLUMBERGER LTD COM                     806857108    2151381      33780    X                            33780          0          0
SCHLUMBERGER LTD COM                     806857108    1935478      30390                X                30390          0          0
SCHULMAN A INC COM                       808194104      36215       2107    X                             2107          0          0
SCHULMAN A INC COM                       808194104     232674      13537                X                13537          0          0
CHARLES SCHWAB CORP NEW                  808513105      43273        397    X                              338          0         59
CHARLES SCHWAB CORP NEW                  808513105     216692       1988                X                 1988          0          0
SCUDDER MANAGED                          811170109     170051      19346    X                            19346          0          0
SCUDDER MANAGED                          811170109      11416       1299                X                 1299          0          0
SCUDDER OHIO TAX FREE FD                 811184407       8178        627    X                              627          0          0
SCUDDER OHIO TAX FREE FD                 811184407     160109      12278                X                12278          0          0
SEARS ROEBUCK & CO CAP                   812387108     198840       4462    X                             4462          0          0
SEARS ROEBUCK & CO CAP                   812387108     166175       3729                X                 3729          0          0
SECOND BANCORP INC COM                   813114105    2113196      72246    X                            72246          0          0
SECOND BANCORP INC COM                   813114105     204750       7000                X                 5000       2000          0
SELIGMAN TAX-EXEMPT FD OHIO              816346506     100096      12703    X                            12703          0          0
SERVICE CORP INTERNATIONAL COM           817565104     500731      26012    X                            26012          0          0
SERVICE CORP INTERNATIONAL COM           817565104     786074      40835                X                40335          0        500
SHAW INDUSTRIES INC COM                  820286102     350000      20000                X                20000          0          0
                                                    ---------  ---------                              --------   --------   --------
SUBTOTALS FOR THIS PAGE                              52865982    1440080                               1127505     303720       8855
</TABLE>
<PAGE>   89
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   107
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>         <C>          <C>     <C>   <C>    <C>               <C>        <C>         <C>
SHELL TRANS & TRADING PLC                822703609     742000      16000                X                16000          0          0
SHERWIN WILLIAMS CO COM                  824348106     503052      18128    X                            18128          0          0
SHERWIN WILLIAMS CO COM                  824348106     186702       6728                X                 6728          0          0
SIGMA ALDRICH CORP COM                   826552101      72320       2100    X                             2100          0          0
SIGMA ALDRICH CORP COM                   826552101     233490       6780                X                 6780          0          0
SMUCKER J M CO CL A                      832696108     381588      17150    X                            17150          0          0
SMUCKER J M CO CL A                      832696108      65994       2966                X                 2966          0          0
SMUCKER J M CO                           832696207     332500      17500    X                            17500          0          0
SMUCKER J M CO                           832696207      22800       1200                X                 1200          0          0
SOCIETE GENERALE FRANCE                  83364L109     704980      20000                X                20000          0          0
SOUTHERN CO COM                          842587107     115010       4340    X                             4340          0          0
SOUTHERN CO COM                          842587107     135150       5100                X                 4100       1000          0
SPORTS AUTHORITY INC COM                 849176102      73928      16658                X                16658          0          0
SPRINT CORP COM                          852061100     308248       5816    X                             5816          0          0
SPRINT CORP COM                          852061100     460570       8690                X                 8690          0          0
SPRINT CORP                              852061506     147687       2591    X                             2591          0          0
SPRINT CORP                              852061506     155211       2723                X                 2723          0          0
STANCORP INC                             852890904    6349200       1320    X                             1320          0          0
STANCORP INC                             852890904    5262140       1094                X                 1094          0          0
STANDARD PRODUCTS CO COM                 853836104     271625      10600                X                10600          0          0
STATE STR CORP                           857477103    1091605      12786    X                            12786          0          0
STATE STR CORP                           857477103     452402       5299                X                 5299          0          0
STEINER OPTICS INTL INC                  858468101        100      10000                X                10000          0          0
SUN MICROSYSTEMS INC COM                 866810104     591912       8594    X                             7944          0        650
SUN MICROSYSTEMS INC COM                 866810104    1576411      22888                X                19718          0       3170
SYSCO CORP COM                           871829107      71551       2400    X                             2400          0          0
SYSCO CORP COM                           871829107     208691       7000                X                 7000          0          0
TECO ENERGY INC COM                      872375100      31850       1400    X                             1400          0          0
TECO ENERGY INC COM                      872375100     195650       8600                X                 8600          0          0
TJX COS INC NEW COM                      872540109     719994      21613    X                            21165          0        448
TJX COS INC NEW COM                      872540109      22986        690                X                  690          0          0
TANDY CORP COM                           875382103     914940      18720    X                            18720          0          0
TANDY CORP COM                           875382103      97555       1996                X                 1996          0          0
TELECOM ITALIA SPA SP ADR                87927W106     788910       7500                X                 7500          0          0
TELEFONOS DE MEXICO S A SPONSORED        879403780     412146       5100                X                 5100          0          0
TELLABS INC COM                          879664100    1729613      25600                X                25600          0          0
TEMPLETON FDS INC                        880196209     334530      32479    X                            32479          0          0
TEMPLETON FDS INC                        880196209     468977      45532                X                45532          0          0
TEMPLETON INSTL FDS INC                  880210505    1769599      89827    X                            89827          0          0
TEMPLETON INSTL FDS INC                  880210505     248068      12592                X                11014          0       1578
TEXACO INC COM                           881694103    1903685      30520    X                            30120          0        400
TEXACO INC COM                           881694103     420907       6748                X                 6178        570          0
TEXAS INSTRS INC COM                     882508104     959040       6660    X                             6660          0          0
TEXAS INSTRS INC COM                     882508104     197568       1372                X                 1372          0          0
                                                    ---------  ---------                              ---------  ---------  --------
SUBTOTALS FOR THIS PAGE                              31732885     553400                                545584       1570       6246
</TABLE>
<PAGE>   90
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   108
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>   <C>       <C>         <C>          <C>
TEXAS UTILITIES CO COM (HLDG)            882848104     847614      20455    X                            20455          0          0
TEXAS UTILITIES CO COM (HLDG)            882848104     279081       6735                X                 6435        300          0
THE GENERAL METALS POWDER COMPANY        8833519A8     265765        308                X                  308          0          0
THOMAS & BETTS CORP COM                  884315102     777263      16450    X                            16150        300          0
THOMAS & BETTS CORP COM                  884315102      37091        785                X                  365        420          0
TIME WARNER INC COM                      887315109    1944752      26778    X                            26778          0          0
TIME WARNER INC COM                      887315109     153965       2120                X                 1825          0        295
TORCHMARK CORP COM                       891027104     348758      10220    X                            10220          0          0
TORCHMARK CORP COM                       891027104     160388       4700                X                 4700          0          0
TORO CO COM                              891092108     248063       6300                X                 6300          0          0
TOYS R US INC COM                        892335100       8275        400    X                              400          0          0
TOYS R US INC COM                        892335100     650638      31450                X                31450          0          0
TRINITY INDS INC COM                     896522109     255069       7614    X                             7614          0          0
TRINITY INDS INC COM                     896522109     234500       7000                X                 7000          0          0
TYCO INTL LTD NEW                        902124106    2810664      29664    X                            29664          0          0
TYCO INTL LTD NEW                        902124106     505397       5334                X                 5226          0        108
UST INC COM                              902911106     813729      27760    X                            27760          0          0
UST INC COM                              902911106     181447       6190                X                 5510        680          0
UNIGATE LTD                              904750403     381120      60000                X                60000          0          0
UNILEVER N V                             904784709     622728       8928                X                 8928          0          0
UNION PAC CORP CO COM                    907818108     574383       9850    X                             9850          0          0
UNION PAC CORP CO COM                    907818108    1054299      18080                X                18080          0          0
UNITED CMNTY FINL CORP OHIO              909839102   17727505    1206938    X                          1206938          0          0
UNITED CMNTY FINL CORP OHIO              909839102     461189      31399                X                31399          0          0
UNITED DOMINION RLTY TR INC COM          910197102     356425      30334                X                30334          0          0
UNITED HEALTH CARE CORP COM              910581107      50726        810    X                              810          0          0
UNITED HEALTH CARE CORP COM              910581107     501000       8000                X                 8000          0          0
U S WEST INC NEW                         91273H101     685613      11670    X                            11670          0          0
U S WEST INC NEW                         91273H101    1400248      23834                X                22807          0       1027
UNITED TECHNOLOGIES CORP COM             913017109    1929600      26800    X                            26800          0          0
UNITED TECHNOLOGIES CORP COM             913017109     395856       5498                X                 4178       1320          0
UNOCAL CORP COM                          915289102     371643       9379    X                             9379          0          0
UNOCAL CORP COM                          915289102     193370       4880                X                 4880          0          0
U S FREIGHTWAYS CORP COM                 916906100     393661       8500                X                 8500          0          0
VAN KAMPEN                               920914108     286542      28973                X                28973          0          0
VAN KAMPEN AMERN CAP TAX EXEMPT TR       92113R200     157723      13823    X                            13823          0          0
VANGUARD                                 922018205     178378       5432    X                             5432          0          0
VANGUARD                                 922018205      26506        807                X                  807          0          0
VANGUARD FIXED INCOME SECS FD            922031307      98815       9813    X                             9813          0          0
VANGUARD FIXED INCOME SECS FD            922031307      24428       2426                X                 2426          0          0
VANGUARD FIXED INCOME SECS FD INC        922031802     156398      14923    X                            14923          0          0
VANGUARD                                 922908108      99402        784    X                              784          0          0
VANGUARD                                 922908108     100761        794                X                  111          0        683
VODAFONE GROUP PLC SPONSORED ADR         92857T107     327611       1663    X                             1663          0          0
                                                    ---------  ---------                              --------   --------   --------
SUBTOTALS FOR THIS PAGE                              39078389    1754601                               1749468       3020       2113
</TABLE>
<PAGE>   91
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   109
                                                                             SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3         ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER      MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                     <C>        <C>           <C>      <C>   <C>    <C>    <C>     <C>         <C>          <C>
VODAFONE GROUP PLC SPONSORED ADR        92857T107      908860       4614                X                 4576          0         38
VOLVO AKTIEBOLAGET ADR B                928856400      587500      20000                X                20000          0          0
WACHOVIA CORP COM                       929771103     1249819      14607    X                            14307          0        300
WACHOVIA CORP COM                       929771103     2694807      31495                X                31095          0        400
WAL MART STORES INC                     931142103     4531109      93909    X                            93909          0          0
WAL MART STORES INC                     931142103     3078398      63801                X                63201          0        600
WALGREEN CO COM                         931422109     3257893     110907    X                           110907          0          0
WALGREEN CO COM                         931422109     1330746      45302                X                44334          0        968
WARNER LAMBERT CO COM                   934488107     3083874      44613    X                            44343          0        270
WARNER LAMBERT CO COM                   934488107     3074496      44477                X                44477          0          0
WASTE MANAGEMENT INC NEW COM            94106L109      777978      14474    X                            14474          0          0
WASTE MANAGEMENT INC NEW COM            94106L109      405974       7553                X                 7553          0          0
WELLS FARGO & CO NEW                    949746101      732350      17131    X                            17131          0          0
WELLS FARGO & CO NEW                    949746101      825289      19305                X                19305          0          0
WESBANCO INC                            950810101      292500       9750    X                             9750          0          0
WEYERHAEUSER CO COM                     962166104     1338219      19465    X                            19465          0          0
WEYERHAEUSER CO COM                     962166104      229625       3340                X                 2930        410          0
WISCONSIN ENERGY CORP COM               976657106       80202       3200    X                             3200          0          0
WISCONSIN ENERGY CORP COM               976657106      230605       9201                X                 9201          0          0
WORTHINGTON INDS INC                    981811102      493140      30000    X                            30000          0          0
WORTHINGTON INDS INC                    981811102       17309       1053                X                 1053          0          0
XILINX INC COM                          983919101     1671700      29200                X                29200          0          0
XEROX CORP COM                          984121103     1741768      29490    X                            29290        200          0
XEROX CORP COM                          984121103      369971       6264                X                 5984        280          0
ZURICH ALLIED AG                        98981P101      227456       2000                X                 2000          0          0
                                                    ---------  ---------                              ---------  ---------  --------
SUBTOTALS FOR THIS PAGE                              33231588     675151                                671685        890       2576
                                                    ---------  ---------                              ---------  ---------  --------
SUBTOTALS FOR COMMON STOCK                         1215258398   45819148                              44653715     759886     405544
</TABLE>
<PAGE>   92
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   110
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED       NONE
B. PREFERRED STOCK                                                              INSTR  OTHER
            PREFERRED STOCK
            --------------------
<S>                                   <C>           <C>        <C>        <C>   <C>   <C>     <C>    <C>        <C>        <C>
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                     0          0          0
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                               0          0                                     0          0          0
</TABLE>
<PAGE>   93
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   111
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
C. OTHER                                                                        INSTR  OTHER
            OTHER
            --------------------
<S>                                   <C>               <C>       <C>     <C>   <C>    <C>    <C>        <C>      <C>        <C>
NORAM ENERGY CORP                        655419AC3      13744      15000                X                15000          0          0
                                                        -----      -----                                 -----    -------    -------
SUBTOTALS FOR THIS PAGE                                 13744      15000                                 15000          0          0
                                                        -----      -----                                 -----    -------    -------
SUBTOTALS FOR OTHER                                     13744      15000                                 15000          0          0
</TABLE>
<PAGE>   94
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 14-NATIONAL CITY BANK                   ON 08/11/99 AS OF 06/30/99                 DEPT ID# 014             PAGE   112
**SUMMARY PAGE FOR: 14-NATIONAL CITY BANK               **
CATEGORY                                               MARKET      SH/PV                               SOLE     SHARED       NONE
- ----------------------------------------           ----------   --------                            ---------   --------   --------
<S>                                                <C>          <C>                                 <C>         <C>        <C>
A. COMMON STOCK                                    1215258398   45819148                             44653715     759886     405544
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                                13744      15000                                15000          0          0
                                                    ---------  ---------                             --------   --------    -------
**GRAND TOTALS**                                   1215272142   45834148                             44668715     759886     405544
</TABLE>
<PAGE>   95
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   113
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                     <C>       <C>           <C>      <C>   <C>    <C>    <C>       <C>         <C>      <C>
ANNUITY AND LIFE RE (HLDGS)             G03910109    1326086      59100                 X                    0          0      59100
FRUIT OF THE LOOM INC                   G3682L105     102375      10500                 X                    0          0      10500
RENAISSANCERE HOLDINGS LTD              G7496G103    1842600      49800                 X                    0          0      49800
MARDOT L.P. CLASS "B" LIMITED           LP0000366    1248300        146    X                               146          0          0
NEW HOLLAND N V                         N62648105    1012088      59100                 X                    0          0      59100
STEINER LEISURE LTD                     P8744Y102    1442899      47600                 X                    0          0      47600
SUN INTL HOTELS LTD                     P8797T133     742850      16600                 X                    0          0      16600
INDUSTRIAL TRANSMISSION                 VA0000020     555452        833    X                               833          0          0
TUDOR INN                               VA0000244     633100        200    X                               200          0          0
OMI CORP NEW                            Y6476W104      77156      37400                 X                    0          0      37400
AARP GROWTH FDS                         00036J106     263627       4773    X                              4773          0          0
MORRIS MACHINE COMPANY INCORPORATED     000577999     433198       2018                 X                    0          0       2018
ABC-NACO INC COM                        000752105    1223850      59700                 X                    0          0      59700
AIRCOM METAL PRODUCTS INCORPORATED      000821991     238410       1422    X                              1422          0          0
ADE CORP MASS                           00089C107     400800      33400                 X                    0          0      33400
ACT MFG INC                             000973107     368200      26300                 X                    0          0      26300
ACT NETWORKS INC COM                    000975102     389036      22800                 X                    0          0      22800
AEP INDS INC                            001031103     456775      15100                 X                    0          0      15100
AGCO CORP                               001084102      10182        900    X                               900          0          0
AGCO CORP                               001084102    1331540     117700                 X                    0          0     117700
AES CORP                                00130H105     773063      13300                 X                    0          0      13300
AMR CORP DEL COM                        001765106     136500       2000    X                              2000          0          0
AMR CORP DEL COM                        001765106    1638000      24000                 X                    0          0      24000
AT&T CORP COM                           001957109    4992306      89447    X                             87236          0       2211
AT&T CORP COM                           001957109   21848445     391458                 X                33379        300     357779
AT&T CORP                               001957208       1544         42    X                                42          0          0
AT&T CORP                               001957208    2388750      65000                 X                    0          0      65000
ARV ASSISTED LIVING INC                 00204C107     184800      46200                 X                    0          0      46200
ATMI INC                                00207R101    2302650      77400                 X                    0          0      77400
AAMES FINANCIAL CORP COM                00253A101      93748      71400                 X                    0          0      71400
ABBOTT LABS                             002824100   19587798     431687    X                            422402         50       9235
ABBOTT LABS                             002824100   13773717     303553                 X               273303       2300      27950
ABERCROMBIE & FITCH CO                  002896207     512640      10680                 X                    0          0      10680
WEST SUBURBAN BANCORP INC CLASS B       003821006     325032        696    X                               696          0          0
ABRAXAS PETE CORP                       003830106      20434      17200                 X                    0          0      17200
ACCEL INTL CORP                         004299103      18855      10400                 X                    0          0      10400
ACCEPTANCE INS COS INC COM              004308102     569381      37800                 X                    0          0      37800
ACETO CORP COM                          004446100     227700      19800                 X                    0          0      19800
ACME METALS INC COM                     004724100         25        100    X                               100          0          0
ACME METALS INC COM                     004724100       5175      20700                 X                    0          0      20700
ACORN FUND                              004851101     265055      14258    X                             12338          0       1920
ACORN FUND                              004851101     190013      10221                 X                 9577          0        644
ACTIVE VOICE CORP COM                   004938106     168200      11600                 X                    0          0      11600
ACX TECH INC COM                        005123104    1161875      71500                 X                    0          0      71500
                                                   ---------  ---------                              ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             85284230    2305834                                 849347       2650    1453837
</TABLE>
<PAGE>   96
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   114
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                     <C>       <C>           <C>      <C>   <C>    <C>   <C>        <C>         <C>      <C>
ACXIOM CORP COM                         005125109     588537      23600                 X                    0          0      23600
ADAPTIVE BROADBAND CORP                 00650M104     545978      24959                 X                  359          0      24600
ADEPT TECHNOLOGY INC                    006854103     209625      21500                 X                    0          0      21500
ADFLEX SOLUTIONS INC                    006866107      87200      21800                 X                    0          0      21800
ADOBE SYS INC COM                       00724F101     402564       4900                 X                    0          0       4900
ADVANCED MAGNETICS                      00753P103      69940      16700                 X                    0          0      16700
ADVANCED HEALTH CORP                    00756H108      76500      20400                 X                    0          0      20400
ADVEST GROUP INCORPORATED               007566102     330971      16600                 X                    0          0      16600
ADVANCED NEUROMODULATION SYS            00757T101     136800      14400                 X                    0          0      14400
ADVOCAT INC COM                         007586100      27326      14100                 X                    0          0      14100
ADVANCED MICRO DEVICES                  007903107     122828       6800    X                              6300        500          0
ADVANCED MICRO DEVICES                  007903107     407321      22550                 X                12050          0      10500
ADVANTA CORP                            007942105     460607      25500                 X                    0          0      25500
ADVANTA CORP CL B                       007942204     539807      39800                 X                    0          0      39800
AEROVOX INC COM                         00808M105      56175      21400                 X                    0          0      21400
AETNA INC COM NEW                       008117103      11269        126    X                               126          0          0
AETNA INC COM NEW                       008117103    2068343      23126                 X                  626          0      22500
AFFYMETRIX INC                          00826T108    1372625      27800                 X                    0          0      27800
AFTERMARKET TECHNOLOGY CORP             008318107     119438      10500                 X                    0          0      10500
AIR METHODS CORP                        009128307      48355      22100                 X                    0          0      22100
AIR PRODS & CHEMS INC COM               009158106    2988321      74244    X                             74244          0          0
AIR PRODS & CHEMS INC COM               009158106    2596125      64500                 X                45600          0      18900
AIRGAS INC                              009363102     367500      30000                 X                    0          0      30000
AIRNET SYS INC COM                      009417106     162000      12000                 X                    0          0      12000
ALAMO GROUP INC COM                     011311107     101500      11600                 X                    0          0      11600
ALASKA AIR GROUP INC COM                011659109     517700      12400                 X                    0          0      12400
ALBEMARLE CORP COM                      012653101    1988750      86000                 X                  900          0      85100
ALBERTSONS INC COM                      013104104   13298768     257913    X                            250828         60       7025
ALBERTSONS INC COM                      013104104    5316352     103104                 X                28490       1200      73414
ALCAN ALUMINIUM LTD COM NEW             013716105     954946      29900                 X                    0          0      29900
ALCOA INC                               013817101      68434       1106    X                              1106          0          0
ALCOA INC                               013817101    3520688      56900                 X                    0          0      56900
ALDILA INC                              014384101      72285      39200                 X                    0          0      39200
ALICO INC                               016230104     251100      16200                 X                    0          0      16200
ALIGN-RITE INTL INC COM                 016251100     147075      10600                 X                    0          0      10600
ALLAIRE CORP                            016714107     518700       7600                 X                    0          0       7600
ALLEGHENY ENERGY INC                    017361106      48736       1520    X                              1520          0          0
ALLEGHENY ENERGY INC                    017361106     320630      10000                 X                 1400          0       8600
ALLEGHENY TELEDYNE INC COM              017415100     852963      37700                 X                    0          0      37700
ALLEGIANCE TELECOM INC                  01747T102    1909650      34800                 X                    0          0      34800
ALLEN TELECOM INC                       018091108     792000      72000                 X                    0          0      72000
ALLERGAN INC COM                        018490102     732600       6600    X                              6100          0        500
ALLERGAN INC COM                        018490102     532800       4800                 X                    0          0       4800
ALLIANCE BANCORP                        01852J105     492900      21200                 X                    0          0      21200
                                                    --------    -------                              ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             46234732    1380548                                 429649       1760     949139
</TABLE>
<PAGE>   97
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   115
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-             SOLE      SHARED       NONE
A. COMMON STOCK                                                                INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>     <C>   <C>    <C>   <C>       <C>         <C>        <C>
ALLIANCE FUND                            01859K105     103393      14241   X                            14241          0          0
ALLIANCE GROWTH & INCOME FD INC COM      018597104     119040      30061   X                            30061          0          0
ALLIANCE SEMICONDUCTOR CORP COM          01877H100     837773      84300               X                    0          0      84300
ALLIANCE PHARMACEUTICAL CORP COM         018773101     205013      78100               X                    0          0      78100
ALLIED CAP CORP NEW                      01903Q108    1279200      53300               X                    0          0      53300
ALLIED HEALTHCARE PRODS INC              019222108      26719      15400               X                    0          0      15400
ALLIED PROD DEL                          019411107     100800      33600               X                    0          0      33600
ALLIED RESEARCH CORP                     019483106      81000      13500               X                    0          0      13500
ALLIED SIGNAL INC COM                    019512102    1074024      17048   X                            17048          0          0
ALLIED SIGNAL INC COM                    019512102    6270768      99536               X                10036          0      89500
ALLOU HEALTH & BEAUTY CARE I             019782101      80518      11400               X                    0          0      11400
ALLOY ONLINE INC                         019855105     163563      14300               X                    0          0      14300
ALLSTATE CORP COM                        020002101     388813      10838   X                            10688          0        150
ALLSTATE CORP COM                        020002101    5412892     150882               X                20682          0     130200
ALLTEL CORP COM                          020039103    3594377      50271   X                            47891         50       2330
ALLTEL CORP COM                          020039103    1949162      27261               X                 6761          0      20500
ALPHANET SOLUTIONS INC                   020787107      47663      12300               X                    0          0      12300
ALTERRA HEALTHCARE CORP                  02146C104    1754500     127600               X                    0          0     127600
ALZA CORP COM                            022615108      30525        600   X                              600          0          0
ALZA CORP COM                            022615108     702075      13800               X                    0          0      13800
AMBAC FINL GROUP INC COM                 023139108     371313       6500               X                  500          0       6000
AMCAST INDL CORP COM                     023395106     902109      55300               X                    0          0      55300
AMCOL INTL CORP COM                      02341W103     218500      15200               X                    0          0      15200
AMERADA HESS CORP COM                    023551104     672350      11300               X                    0          0      11300
AMERCO                                   023586100     393750      17500               X                    0          0      17500
AMEREN CORP                              023608102      94633       2466   X                             2466          0          0
AMEREN CORP                              023608102     789105      20563               X                  563          0      20000
AMERICA ONLINE INC DEL COM               02364J104     443850       4035   X                             3735          0        300
AMERICA ONLINE INC DEL COM               02364J104    6144820      55862               X                 3592          0      52270
AMERICAN BANKNOTE CORP                   024490104       9254      26900               X                    0          0      26900
AMERICAN BUSINESS PRODUCTS INC           024763104     327875      21500               X                    0          0      21500
AMERCIAN CLASSIC VOYAGES COMPANY         024928103     554400      23100               X                    0          0      23100
AMERICAN CENTURY                         025076506      96090      14110               X                14110          0          0
AMERICAN CENTURY                         025083882     174765       4652   X                             4652          0          0
AMERICAN CENTURY                         025083882      77870       2073               X                 1892          0        181
AMERICAN ELECTRIC POWER CO INC           025537101     648375      17261   X                            17061          0        200
AMERICAN ELECTRIC POWER CO INC           025537101     807041      21485               X                 7074          0      14411
AMERICAN EXPRESS CO COM                  025816109     672876       5171   X                             5171          0          0
AMERICAN EXPRESS CO COM                  025816109    3383250      26000               X                 2500          0      23500
AMERICAN FREIGHTWAYS CORP                02629V108    1915218      97900               X                    0          0      97900
AMERICAN GENERAL CORP                    026351106     393005       5214   X                             4114          0       1100
AMERICAN GENERAL CORP                    026351106    1640612      21766               X                 3266          0      18500
AMERICAN HOME PRODS CORP COM             026609107   45359585     790581   X                           646095          0     144486
AMERICAN HOME PRODS CORP COM             026609107   39903796     695491               X               248394          0     447097
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             130216260    2820268                              1123193         50    1697025
</TABLE>
<PAGE>   98
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   116
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>   <C>     <C>           <C>     <C>
AMERICAN HOMEPATIENT INC                 026649103      57206      36600                X                    0          0      36600
AMERICAN INTL GROUP INC COM              026874107   37050179     315993    X                           290816         59      25118
AMERICAN INTL GROUP INC COM              026874107   23838801     203316                X                82164        200     120952
AMERICAN HERITAGE BANCO, INC CLASS A     026999011     116372      34407    X                            34407          0          0
AMERICAN ITALIAN PASTA CO                027070101     883913      29100                X                    0          0      29100
AMERICAN MED SEC GROUP INC               02744P101     189750      22000                X                    0          0      22000
AMERICAN MOBILE SATELLITE CORP COM       02755R103     759800      46400                X                    0          0      46400
AMERICAN PACIFIC CORP                    028740108     135008      16000                X                    0          0      16000
AMERICAN PAD & PAPER CO NEW COM          028816106      89200      44600                X                    0          0      44600
AMERICAN PHYSICIANS SVC GROU             028882108      38063      10500                X                    0          0      10500
AMERICAN SOFTWARE INC CL A               029683109     202373      45600                X                    0          0      45600
AMERICAN TECHNICNAL CERAMICS             030137103      89250      10500                X                    0          0      10500
AMERICAN WTR WKS CO INC                  030411102     230625       7500                X                 2000          0       5500
AMERIHOST PPTYS INC                      03070D209      66400      16600                X                    0          0      16600
AMERISTAR CASINOS INC                    03070Q101     137475      42300                X                    0          0      42300
AMERIPATH INC COM                        03071D109     241500      28000                X                    0          0      28000
AMERON INTL CORP DEL COM                 030710107     430484       9756                X                    0          0       9756
AMERUS LIFE HLDGS INC                    030732101     224100       8300                X                    0          0       8300
AMES DEPT STORES INC                     030789507    2102856      46090                X                    0          0      46090
AMERITECH CORP NEW COM                   030954101   21536823     293018    X                           280507        110      12401
AMERITECH CORP NEW COM                   030954101   10155789     138174                X                84254        500      53420
AMGEN INC                                031162100    5269340      86560    X                            85050        400       1110
AMGEN INC                                031162100    6128043     100666                X                20466       2200      78000
AMRESCO INC COM                          031909104     656676     102000                X                    0          0     102000
AMPCO-PITTSBURG CORP                     032037103     408735      31900                X                    0          0      31900
AMQUEST INTL LTD                         032149106       2340      10000    X                            10000          0          0
AMREP CORP                               032159105      95558      16800                X                    0          0      16800
ANADIGICS INC                            032515108    1494800      40400                X                    0          0      40400
ANCHOR BANCORP WIS INC                   032839102     495486      27816                X                    0          0      27816
ANCHOR GAMING COM                        033037102    1504372      31300                X                    0          0      31300
ANGELICA CORP COM                        034663104     398325      22600                X                    0          0      22600
ANHEUSER BUSCH                           035229103    4121994      58107    X                            55507          0       2600
ANHEUSER BUSCH                           035229103    1993216      28098                X                24248       2000       1850
ANICOM INC                               035250109     432600      41200                X                    0          0      41200
ANN TAYLOR STORES CORP COM               036115103     760500      16900                X                    0          0      16900
ANTEC CORP                               03664P105     788750      24600                X                    0          0      24600
AON CORP COM                             037389103    1286918      31198    X                            26473          0       4725
AON CORP COM                             037389103    3228679      78271                X                15784      21937      40550
APACHE CORP COM                          037411105     284700       7300                X                    0          0       7300
APPLE COMPUTER INC COM                   037833100      64838       1400    X                              200          0       1200
APPLE COMPUTER INC COM                   037833100     333454       7200                X                    0          0       7200
APPLE ORTHODONTIX INC                    037849106      28350      16200                X                    0          0      16200
APPLIED MICROSYSTEMS CORP                037935103      57188      18300                X                    0          0      18300
APPLIED GRAPHICS TECHNOLOGIES INC        037937109     218413      17300                X                    0          0      17300
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             128629242    2220870                               1011876      27406    1181588
</TABLE>
<PAGE>   99
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   117
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>        <C>        <C>       <C>   <C>    <C>   <C>     <C>        <C>        <C>
APPLIED ANALYTICAL INDUSTRIES            037939105     462375      41100               X                    0          0      41100
APPLIED DIGITAL ACCESS INC               038181103     125550      27900               X                    0          0      27900
APPLIED EXTRUSION TECHNOLOGIES INC       038196101     278313      36500               X                    0          0      36500
APPLIED INDL TECHNOLOGIES IN             03820C105    1544700      81300               X                    0          0      81300
APPLIED MAGNETICS COM                    038213104     196563      62900               X                    0          0      62900
APPLIED MICRO CIRCUITS CORP              03822W109    2582650      31400               X                    0          0      31400
APPLIED MATLS INC                        038222105     177300       2400   X                             2400          0          0
APPLIED MATLS INC                        038222105    3642038      49300               X                 1700          0      47600
APPLIED PWR INC CL A                     038225108    1177190      43100               X                    0          0      43100
APPLIED SCIENCE & TECHNOLOGY INC COM     038236105     463500      20600               X                    0          0      20600
APPLIED SIGNAL TECHNOLOGY INC            038237103     109250      11500               X                    0          0      11500
APPLIX INC COM                           038316105     212625      24300               X                    0          0      24300
APTARGROUP INC                           038336103     579000      19300               X                    0          0      19300
AQUILA BIOPHARM INC                      03839F107      23400      14400               X                    0          0      14400
ARCADIA FINL LTD                         039101100     793600     102400               X                    0          0     102400
ARCH COAL INC                            039380100     194250      14000               X                    0          0      14000
ARCHER DANIELS MIDLAND CO COM            039483102     110675       7169   X                             7169          0          0
ARCHER DANIELS MIDLAND CO COM            039483102     799395      51781               X                 7811          0      43970
ARCTIC CAT INC                           039670104     233282      26100               X                    0          0      26100
ARDEN RLTY INC COM                       039793104     893888      36300               X                    0          0      36300
ARGONAUT GROUP INC COM                   040157109     854400      35600               X                    0          0      35600
ARGOSY GAMING COMPANY                    040228108     282897      32100               X                    0          0      32100
ARKANSAS BEST CORP DEL COM               040790107     484974      48800               X                    0          0      48800
ARMADA FDS                               042086272     691480      64685   X                            64685          0          0
ARMADA TAX MANAGED EQUITY FD #233        042086330   52473086    4080333   X                          4052645        791      26898
ARMADA TAX MANAGED EQUITY FD #233        042086330   13309010    1034915               X               912256          0     122660
ARMADA NATIONAL TAX EXEMPT FD #297       042086363   49974659    5109883   X                          5003810          0     106074
ARMADA NATIONAL TAX EXEMPT FD #297       042086363   16779930    1715739               X              1547931      14143     153665
ARMADA TREASURY MONEY MKT FD             042086504     105000     105000               X               105000          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579    2563870     230564   X                           229620        420        524
ARMADA SMALL CAP GROWTH FUND #519        042086579      84596       7608               X                 3697       3911          0
ARMADA CORE EQUITY FUND #681             042086595     414214      28197   X                            28197          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629    2414351     207776   X                           202573       2343       2859
ARMADA INTERNATIONAL EQUITY FD           042086629     153107      13176               X                13176          0          0
ARMADA EQUITY INDEX FUND #42             042086645    2493188     208810   X                           208810          0          0
ARMADA EQUITY INDEX FUND #42             042086645     351379      29429               X                    0          0      29429
ARMADA GNMA INSTL CL #666                042086660     277120      27740   X                            27740          0          0
ARMADA BOND FD INSTL CL #630             042086686   53969950    5473626   X                          5422540      19710      31377
ARMADA BOND FD INSTL CL #630             042086686    7069649     717003               X               666393      15571      35039
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    3314385     334786   X                           332345        977       1465
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     290725      29366               X                26927          0       2439
ARMADA INTERMEDIATE BD FUND              042086793   77572415    7502168   X                          7468648          0      33520
ARMADA INTERMEDIATE BD FUND              042086793   13635962    1318758               X              1296626          0      22132
ARMADA ENHANCED INCOME FUND              042086827     271073      27298   X                            27298          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             314430964   29087110                             27659997      57866    1369251
</TABLE>
<PAGE>   100
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   118
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE       SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>        <C>        <C>         <C>   <C>    <C>          <C>            <C>     <C>
ARMADA SMALL CAP VALUE FUND #616         042086843    3239684     232069    X                           225392        334       6342
ARMADA SMALL CAP VALUE FUND #616         042086843     350948      25140                X                19278          0       5862
ARMADA EQUITY INCOME FUND #614           042086868   83435032    4352375    X                          4290888       3131      58356
ARMADA EQUITY INCOME FUND #614           042086868   17437716     909636                X               722826      32966     153844
ARMADA EQUITY GROWTH FUND                042086884  119311117    4524502    X                          4465441          0      59061
ARMADA EQUITY GROWTH FUND                042086884   20063091     760830                X               561928      36184     162718
ARMCO INC COM                            042170100     541925      81800                X                    0          0      81800
ARMOR HOLDINGS INC                       042260109     356980      34200                X                    0          0      34200
ARMSTRONG WORLD INDS INC COM             042476101      80938       1400    X                             1350          0         50
ARMSTRONG WORLD INDS INC COM             042476101     173439       3000                X                    0          0       3000
ARNOLD INDUSTRIES INCORPORATED           042595108     733305      47500                X                    0          0      47500
ARONEX PHARMACEUTICALS INC               042666206     115832      26100                X                    0          0      26100
ARQULE INC                               04269E107     116025      23800                X                    0          0      23800
ARTISOFT INC COM                         04314L106     102273      20200                X                  100          0      20100
ASARCO INC COM                           043413103     278432      14800                X                    0          0      14800
ASCENT ENTMT GROUP INC                   043628106    1104575      78200                X                    0          0      78200
ASHLAND INC COM                          044204105      16050        400    X                              400          0          0
ASHLAND INC COM                          044204105     224700       5600                X                    0          0       5600
ASHWORTH INC COM                         04516H101     166500      36000                X                    0          0      36000
ASPECT DEV INC                           045234101     786250      42500                X                    0          0      42500
ASSOCIATES FIRST CAP CORP COM            046008108     713163      16162    X                            16162          0          0
ASSOCIATES FIRST CAP CORP COM            046008108    2023043      45848                X                 1648       1000      43200
ASTRO-MED INCORPORATED NEW COMMON        04638F108      96250      14000                X                    0          0      14000
ASYST TECHNOLOGIES INC COM               04648X107     892152      29800                X                    0          0      29800
ATALANTA SOSNOFF CAP CORP COM            046499109     175177      18500                X                    0          0      18500
ATCHISON CASTING CORP                    046613105     201275      19400                X                    0          0      19400
ATLANTIC AMERN CORP                      048209100      65414      16100                X                    0          0      16100
ATLANTIC GULF COMMUNITIES CO             048556104       7884      12000                X                    0          0      12000
ATLANTIC RICHFIELD CO COM                048825103    1142390      13671    X                            10651          0       3020
ATLANTIC RICHFIELD CO COM                048825103    4544741      54387                X                29222          0      25165
ATMOS ENERGY CORP COM                    049560105    1450000      58000                X                    0          0      58000
AUDIOVOX CORP CL A                       050757103     469700      42700                X                    0          0      42700
AUSPEX SYSTEMS INC COM                   052116100     541575      49800                X                    0          0      49800
AUTOMATIC DATA PROCESSING INC COM        053015103   24470820     556155    X                           523040         65      33050
AUTOMATIC DATA PROCESSING INC COM        053015103    9760432     221828                X               138358       1500      81970
AUTOZONE INC COM                         053332102      24100        800    X                              800          0          0
AUTOZONE INC COM                         053332102     741075      24600                X                    0          0      24600
AVADO BRANDS INC                         05336P108     231150      27600                X                    0          0      27600
AVERY DENNISON CORP COM                  053611109      54338        900    X                              700          0        200
AVERY DENNISON CORP COM                  053611109     543375       9000                X                  400          0       8600
AVON PRODS INC COM                       054303102     355200       6400    X                             6400          0          0
AVON PRODS INC COM                       054303102     122100       2200                X                  800          0       1400
AVONDALE INDS INC                        054350103     577200      14800                X                    0          0      14800
AVTEAM INC                               054527205     135291      18500                X                    0          0      18500
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             297972657   12493203                              11015784      75180    1402238
</TABLE>
<PAGE>   101
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   119
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                INSTR OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>        <C>        <C>   <C>   <C>              <C>         <C>       <C>
AXSYS TECHNOLOGIES INC                   054615109     138000      12000               X                    0          0      12000
AZTAR CORP COM                           054802103    1035488     112700               X                    0          0     112700
BEI TECHNOLOGIES INC                     05538P104     169000      16900               X                    0          0      16900
BHA GROUP INC                            055446108     157575      19100               X                    0          0      19100
B I INCORPORATED                         055467203     128350      15100               X                    0          0      15100
BMC INDUSTRIES INC MINN                  055607105     786882      76300               X                    0          0      76300
BP AMOCO PLC-SPONS ADR                   055622104   40830795     376321   X                           354138          0      22183
BP AMOCO PLC-SPONS ADR                   055622104   55136554     508171               X               392031      11792     104348
BMC SOFTWARE INC COM                     055921100     815400      15100               X                    0          0      15100
BTU INTL INC                             056032105      88725      18200               X                    0          0      18200
BAIRNCO CORP                             057097107     170250      22700               X                    0          0      22700
BAKER HUGHES INC COM                     057224107     264315       7890   X                             7810          0         80
BAKER HUGHES INC COM                     057224107    1092770      32620               X                 1700          0      30920
BAKER J INC                              057232100     326888      37900               X                    0          0      37900
BALDOR ELECTRIC COMPANY COMMON           057741100     295760      14881   X                             1000          0      13881
BALDWIN TECHNOLOGY CLASS A               058264102      81383      27700               X                    0          0      27700
BANCORPSOUTH INC                         059692103     213875      11800               X                    0          0      11800
BANCTEC INC COM                          059784108     977621      54500               X                    0          0      54500
BANDAG INC COM                           059815100     638259      18400               X                    0          0      18400
BANDAG INC CL A                          059815308     450000      16000               X                    0          0      16000
BANCORP SOUTHERN INDIANA COMMON          059902106     339016       5468   X                             5468          0          0
BANK OF AMER CORP COM                    060505104    3703773      50520   X                            48510          0       2010
BANK OF AMER CORP COM                    060505104   19331025     263678               X                22667          0     241011
BANK COMM SAN DIEGO CALIF                061589107     652000      32000               X                    0          0      32000
BANK NEW YORK INC COM                    064057102     435413      11868   X                            11868          0          0
BANK NEW YORK INC COM                    064057102    1838069      50100               X                    0          0      50100
BANK ONE CORP COM                        06423A103   13704416     230083   X                           227226        162       2695
BANK ONE CORP COM                        06423A103   11636347     195362               X               129475        363      65524
BANK PLUS CORP COM                       064446107     266063      49500               X                    0          0      49500
BANK UTD CORP CL A                       065412108    2487637      61900               X                    0          0      61900
BANKATLANTIC BANCORP                     065908105     208813      25700               X                    0          0      25700
BANKBOSTON CORP                          06605R106     135584       2652   X                             2652          0          0
BANKBOSTON CORP                          06605R106    3443269      67350               X                 1150          0      66200
BANKUNITED FINL CORP CL A                06652B103     444675      46200               X                    0          0      46200
BARBER GROCERY CO INC COM                067132100     797667       1170   X                             1170          0          0
BARD C R INC                             067383109      38250        800   X                              800          0          0
BARD C R INC                             067383109     215159       4500               X                    0          0       4500
BARNESANDNOBLE.COM INC                   067846105     266400      14800               X                    0          0      14800
BARRICK GOLD CORP                        067901108      11625        600   X                              600          0          0
BARRICK GOLD CORP                        067901108     530875      27400               X                  100          0      27300
BARRET RES CORP COM PAR 0.01             068480201     326188       8500               X                    0          0       8500
BASIN EXPL INC                           070107107     427342      21300               X                    0          0      21300
BASSETT FURNITURE INDS INC               070203104     688538      30100               X                    0          0      30100
BATTLE MTN GOLD CO                       071593107     399344     163800               X                    0          0     163800
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             166125378    2779634                              1208365      12317    1558952
</TABLE>
<PAGE>   102
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   120
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                INSTR OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>     <C>   <C>   <C>              <C>         <C>       <C>
BAUSCH & LOMB INC COM                    071707103     563805       7370               X                 2000          0       5370
BAXTER INTL INC COM                      071813109    1044811      17234   X                            16726          0        508
BAXTER INTL INC COM                      071813109    2421908      39949               X                15450          0      24499
BAY VIEW CAP CORP DEL COM                07262L101    1180800      57600               X                    0          0      57600
BAYOU STL CORP LA PLACE CL A             073051104     100500      26800               X                    0          0      26800
BEAR STEARNS COS INC COM                 073902108     146328       3130   X                             3130          0          0
BEAR STEARNS COS INC COM                 073902108     715976      15315               X                    0          0      15315
BEAZER HOMES USA INC                     07556Q105     360750      15600               X                    0          0      15600
BECTON DICKINSON & CO COM                075887109     255000       8500   X                             8500          0          0
BECTON DICKINSON & CO COM                075887109    1209000      40300               X                 3200          0      37100
BELCO OIL & GAS CORP COM                 077410108     568916      82000               X                    0          0      82000
BELL ATLANTIC CORP COM                   077853109    1905224      29143   X                            28069          0       1074
BELL ATLANTIC CORP COM                   077853109    7592195     116133               X                21779          0      94354
BELL INDS INC                            078107109     107843      24300               X                    0          0      24300
BELL MICROPRODUCTS INC COM               078137106     147125      21400               X                    0          0      21400
BELLSOUTH CORP COM                       079860102    4703874     101981   X                            99603          0       2378
BELLSOUTH CORP COM                       079860102    4297385      93168               X                59684        600      32884
BELL WEATHER EXPLORATION CO NEW          079895207     207350      37700               X                    0          0      37700
BEMIS INC COM                            081437105     505541      12718   X                            11218          0       1500
BEMIS INC COM                            081437105     208688       5250               X                 1350          0       3900
BEN & JERRYS HOMEMADE INC CL A           081465106     535575      19300               X                    0          0      19300
BENICORP COM                             0820469A3          0      21000               X                    0          0      21000
BENTON OIL & GAS CO COM                  083288100     149000      74500               X                    0          0      74500
BERGEN BRUNSWIG CORP                     083739102      77832       4512   X                             4512          0          0
BERGEN BRUNSWIG CORP                     083739102    1027013      59537               X                    0          0      59537
BERGER SMALL CAP VALUE FUND              083902205     465887      20854   X                            20854          0          0
BERGER SMALL CAP VALUE FUND              083902205      47204       2113               X                 2113          0          0
BERGER INVT PORTFOLIO TR                 084045103     100088      22143   X                            22143          0          0
BERGER INVT PORTFOLIO TR                 084045103       1166        258               X                    0          0        258
BERINGER WINE ESTATES HOLDIN             084102102    1341170      32100               X                    0          0      32100
BERKSHIRE HATHAWAY INC DEL               084670108     688000         10   X                                8          0          2
BERKSHIRE HATHAWAY INC DEL               084670108     688000         10               X                    0          0         10
BERKSHIRE HATHAWAY INC DEL               084670207    1713600        765   X                              765          0          0
BERKSHIRE HATHAWAY INC DEL               084670207    1010240        451               X                  441          0         10
BEST FOODS                               08658U101     748193      15115   X                            15115          0          0
BEST FOODS                               08658U101    2762595      55810               X                16710          0      39100
BEVERLY ENTERPRISES INC                  087851309     351547      43600               X                    0          0      43600
BINDLEY WESTN INDS INC                   090324104     301357      13067               X                    0          0      13067
BIA RAD LABS INC CL A                    090572207     770688      29500               X                    0          0      29500
BIOGAN MED INTL INC                      090596107       4800     100000   X                           100000          0          0
BIOMET INC COM                           090613100    1249502      31434   X                            30834          0        600
BIOMET INC COM                           090613100    1187015      29862               X                16562          0      13300
BIONX IMPLANTS INC                       09064Q106     165000      30000               X                    0          0      30000
BIOSOURCE INTL INC                       09066H104     117744      24000               X                    0          0      24000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              43746235    1385532                               500766        600     884166
</TABLE>
<PAGE>   103
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   121
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>   <C>              <C>         <C>       <C>
BIO VASCULAR INCORPORATED COMMON         090923103      59500      17000                X                    0          0      17000
BIRMINGHAM STL CORP                      091250100     332775      78300                X                    0          0      78300
BLACK & DECKER CORP                      091797100     441875       7000                X                  200          0       6800
BLACKROCK MUNICIPAL TARGET               09247M105     303608      28915                X                28915          0          0
BLAIR CORP COM                           092828102     673450      25000                X                    0          0      25000
BLANCHE E W HLDGS INC COM                093210102    1186471      17400                X                    0          0      17400
BLIMPIE INTL INC                         093538106      54175      19700                X                    0          0      19700
BLOCK H & R INC                          093671105     440000       8800                X                 1400          0       7400
BLUEGREEN CORP                           096231105      89727      16500                X                    0          0      16500
BLYTH INDS INC                           09643P108     289000       8500                X                    0          0       8500
BOB EVANS FARMS INC COM                  096761101     299755      15082                X                    0          0      15082
BOCA RESEARCH INC                        096888102     117425      15400                X                    0          0      15400
BOEING CO                                097023105    2292796      52109    X                            40859          0      11250
BOEING CO                                097023105    7024644     159651                X                12851          0     146800
BON-TON STORES                           09776J101     198290      30800                X                    0          0      30800
BOMBAY INC COM                           097924104     713250      95100                X                    0          0      95100
BOOKS-A-MILLION INC COM                  098570104     345673      45900                X                    0          0      45900
BOSTON COMMUNICATIONS GROUP INC          100582105     161256      12000                X                    0          0      12000
BOSTON SCIENTIFIC CORP COM               101137107     289991       6600    X                             6600          0          0
BOSTON SCIENTIFIC CORP COM               101137107    1643281      37400                X                 3700          0      33700
BOSTON FED BANCORP INC COM               101178101     264550      14800                X                    0          0      14800
BOWNE & CO INC COM                       103043105     334375      25000                X                    0          0      25000
BOYD GAMING CORP COM                     103304101     844900     120700                X                    0          0     120700
BRISTOL MYERS SQUIBB CO COM              110122108   26000286     369123    X                           349323        400      19400
BRISTOL MYERS SQUIBB CO COM              110122108   24426208     346776                X               212479          0     134297
BROADWAY INVESTMENT COMPANY INC          110990108     161874         22    X                               22          0          0
BROADWAY INVESTMENT COMPANY INC          110990108     749136        100                X                  100          0          0
BRITISH TELECOMMUNICATIONS PLC           111021408     463916       2709    X                             2369          0        340
BROOKS AUTOMATION INC                    11434A100     679281      25100                X                    0          0      25100
BROOKSTONE INC COM                       114537103     190650      12300                X                    0          0      12300
BROWN & SHARPE MFG CL A                  115223109     175647      32300                X                    0          0      32300
BROWN TOM INC                            115660201    1087854      69900                X                    0          0      69900
BROWN CO INC                             115736100      36975       1700    X                             1700          0          0
BROWN CO INC                             115736100    1026600      47200                X                    0          0      47200
BROWNING FERRIS INDS INC COM             115885105    1330850      30950    X                            27700          0       3250
BROWNING FERRIS INDS INC COM             115885105    1034150      24050                X                 2500          0      21550
BRUNSWICK CO COM                         117043109     203488       7300                X                    0          0       7300
BRUNSWICK TECHNOLOGIES INC               117394106      65256      12000                X                    0          0      12000
BRUSH WELLMAN INC COM                    117421107     726813      40100                X                    0          0      40100
BUDGET GROUP INC                         119003101     282448      22939    X                            22939          0          0
BUDGET GROUP INC                         119003101     900080      73100                X                    0          0      73100
BUFFETS INC COM                          119882108     233450      20300                X                    0          0      20300
BUILDING MATLS HLDG CORP                 120113105     407100      35400                X                    0          0      35400
BURLINGTON INDS INC NEW                  121693105     938875     101500                X                    0          0     101500
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              79521704    2132526                                713657        400    1418469
</TABLE>
<PAGE>   104
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   122
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-              SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>              <C>         <C>     <C>
BURLINGTON NORTHERN SANTA FE CORP        12189T104     152055       4905    X                             4905          0          0
BURLINGTON NORTHERN SANTA FE CORP        12189T104    2045132      65972                X                 4572          0      61400
BURLINGTON RES INC COM                   122014103      70411       1628    X                             1628          0          0
BURLINGTON RES INC COM                   122014103     666266      15405                X                 1731          0      13674
BURNHAM PACIFIC PROPERTIES               12232C108     528228      42900                X                    0          0      42900
BUSH BOAKE ALLEN INC COM                 123162109    1167075      39900                X                    0          0      39900
BUTLER MFG CO DEL COM                    123655102     544791      19500                X                    0          0      19500
CCC INFORMATION SVCS GROUP I             12487Q109     356638      27700                X                    0          0      27700
CBS CORP                                 12490K107     296054       6796    X                             6796          0          0
CBS CORP                                 12490K107    2435172      55900                X                 2400          0      53500
CFM TECHNOLOGIES INC COM                 12525K106     224000      22400                X                    0          0      22400
C H ROBINSON WORLDWIDE INC               12541W100    1789725      48700                X                    0          0      48700
CIGNA CORP COM                           125509109       8900        100    X                              100          0          0
CIGNA CORP COM                           125509109    2826195      31755                X                    5          0      31750
CLECO CORP                               12561M107    1843763      60700                X                    0          0      60700
CMC INDUSTRIES INC COM                   125708107     123997      18200                X                    0          0      18200
CMP GROUP INC                            125887109      10475        400    X                                0          0        400
CMP GROUP INC                            125887109     968956      37000                X                    0          0      37000
CMS ENERGY CORP COM                      125896100       8375        200    X                                0          0        200
CMS ENERGY CORP COM                      125896100     644875      15400                X                    0          0      15400
CTG RES INC                              125957100     407400      11200                X                    0          0      11200
CNB BANCSHARES INC                       126126101    1359165      23845    X                            15177          0       8668
CNB BANCSHARES INC                       126126101      17385        305                X                  305          0          0
CNS INC                                  126136100     154632      45400                X                    0          0      45400
CPAC INC                                 126145101     132325      15800                X                    0          0      15800
C P CLARE CORP COM                       12615K107     190016      32000                X                    0          0      32000
CSX CORP COM                             126408103     190575       4200    X                             4200          0          0
CSX CORP COM                             126408103    1833513      40408                X                11608          0      28800
CVS CORPORATION (DEL)                    126650100    3137467      61822    X                            58967        303       2552
CVS CORPORATION (DEL)                    126650100     471518       9291                X                 8461          0        830
CABLETRON SYS INC COM                    126920107     160550      12350                X                    0          0      12350
CADENCE DESIGN SYS INC COM               127387108     348261      27585                X                    0          0      27585
CADMUS COMMUNICATIONS CORP COM           127587103     325875      23700                X                    0          0      23700
CAL MAINE FOODS INC                      128030202     150150      28600                X                    0          0      28600
CALCOMP TECHNOLOGY INC                   128701109        240      12000                X                    0          0      12000
CALGON CARBON CORP COM                   129603106     100946      17000                X                    0          0      17000
CALIFORNIA COASTAL CMNTYS IN             129915203     102225      14100                X                    0          0      14100
CALIFORNIA MICRO DEVICES CORP            130439102      38700      17200                X                    0          0      17200
CALIFORNIA WTR SVC GROUP                 130788102     263863      10100                X                    0          0      10100
CALLON PETROLEUM CO DEL                  13123X102     216573      21000                X                    0          0      21000
CAMERON ASHLEY BLDG PRODS INC            133290106     236943      22700                X                    0          0      22700
CAMPBELL SOUP CO COM                     134429109    1490956      32150                X                 2050          0      30100
CANANDAIGUA BRANDS INC CL A              137219200     833764      15900                X                    0          0      15900
CANNONDALE CORP                          137798104     217263      19100                X                    0          0      19100
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              29091388    1033217                                122905        303     910009
</TABLE>
<PAGE>   105
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   123
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>              <C>       <C>       <C>
CAPITAL ONE FINL CORP COM                14040H105     534605       9600    X                             9600          0          0
CAPITAL ONE FINL CORP COM                14040H105     141169       2535                X                    0          0       2535
CAPITAL PAC HLDGS INC                    14040M104     143250      38200                X                    0          0      38200
CAPITAL PRESERVATION FUND #04            140411DV8    3266909     326691    X                           326691          0          0
CAPITAL PRESERVATION FD UNIT PARTN       140411109    1985298     198530    X                           198345          0        185
CAPITAL PRESERVATION FD UNIT PARTN       140411109      44294       4429                X                 4429          0          0
CAPITAL RE CORP COM                      140432105     721229      44900                X                    0          0      44900
CAPITOL TRANSAMERICA CORP                140640103     434600      32800                X                    0          0      32800
CAPROCK COMMUNICATIONS CORP              140667106    1202850      29700                X                    0          0      29700
CARBIDE/GRAPHITE GROUP INC COM           140777103     303436      21200                X                    0          0      21200
CARAUSTAR INDS INC COM                   140909102    1871350      75800                X                    0          0      75800
CARDINAL HEALTH INC COM                  14149Y108    2853370      44497    X                            41284         52       3161
CARDINAL HEALTH INC COM                  14149Y108    1300134      20275                X                 7101          0      13174
CAREINSITE INC                           14170M106     344925       7300                X                    0          0       7300
CARIBINER INTL INC COM                   141888107     373755      60400                X                    0          0      60400
CARMIKE CINEMAS CL A COM                 143436103     415982      26100                X                    0          0      26100
CARNIVAL CORP COM                        143658102    1471975      30350    X                            29850          0        500
CARNIVAL CORP COM                        143658102     528893      10905                X                10405          0        500
CAROLINA PWR & LT CO COM                 144141108      93760       2190    X                             2190          0          0
CAROLINA PWR & LT CO COM                 144141108     513756      12000                X                 1000          0      11000
CARRINGTON LABS INC                      144525102      87688      30500                X                    0          0      30500
CARSON INC                               145845103      62947      19000                X                    0          0      19000
CARTER WALLACE INC                       146285101     842104      46300                X                    0          0      46300
CASCADE CORPORATION COM                  147195101     222600      15900                X                    0          0      15900
CASE CORP COM                            14743R103     259875       5400                X                    0          0       5400
CASINO DATA SYS                          147583108     116955      23100                X                    0          0      23100
CASTLE & COOKE INC NEW COM               148433105    1163250      66000                X                    0          0      66000
CATALINA LTG INC                         148865108      73000      14600                X                    0          0      14600
CATERPILLAR INC COM                      149123101     367500       6125    X                             6125          0          0
CATERPILLAR INC COM                      149123101    1860000      31000                X                 3700        500      26800
CATHERINES STORES CORP COM               14916F100     214088      17300                X                    0          0      17300
CATO CORP NEW CL A                       149205106     340613      29300                X                    0          0      29300
CAVALIER HOMES COM                       149507105     444608      54300                X                    0          0      54300
CAVANAUGHS HOSPITALITY CORP              149564106     421900      50000                X                    0          0      50000
CELERITEK INC                            150926103     134375      21500                X                    0          0      21500
CENDANT CORP                             151313103       8815        430    X                              430          0          0
CENDANT CORP                             151313103    3610050     176100                X                 5500          0     170600
CENTERPOINT PROPERTIES TR SH BEN INT     151895109     318638       8700                X                    0          0       8700
CENTEX CORP COM                          152312104     150252       4000    X                             4000          0          0
CENTEX CORP COM                          152312104     165277       4400                X                    0          0       4400
CENTIGRAM COMMUNICATIONS CORP            152317103     183466      19700                X                    0          0      19700
CENTRAL & SOUTHWEST CORP COM             152357109      74800       3200    X                             2400          0        800
CENTRAL & SOUTHWEST CORP COM             152357109    1386839      59330                X                 4030          0      55300
CENTRAL GARDEN & PET CO COM              153527106     615000      60000                X                    0          0      60000
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              31670180    1764587                                657080        552    1106955
</TABLE>
<PAGE>   106
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   124
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE    SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>              <C>        <C>      <C>
CENTRAL HUDSON GAS & ELEC CORP COM       153609102      24990        595    X                              595          0          0
CENTRAL HUDSON GAS & ELEC CORP COM       153609102     877800      20900                X                    0          0      20900
CENTRAL PKG CORP COM                     154785109    1089150      31800                X                    0          0      31800
CENTRAL SPRINKLER CORP                   155184104     451008      16000                X                    0          0      16000
CENTRAL VT PUB SVC CORP COM              155771108     178101      13900                X                    0          0      13900
CENTRIS GROUP INC                        155904105     304763      30100                X                    0          0      30100
CENTURY ALUM CO                          156431108     319920      51700                X                    0          0      51700
CENTURYTEL INC                           156700106       8944        225    X                              225          0          0
CENTURYTEL INC                           156700106     377625       9500                X                    0          0       9500
CERADYNE INC                             156710105      60688      13300                X                    0          0      13300
CERIDIAN CORP COM                        15677T106    2083533      63740    X                            59970         80       3690
CERIDIAN CORP COM                        15677T106     401245      12275                X                 1550          0      10725
CHAMPION INTL CORP COM                   158525105     335125       7000                X                    0          0       7000
CHART HOUSE                              160902102     238760      32100                X                    0          0      32100
CHARTER ONE FINL INC COM                 160903100      41720       1500    X                             1500          0          0
CHARTER ONE FINL INC COM                 160903100     347663      12500                X                    0          0      12500
CHARMING SHOPPES INC                     161133103    1466216     240600                X                    0          0     240600
CHARTWELL RE CORP                        16139W109     504738      27100                X                    0          0      27100
CHASE INDS INC COM                       161568100     182261      21600                X                    0          0      21600
CHASE MANHATTAN CORP (NEW) COM           16161A108    3002675      34713    X                            32783        160       1770
CHASE MANHATTAN CORP (NEW) COM           16161A108    7071462      81751                X                 9251          0      72500
CHECK TECHNOLOGY CORP                    162780100      30400      12800                X                    0          0      12800
CHECKPOINT SYS INC COM                   162825103     757049      84700                X                    0          0      84700
CHEMED CORP                              163596109     894425      26900                X                    0          0      26900
CHESAPEAKE CORP COM                      165159104     224628       6000                X                    0          0       6000
CHESAPEAKE ENERGY CORP COM               165167107     349622     119000                X                    0          0     119000
CHEVRON CORP COM                         166751107    4610270      48497    X                            45557         50       2890
CHEVRON CORP COM                         166751107    3021292      31782                X                13002       1240      17540
CHIC BY HIS INC                          167113109      67725      25800                X                    0          0      25800
CHILDRENS COMPREHENSIVE SVCS INC COM     16875K202     109620      15800                X                    0          0      15800
CHIQUITA BRANDS INC COM                  170032106     945000     105000                X                    0          0     105000
CHIRON CORP                              170040109     272074      13112                X                  212          0      12900
CHITTENDEN CORP                          170228100     332219      10631                X                    0          0      10631
CHOCK FULL O NUTS CORPORATION            170268106     279738      26800                X                    0          0      26800
CHUBB CORP COM                           171232101     109810       1580    X                             1580          0          0
CHUBB CORP COM                           171232101    1904300      27400                X                 1200          0      26200
CHYRON CORP                              171605207     101280      60000                X                    0          0      60000
CIDCO INC COM                            171768104     191075      25800                X                    0          0      25800
CIFRA S A - UNSPONSORED ADR B            171785207      21323      11164    X                            11164          0          0
CIFRA S A - UNSPONSORED ADR B            171785207      10662       5582                X                 5582          0          0
CINAR CORP CL B                          171905300    2668050     108900                X                    0          0     108900
CINCINNATI FINL CORP COM                 172062101    2300433      61242    X                            60492          0        750
CINCINNATI FINL CORP COM                 172062101    1933293      51468                X                38712          0      12756
CINERGY CORP COM                         172474108     160224       5007    X                             5007          0          0
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              40662899    1607864                                288382       1530    1317952
</TABLE>
<PAGE>   107
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   125
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>           <C>          <C>      <C>
CINERGY CORP COM                         172474108     854720      26710                X                 2153          0      24557
CIPRICO  INC                             172529109     132175      13300                X                    0          0      13300
CIRCLE INTL GROUP INC                    172574105     833438      38100                X                    0          0      38100
CIRCUIT CITY STORES-CIRCUIT CITY         172737108      69750        750    X                              750          0          0
CIRCUIT CITY STORES-CIRCUIT CITY         172737108    1293165      13905                X                    0          0      13905
CIRCUIT CITY STORE INC                   172737306      64500      12000                X                    0          0      12000
CISCO SYS INC COM                        17275R102   28969069     449565    X                           424847        884      23834
CISCO SYS INC COM                        17275R102   17724574     275064                X                70630       2450     201984
CIRRUS LOGIC INC COM                     172755100    1436863     161900                X                    0          0     161900
CITADEL COMMUNICATIONS CORP              172853202     839562      23200                X                    0          0      23200
CITADEL HLDG CORP COM                    172862104      74100      15600                X                    0          0      15600
CITATION CORP ALA COM                    172895104     779056      48500                X                    0          0      48500
CINTAS CORP COM                          172908105    4359829      64890    X                            54465          0      10425
CINTAS CORP COM                          172908105    2926709      43560                X                29020        800      13740
CITIGROUP INC COM                        172967101    2165335      45586    X                            44312        270       1004
CITIGROUP INC COM                        172967101   23059683     485467                X                25942       1050     458475
CITIZENS INC                             174740100     142175      24200                X                    0          0      24200
CLAYTON HOMES INC COM                    184190106     224059      19589    X                            18465          0       1124
CLAYTON HOMES INC COM                    184190106      62532       5467                X                 4530        937          0
CLEAN HARBORS INC                        184496107      45688      25200                X                    0          0      25200
CLEAR CHANNEL COMMUNICATIONS INC COM     184502102     201988       2930                X                    0          0       2930
CLEVELAND CLIFFS INC COM                 185896107     903263      27900                X                    0          0      27900
CLINTRIALS RESEARCH INC                  188767107     230000      46000                X                    0          0      46000
CLOROX CO COM                            189054109     500953       4690    X                             4690          0          0
CLOROX CO COM                            189054109    1089493      10200                X                 2500        100       7600
COAST DENTAL SVCS INC                    19034H102     127514      27200                X                    0          0      27200
COASTAL BANCORP INC                      19041P105     320625      19000                X                    0          0      19000
COASTAL CORP COM                         190441105       8936        222    X                              222          0          0
COASTAL CORP COM                         190441105     627900      15600                X                    0          0      15600
COASTCAST CORP COM                       19057T108     298350      23400                X                    0          0      23400
COBRA ELECTRS CORP                       191042100      58000      14500                X                    0          0      14500
COCA-COLA CO COM                         191216100   31238762     503851    X                           484256         50      19545
COCA-COLA CO COM                         191216100   22198232     358036                X               224057       1000     132979
COEUR D ALENE MINES CORP                 192108108     271488      58700                X                    0          0      58700
COHERENT INC COM                         192479103    1141713      61300                X                    0          0      61300
COHESION TECHNOLOGIES INC                19248N101      64800      10800                X                    0          0      10800
COHO ENERGY INC                          192481109      39260      75500                X                    0          0      75500
COINMACH LAUNDRY CORP                    19259L101     388253      30600                X                    0          0      30600
COLGATE-PALMOLIVE CO COM                 194162103    2044072      20752    X                            20327        120        305
COLGATE-PALMOLIVE CO COM                 194162103    2929784      29744                X                25224       2400       2120
COLLAGEN AESTHETICS INC COM              194194106     301125      21900                X                    0          0      21900
COLONIAL BANCGROUP COM                   195493309    1395194     100100                X                    0          0     100100
COLUMBIA ENERGY GROUP INC COM            197648108     377319       6019                X                  119          0       5900
COLUMBIA/HCA HEALTHCARE CORP COM         197677107    2171798      95200                X                    0          0      95200
                                                   ---------- ----------                            ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             154985804    3356697                               1436509      10061    1910127
</TABLE>
<PAGE>   108
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   126
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE       SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>           <C>            <C>     <C>
COLUMBIA SPORTSWEAR CO                   198516106     233700      15200                X                    0          0      15200
COLUMBIA REALTY CORP                     198990103     810000        460    X                                0          0        460
COLUMBUS MCKINNON CORP N Y               199333105     614400      25600                X                    0          0      25600
COMFORT SYS USA INC                      199908104     691200      38400                X                    0          0      38400
COMCAST CORP CL A SPL                    200300200    7042226     183210    X                           176260        150       6800
COMCAST CORP CL A SPL                    200300200    2533449      65910                X                 4510          0      61400
COMERICA INC COM                         200340107    3252923      54728    X                            53294         30       1404
COMERICA INC COM                         200340107     785770      13220                X                 1620          0      11600
COMMERCIAL BK NY                         201462108     154350      12600                X                    0          0      12600
COMMERICIAL FED CORP COM                 201647104    1300847      56100                X                    0          0      56100
COMMERCIAL METALS CO COM                 201723103    2200200      77200                X                    0          0      77200
COMMONWEALTH BANCORP INC                 20268X102     658325      36700                X                    0          0      36700
COMMONWEALTH INDS INC DEL                203004106     541250      43300                X                    0          0      43300
COMMUNITY FIRST BANCSHARES INC           203902101    1286863      53900                X                    0          0      53900
COMMUNITY TR BANCORP INC                 204149108     316264      13530                X                    0          0      13530
COMPAQ COMPUTER CORP COM                 204493100    5154840     217614    X                           209354         65       8195
COMPAQ COMPUTER CORP COM                 204493100    4027789     170035                X                46905          0     123130
COMPUCOM SYS INC COM                     204780100     493763     119700                X                    0          0     119700
COMPUTER ASSOC INTL INC COM              204912109      30770        562    X                              562          0          0
COMPUTER ASSOC INTL INC COM              204912109    2250225      41100                X                    0          0      41100
COMPUTER SCIENCES CORP COM               205363104      41513        600    X                              600          0          0
COMPUTER SCIENCES CORP COM               205363104     802581      11600                X                    0          0      11600
COMPUWARE CORP COM                       205638109     823957      25900                X                    0          0      25900
COMSTOCK RESOURCES INC NEW               205768203     211701      63900                X                    0          0      63900
CONAGRA INC COM                          205887102    2927392     109949    X                           101799          0       8150
CONAGRA INC COM                          205887102   10681205     401172                X               346966          0      54206
CONCENTRIC NETWORK CORP                  20589R107    1856325      46700                X                    0          0      46700
COMPUTER HORIZONS CORP COM               205908106     487599      35300                X                    0          0      35300
COMSHARE INC COM                         205912108      83007      27100                X                    0          0      27100
CONCORD CAMERA CORP COM                  206156101     134400      25600                X                    0          0      25600
CONCORD COMMUNICATIONS INC               206186108    1813500      40300                X                    0          0      40300
CONCUR TECHNOLOGIES INC                  206708109     480938      17100                X                    0          0      17100
CONE MILLS CORP                          206814105     501000      83500                X                    0          0      83500
CONEXANT SYSTEMS INC                     207142100     283638       4885    X                             4885          0          0
CONEXANT SYSTEMS INC                     207142100     480065       8268                X                 8068          0        200
CONMED CORP                              207410101    1375063      44900                X                    0          0      44900
CONOCO INC COMMN                         208251306     131013       4700    X                             4700          0          0
CONOCO INC COMMN                         208251306     373525      13400                X                 3500          0       9900
CONSECO INC COM                          208464107      66203       2175    X                             2175          0          0
CONSECO INC COM                          208464107    1074370      35297                X                 3785          0      31512
CONSO INTL CORP                          20854R105      74750      13000                X                    0          0      13000
CONSOLIDATED EDISON INC                  209115104    1024958      22651    X                            22651          0          0
CONSOLIDATED EDISON INC                  209115104    1658096      36643                X                18743          0      17900
CONSOLIDATED FREIGHTWAYS COR             209232107     778346      60600                X                    0          0      60600
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              62544299    2374309                               1010377        245    1363687
</TABLE>
<PAGE>   109
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   127
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE       SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                      <C>       <C>           <C>      <C>   <C>    <C>              <C>         <C>     <C>
CONSOLIDATED NAT GAS CO COM              209615103      71381       1175    X                             1175          0          0
CONSOLIDATED NAT GAS CO COM              209615103     501188       8250                X                 1250          0       7000
CONSOLIDATED STORES CORP                 210149100     213300       7900                X                    0          0       7900
CONSTELLATION ENERGY CORP                210371100     166967       5636    X                             5636          0          0
CONSTELLATION ENERGY CORP                210371100     737663      24900                X                 3100          0      21800
CONSUMER PORTFOLIO SVCS INC              210502100      77079      46100                X                    0          0      46100
CONTIFINANCIAL CORP                      21075V107     388367     109000                X                    0          0     109000
ITC DELTACOM INC                         2116886S0     348575      14600                X                    0          0      14600
COOKER RESTAURANT CORP NEW               216284208     137962      24800                X                    0          0      24800
COOPER CAMERON CORP COM                  216640102    2349794      63400                X                    0          0      63400
COOPER INDS INC COM                      216669101     221000       4250    X                             4250          0          0
COOPER INDS INC COM                      216669101    1326000      25500                X                 6800          0      18700
COORS ADOLPH CO COM                      217016104     465300       9400                X                    0          0       9400
COPLEY PHARMACEUTICAL INC COM            21745K101     244975      23900                X                    0          0      23900
COPPER MOUNTAIN NETWORKS INC             217510106     293550       3800                X                    0          0       3800
CORAM HEALTHCARE CORP                    218103109     105000      60000                X                    0          0      60000
CORNELL CORRECTIONS INC                  219141108     378074      23000                X                    0          0      23000
CORNING INC COM                          219350105     127628       1820    X                             1820          0          0
CORNING INC COM                          219350105    1751723      24980                X                 7080          0      17900
CORPORATE EXPRESS INC COM                219888104    1047900     149700                X                    0          0     149700
CORRPRO COS INC COM                      220317101     105225      12200                X                    0          0      12200
CORT BUSINESS SVCS CORP                  220493100     478760      20000                X                    0          0      20000
COSTCO COMPANIES INC                     22160Q102    4860305      60706    X                            58306         65       2335
COSTCO COMPANIES INC                     22160Q102     246594       3080                X                 2280          0        800
COUNTRYWIDE CR INDS INC COM              222372104      64125       1500    X                             1500          0          0
COUNTRYWIDE CR INDS INC COM              222372104     346275       8100                X                    0          0       8100
COUSINS PPTYS INC COM                    222795106    1122592      33200                X                    0          0      33200
COVAD COMMUNICATIONS GROUP INC           222814204     605103      11350                X                    0          0      11350
COVENANT TRANS INC                       22284P105     417375      26500                X                    0          0      26500
COVENTRY HEALTH CARE INC                 222862104     474709      43400                X                    0          0      43400
CRAIG CORP                               224174102      95351      13500                X                    0          0      13500
CRANE CO COM                             224399105     165521       5265    X                             5265          0          0
CRANE CO COM                             224399105     320636      10199                X                 5199          0       5000
CREDIT ACCEPTANCE CORP COM               225310101     753600     125600                X                    0          0     125600
CREDITRUST CORP                          225429109     341325      12300                X                    0          0      12300
CRITICARE SYS INC                        226901106      31151      15100                X                    0          0      15100
CROSS AT CO                              227478104     199712      35900                X                    0          0      35900
CROSS TIMBERS OIL CO COM                 227573102     342125      23000                X                    0          0      23000
CROWN CENT PETE CORP                     228219101     146063      12300                X                    0          0      12300
CROWN CENT PETE CORP                     228219309     148500      13500                X                    0          0      13500
CROWN CORK & SEAL INC COM                228255105       6213        218    X                              218          0          0
CROWN CORK & SEAL INC COM                228255105     262200       9200                X                    0          0       9200
CROWN CRAFTS INC                         228309100      92750      21200                X                    0          0      21200
CROWN VANTAGE INC COM                    228622106      50980      23300                X                    0          0      23300
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              22630616    1172729                                103879         65    1068785
</TABLE>
<PAGE>   110
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   128
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                   <C>          <C>        <C>         <C>        <C>             <C>        <C>        <C>
CUBIC CORP                               229669106     522050      21200                X                    0          0      21200
CULP INC                                 230215105     367500      35000                X                    0          0      35000
CYBEROPTICS CORP                         232517102     201563      12500                X                    0          0      12500
CYBEX INTERNATIONAL INC COM (NEW)        23252E106     112412      24300                X                    0          0      24300
CYLINK CORP                              232565101      69000      18400                X                    0          0      18400
CYRK INC                                 232817106     249189      41100                X                    0          0      41100
DPL INC COM                              233293109     553132      29899    X                            29899          0          0
DPL INC COM                              233293109    1034613      55925                X                52945          0       2980
DRS TECHNOLOGIES INC                     23330X100     135450      12900                X                    0          0      12900
DT INDS INC COM                          23333J108     261858      28500                X                    0          0      28500
DTE ENERGY INC COM                       233331107      15159        372    X                              372          0          0
DTE ENERGY INC COM                       233331107     378975       9300                X                    0          0       9300
DVI INC                                  233343102     592525      34600                X                    0          0      34600
DAILEY PETE SVCS CORP COM                23380G106      17628      22600                X                 7000          0      15600
DAIN RAUSCHER CORP                       233856103    1894375      35000                X                    0          0      35000
DAMARK INTL INC                          235691102     168338      20100                X                    0          0      20100
DAN RIV INC GA                           235774106     339250      46000                X                    0          0      46000
DANA CORP COM                            235811106     331746       7202    X                             5942          0       1260
DANA CORP COM                            235811106    1992685      43260                X                 9260          0      34000
DARDEN RESTAURANTS INC COM               237194105      13088        600    X                              600          0          0
DARDEN RESTAURANTS INC COM               237194105     222493      10200                X                    0          0      10200
DATA I O CORP                            237690102      17550      13700                X                    0          0      13700
DATA SYS & SOFTWARE INC                  237887104      75179      21100                X                    0          0      21100
DATAWARE TECHNOLOGIES INC                237920103      43700      18400                X                    0          0      18400
DATASCOPE CORP COM                       238113104     504363      15700                X                    0          0      15700
DATUM INC                                238208102     154882      14000                X                    0          0      14000
DAWSON GEOPHYSICAL CO                    239359102     140882      14000                X                    0          0      14000
DAYTON HUDSON CORP COM                   239753106    9452690     145426    X                           144626          0        800
DAYTON HUDSON CORP COM                   239753106    5564650      85610                X                40510          0      45100
DAYTON SUPERIOR CORP                     240028100     347128      18700                X                    0          0      18700
DEB SHOPS INC                            242728103     548550      27600                X                    0          0      27600
DECKERS OUTDOOR CORP                     243537107      76193      21200                X                    0          0      21200
DEEP VEIN COAL CO INC COM                2437899A4   37965000      63275                X                39600      23675          0
DEERE & CO COM                           244199105     109139       2785    X                             2785          0          0
DEERE & CO COM                           244199105    1674190      42722                X                 3522          0      39200
DEL GLOBAL TECHNOLOGIES CORP             245073101     213525      21900                X                    0          0      21900
DELL COMPUTER CORP COM                   247025109    3298439      89147    X                            87547        520       1080
DELL COMPUTER CORP COM                   247025109    4378580     118340                X                24594          0      93746
DELPHI AUTOMOTIVE SYS CORP               247126105     382173      20658    X                            20426          0        232
DELPHI AUTOMOTIVE SYS CORP               247126105    2179467     117809                X                30238          0      87571
DELTA AIR LINES INC DEL COM              247361108     426425       7400    X                             6400          0       1000
DELTA AIR LINES INC DEL COM              247361108     558963       9700                X                    0          0       9700
DELTIC TIMBER CORP                       247850100     444477      16500                X                    0          0      16500
DELTA WOODSIDE INDS INC NEW              247909104     381288      64900                X                    0          0      64900
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              78410462    1479530                                506266      24195     949069
</TABLE>
<PAGE>   111
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   129
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED    NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C>      <C>               <C>        <C>        <C>
DELTA FINANCIAL CORP                     247918105     251813      39500                X                    0          0      39500
DELUXE CORP COM                          248019101      27169        700    X                              700          0          0
DELUXE CORP COM                          248019101     232878       6000                X                    0          0       6000
DENAMERICA CORP                          248225104      14263      16300                X                    0          0      16300
DETECTION SYSTEMS INC                    250644101     120600      14400                X                    0          0      14400
DETROIT DIESEL CORP                      250837101    1541525      62600                X                    0          0      62600
DEVON ENERGY CORP COM                    251799102    1428939      39900                X                    0          0      39900
DEXTER CORP COM                          252165105     489756      12000                X                    0          0      12000
DIAGNOSTIC HEALTH SVCS INC               252446406       6822      10400                X                    0          0      10400
DIAMOND HOME SVCS INC                    252648100      87550      20600                X                    0          0      20600
DIAMOND MULTIMEDIA SYS COM               252714100     375375      91000                X                    0          0      91000
DIEBOLD INC COM                          253651103     199611       6943    X                             1850          0       5093
DIEBOLD INC COM                          253651103      36944       1285                X                  150          0       1135
DIGI INTERNATIONAL INCORPORATED          253798102     159701      15300                X                    0          0      15300
DIGITAL LINK CORP                        253856108     167250      22300                X                    0          0      22300
DIME CMNTY BANCORP INC                   253922108     627750      27000                X                    0          0      27000
DILGARD FROZEN FOODS INC                 253990105     507100        200                X                  200          0          0
DILLARD'S INC                            254067101     612931      17450                X                  550          0      16900
DIME BANCORP INC NEW COM                 25429Q102      30188       1500    X                             1500          0          0
DIME BANCORP INC NEW COM                 25429Q102     299863      14900                X                    0          0      14900
DIMON INC COM                            254394109     633455     122100                X                    0          0     122100
DIODES INC                               254543101     103850      12400                X                    0          0      12400
DISCOUNT AUTO PARTS COM                  254642101     566938      23500                X                    0          0      23500
DISNEY WALT CO COM                       254687106   20398299     662003    X                           639423        500      22080
DISNEY WALT CO COM                       254687106   12048222     391011                X               182047       3800     205164
DIXIE GROUP INC                          255519100     216342      25500                X                    0          0      25500
DODGE & COX STOCK FD COM                 256219106    1773277      16368    X                            15620          0        747
DODGE & COX STOCK FD COM                 256219106      72606        670                X                  518          0        152
DOLLAR GEN CORP COM                      256669102     489375      16875                X                    0          0      16875
DOMINION RES INC VA                      257470104     254680       5880    X                             5880          0          0
DOMINION RES INC VA                      257470104    1225758      28300                X                  100          0      28200
DONNA KARAN INTL INC COM                 257826107     114287      11500                X                    0          0      11500
DONNELLEY R R & SONS CO COM              257867101      51888       1400    X                             1400          0          0
DONNELLEY R R & SONS CO COM              257867101    1167818      31509                X                 4709          0      26800
DONNKENNY INC DEL COM                    258006105      19525      14200                X                    0          0      14200
DOVER CORP COM                           260003108    1088500      31100                X                 7200          0      23900
DOW CHEM CO COM                          260543103    2286161      18019    X                            16519          0       1500
DOW CHEM CO COM                          260543103    7238346      57051                X                 8982          0      48069
DOW JONES & CO INC COM                   260561105     636756      12000                X                 4900          0       7100
DOWNEY FINL CORP                         261018105     204023       9300                X                    0          0       9300
DRESS BARN INC COM                       261570105     702400      43900                X                    0          0      43900
DREYFUS INTER MUNI BD FD INC             262010101     181208      13344    X                            13344          0          0
DREYFUS INTER MUNI BD FD INC             262010101      85874       6324                X                 6324          0          0
DRKOOP.COM                               262098106     159380      10000                X                    0          0      10000
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              58936996    1984532                                911916       4300    1068315
</TABLE>
<PAGE>   112
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   130
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED    NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                   <C>          <C>        <C>         <C>      <C>            <C>           <C>        <C>
DRUG EMPORIUM INC COM                    262175102     250125      34500                X                    0          0      34500
DU PONT E I DE NEMOURS & CO COM          263534109    3991939      58436    X                            54596         35       3805
DU PONT E I DE NEMOURS & CO COM          263534109    9020595     132048                X                34248          0      97800
DUCKWALL-ALTO STORES INC NEW             264142100     135450      12900                X                    0          0      12900
DUFF & PHELPS UTILS INCOME INC COM       264324104      76606       7210    X                             7210          0          0
DUFF & PHELPS UTILS INCOME INC COM       264324104      31875       3000                X                 3000          0          0
DUKE ENERGY CORP COM                     264399106    1764826      32419    X                            32419          0          0
DUKE ENERGY CORP COM                     264399106    2246928      41275                X                 2055          0      39220
DUKE REALTY INVST CO NEW                 264411505     120712       5350    X                             5350          0          0
DUKE REALTY INVST CO NEW                 264411505      89801       3980                X                 1600          0       2380
DUN & BRADSTREET CORP DEL                26483B106      27464        775    X                              775          0          0
DUN & BRADSTREET CORP DEL                26483B106     558042      15747                X                 3247          0      12500
DURA AUTOMOTIVE SYSTEMS CORP             265903104    1025663      30847                X                    0          0      30847
DURAKON INDS INC                         266334101     170999      10900                X                    0          0      10900
DYERSBURG CORP COM                       267575108      40000      32000                X                    0          0      32000
DYNAMICS RESH CORP                       268057106     123050      21400                X                    0          0      21400
ECC INTL CORP COM                        268255106     100419      25500                X                    0          0      25500
EEX CORP                                 26842V207     195117      28123                X                  123          0      28000
EFTC CORP                                268443108     202313      41500                X                    0          0      41500
EIS INTL INC                             268539103      67563      23500                X                    0          0      23500
E M C CORP MASS COM                      268648102    3727570      67774    X                            63444       1120       3210
E M C CORP MASS COM                      268648102    7762700     141140                X                 6140          0     135000
EMC INS GROUP INC COM                    268664109     363075      30900                X                    0          0      30900
EMS TECHNOLOGIES INC                     26873N108     272600      18800                X                    0          0      18800
ENSCO INTL INC COM                       26874Q100      19140        960    X                              860          0        100
ENSCO INTL INC COM                       26874Q100    1082434      54290                X                 1400          0      52890
ESCO ELECTRONICS CORP COM                269030201     430517      33600                X                    0          0      33600
E TOWN CORP COM                          269242103    1381650      30200                X                    0          0      30200
EAGLE BANCSHARES INC COM                 26942C109     205425       9900                X                    0          0       9900
EAGLE FOOD CENTERS                       269514105      83847      27100                X                    0          0      27100
EAGLE GEOPHYSICAL INC                    269524104      22460      29947                X                    0          0      29947
EAGLE POINT SOFTWARE                     269824108      81000      12000                X                    0          0      12000
EASCO INC COM                            27033E103     302102      28600                X                    0          0      28600
EASTERN UTILS ASSOC COM                  277173100     882488      30300                X                 3300          0      27000
EASTMAN CHEMICAL CO COM                  277432100      46886        906    X                              506          0        400
EASTMAN CHEMICAL CO COM                  277432100     407273       7870                X                 2070          0       5800
EASTMAN KODAK CO COM                     277461109     855615      12629    X                            12379        150        100
EASTMAN KODAK CO COM                     277461109    4355580      64289                X                 8064        925      55300
EATON CORP COM                           278058102       9200        100    X                              100          0          0
EATON CORP COM                           278058102    1067200      11600                X                    0          0      11600
ECHELON INTL CORP                        278747100     232700      10400                X                    0          0      10400
ECHOSTAR COMMUNICATIONS CORP CL A        278762109     293067       1910                X                    0          0       1910
ECOLAB INC COM                           278865100     175896       4032    X                             4032          0          0
ECOLAB INC COM                           278865100     414438       9500                X                    0          0       9500
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              44714350    1200157                                246918       2230     951009
</TABLE>
<PAGE>   113
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   131
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE      SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C>       <C>              <C>        <C>        <C>
EDISON INTL COM                          281020107     167134       6248    X                             6248          0          0
EDISON INTL COM                          281020107    1536707      57447                X                 3747          0      53700
EDUCATION MGMT CORP                      28139T101    1622650      78200                X                    0          0      78200
EINSTEIN/NOAH BAGEL CORP COM             282577105      34884      36000                X                    0          0      36000
EKCO GROUP INC                           282636109     184125      49100                X                    0          0      49100
EL PASO ELEC CO COM NEW                  283677854     346794      38800                X                    0          0      38800
EL PASO ENERGY CORP COM                  283905107      44267       1258    X                             1258          0          0
EL PASO ENERGY CORP COM                  283905107     354202      10066                X                    0         28      10038
ELAN PLC ADR                             284131208     540015      19460    X                            18060          0       1400
ELAN PLC ADR                             284131208      63825       2300                X                 2300          0          0
ELANTEC SEMICONDUCTOR INC                284155108     305100      22600                X                    0          0      22600
ELCOM INTL INC NEW COM                   284434107     171772      36400                X                    0          0      36400
ELCOR CORP COM                           284443108     637845      14600                X                    0          0      14600
ELECTRIC LIGHTWAVE INC                   284895109     260000      20000                X                    0          0      20000
ELECTRO SCIENTIFIC INDS INC COM          285229100    1031991      24700                X                    0          0      24700
ELECTROGLAS INC COM                      285324109     928000      46400                X                    0          0      46400
ELECTRONIC ARTS INC COM                  285512109     417183       7690                X                    0          0       7690
ELECTRONIC DATA SYS CORP NEW COM         285661104    2006903      35442    X                            34522          0        920
ELECTRONIC DATA SYS CORP NEW COM         285661104    4015505      70914                X                21714        600      48600
ELFUN TAX EXEMPT INCOME FD               286279104     147101      12758    X                            12758          0          0
ELFUN TRS UNIT CTF                       286281100    1097900      15370    X                            15370          0          0
ELITE INFORMATION GROUP INC              28659M106     161250      30000                X                    0          0      30000
ELLETT BROS INC                          288398100      86250      11500                X                    0          0      11500
EMERSON ELEC CO COM                      291011104   14621630     232318    X                           218690         60      13568
EMERSON ELEC CO COM                      291011104    8269613     131393                X                54559        700      76134
ENCAD INC                                292503109      68900      10600                X                    0          0      10600
ENERGEN CORP                             29265N108     504738      27100                X                    0          0      27100
ENGELHARD CORP COM                       292845104       4570        202    X                              202          0          0
ENGELHARD CORP COM                       292845104     239825      10600                X                    0          0      10600
ENGLE HOMES INC                          292896107     383625      27900                X                    0          0      27900
ENRON CORP COM                           293561106     572087       6998    X                             6334          0        664
ENRON CORP COM                           293561106    2356853      28830                X                 4070          0      24760
ENTERCOM COMMUNICATIONS CORP             293639100    1406475      32900                X                    0          0      32900
ENTERGY CORP NEW COM                     29364G103      64969       2079    X                             2079          0          0
ENTERGY CORP NEW COM                     29364G103    1128125      36100                X                    0          0      36100
EQUANT NV-NY REGISTERED SHR              294409107    1890000      20000                X                    0          0      20000
EQUIFAX INC COM                          294429105       7138        200    X                              200          0          0
EQUIFAX INC COM                          294429105    1070640      30000                X                 1200          0      28800
EQUINOX SYS INC                          294436100     125431      11600                X                    0          0      11600
EQUITABLE COS INC COM                    29444G107       3216         48    X                               48          0          0
EQUITABLE COS INC COM                    29444G107     408700       6100                X                    0          0       6100
EQUITY INCOME FD UNIT                    294700703     310688       1500    X                             1500          0          0
EQUITY INCOME FD UNIT                    294700703     372825       1800                X                 1800          0          0
EQUITY INVT FD                           294710660      40904      39331    X                            39331          0          0
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              50012355    1304852                                445990       1388     857474
</TABLE>
<PAGE>   114
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   132
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C>  <C>   <C>             <C>         <C>        <C>
ERICSSON L M TEL CO                      294821400    1591696      48324    X                            45124          0       3200
ERICSSON L M TEL CO                      294821400     364953      11080                X                 6200       1400       3480
ESKIMO PIE CORP COM                      296443104      99188      11500                X                    0          0      11500
ESTERLINE TECHNOLOGIES CORP              297425100     488750      34000                X                    0          0      34000
ETHYL CORP COM                           297659104     210600      35100                X                 1800          0      33300
ETOYS INC                                297862104     354525       8700                X                    0          0       8700
AMERICAN FUNDS                           298706102     187405       5786    X                             5786          0          0
AMERICAN FUNDS                           298706102      58449       1805                X                 1805          0          0
EVANS & SUTHERLAND COMPUTER CORP COM     299096107     320044      24500                X                    0          0      24500
EXABYTE CORP COM                         300615101     229400      59200                X                    0          0      59200
EXAR CORP                                300645108    1415700      57200                X                    0          0      57200
EXCALIBUR TECHNOLOGIES CORP COM NEW      300651205     324900      22800                X                    0          0      22800
EXECUTONE INFORMATION SYS INC            301607107      51372      12000                X                    0          0      12000
EXTENDED SYSTEMS INC                     301973103      46250      10000                X                    0          0      10000
EXIDE CORP COM                           302051107     990905      67180                X                    0          0      67180
EXODUS COMMUNICATIONS INC                302088109      77960        650    X                              250          0        400
EXODUS COMMUNICATIONS INC                302088109     327431       2730                X                    0          0       2730
EXTENDED STAY AMER INC COM               30224P101     787200      65600                X                    0          0      65600
EXXON CORP COM                           302290101   41794655     541908    X                           450948         65      90895
EXXON CORP COM                           302290101   26313970     341186                X               218376       4144     118666
EZCORP INC CL A                          302301106     185625      27000                X                    0          0      27000
FEI CO COM                               30241L109     374550      45400                X                    0          0      45400
FFY FINANCIAL CORP COM                   30242U108     465000      24800                X                    0          0      24800
FPL GROUP INC COM                        302571104     336927       6168    X                             6168          0          0
FPL GROUP INC COM                        302571104    1469413      26900                X                 2100          0      24800
F S BANCORP                              30262T106      80512       1184    X                             1184          0          0
F S BANCORP                              30262T106     376448       5536                X                 5536          0          0
FSI INTL INC                             302633102     446408      53700                X                    0          0      53700
FACTORY CARD OUTLET CORP                 303053102      22820      20000                X                    0          0      20000
FAIRCHILD CORP CL A                      303698104    1150904      90267                X                    0          0      90267
FARREL CORP NEW                          311667109      20836      10100                X                    0          0      10100
FASTENAL CO COM                          311900104     576818      11000    X                            11000          0          0
FASTENAL CO COM                          311900104      36707        700                X                  700          0          0
FDX CORP                                 31304N107      40959        755    X                              755          0          0
FDX CORP                                 31304N107    1239396      22846                X                 1186          0      21660
FREDDIE MAC COM                          313400301    7865206     135607    X                           131932         90       3585
FREDDIE MAC COM                          313400301    1859190      32055                X                 9255          0      22800
FANNIE MAE COM                           313586109   17784653     260581    X                           252116        240       8225
FANNIE MAE COM                           313586109    6704880      98240                X                38541        700      58999
FEDERATED                                313900102    1923524      46106    X                            46106          0          0
FEDERATED                                313900102     229441       5500                X                 5500          0          0
FEDERATED SHORT TERM MUNI                313907107     110787      10861    X                            10861          0          0
FEDERATED GOVT INCOME SECS INC CL F      313912107     121305      14221    X                            14221          0          0
FEDERATED DEPT STORES INC DEL NEW        31410H101    1826361      34500                X                    0          0      34500
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             121284023    2345276                               1267450       6639    1071187
</TABLE>
<PAGE>   115
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   133
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE       SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C> <C>   <C>             <C>         <C>        <C>
FEDERATED FD U S GOVT SECS INC CL A      314182106     135800      17822    X                            17822          0          0
FEDERATED                                314184102    1595157     145146    X                           145146          0          0
FEDERATED                                314184102      79405       7225                X                 4228          0       2997
FEDERATED INCOME TRUST                   314199100     151220      15017    X                            15017          0          0
FEDERATED INCOME TRUST                   314199100       9902        983                X                    0          0        983
FEDERATED INDEX TR                       31420E403    1067139      37815    X                            37815          0          0
FEDERATED U S GOVT SECURITIES FUND       31428P103     337008      31944    X                            31944          0          0
FERROFLUIDICS CORP                       315414201      58950      13100                X                    0          0      13100
FIBERMARK INC                            315646109     291455      22100                X                    0          0      22100
FIDELITY FEDERAL BANCORP COM             315921106      84546      28182    X                            28182          0          0
FIDELITY FEDERAL BANCORP COM             315921106      19800       6600                X                    0          0       6600
FIDELITY SPARTAN MUNICIPAL INCOME        316089507     150139      12147    X                            12147          0          0
FIDELITY SPARTAN MUNICIPAL INCOME        316089507     133228      10779                X                10779          0          0
FIDELITY EXCHANGE FUND                   316141100    9654539      36000                X                36000          0          0
FIDELITY FINL TR                         316145101     198538       6204    X                             6204          0          0
FIDELITY FINL TR                         316145101      21256        664                X                  664          0          0
FIDELITY FUND                            316153105     495783      12275                X                12275          0          0
FIDELITY HEREFORD STR TR                 31617H201     131342     131342                X               131342          0          0
FIDELITY MAGELLAN FUND INC               316184100     565312       4356    X                             4233          0        123
FIDELITY MAGELLAN FUND INC               316184100      56279        434                X                  434          0          0
FIDELITY                                 316389204     798932      16392    X                            16392          0          0
FIDELITY SECS FD                         316389303     374826       6860    X                             6860          0          0
FIDELITY SECS FD                         316389303      50837        930                X                  930          0          0
FIFTH THIRD BANCORP                      316773100    4740683      71221    X                            71021          0        200
FIFTH THIRD BANCORP                      316773100     986064      14814                X                11681          0       3133
FILENES BASEMENT CORP COM                316866102      83548      58100                X                    0          0      58100
FINISHMASTER INC                         31787P108      90945      15000                X                    0          0      15000
FINISH LINE INC CL A                     317923100    1273500     113200                X                 1000          0     112200
FINOVA GROUP INC COM                     317928109      31575        600    X                              600          0          0
FINOVA GROUP INC COM                     317928109     221025       4200                X                 1000          0       3200
FIRST AMERN CORP TENN COM                318900107     552788      13300                X                 1000          0      12300
FIRST BELL BANCORP INC                   319301107     314175      17700                X                    0          0      17700
FIRST DATA CORP COM                      319963104     754624      15420    X                            11770          0       3650
FIRST DATA CORP COM                      319963104    3567580      72900                X                 3350          0      69550
FIRST DEFIANCE FINL CORP COM             32006W106     236250      21000                X                    0          0      21000
FIRST ESSEX BANCORP INC                  320103104     263250      16200                X                    0          0      16200
FIRST FED BANCSHARES ARK INC             32020F105     214600      11600                X                    0          0      11600
FIRST FINL CORP IND COM                  320218100   24360609     644239                X                20655     623584          0
FIRST INVS FINL SVCS GROUP I             32058A101      89400      14900                X                    0          0      14900
FIRST MERCHANTS CORP COM                 320817109     208264       8769    X                             8769          0          0
FIRST NORTHN CAP CORP COM                335832101     264793      22900                X                    0          0      22900
FIRST REP BK SAN FRANCISCO               336158100     292274      10100                X                    0          0      10100
FIRST TRUST GOVERNMENT NATIONAL          337335210       1350      15000    X                            15000          0          0
FIRST TRUST GOVERNMENT NATIONAL          337335210       1800      20000                X                20000          0          0
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              55010490    1745480                                684260     623584     437636
</TABLE>
<PAGE>   116
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   134
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED    NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C> <C>   <C>             <C>         <C>       <C>
FIRST TR GNMA FD                         337335442       2168      19706                X                19706          0          0
FIRST UNION CORP COM                     337358105    2254413      47839    X                            46244          0       1595
FIRST UNION CORP COM                     337358105    7442216     157925                X                17840          0     140085
FIRST WASH BANCORP INC WASH              33748T104     457838      22820                X                    0          0      22820
FIRSTAR CORP NEW WIS                     33763V109     228760       8170    X                             6670          0       1500
FIRSTAR CORP NEW WIS                     33763V109     471576      16842                X                16692          0        150
FISCHER IMAGING CORP COM                 337719108      25375      14500                X                    0          0      14500
FIRSTFED FINL CORP                       337907109    1374450      71400                X                    0          0      71400
FISHER SCIENTIFIC INTL INC               338032204     444029      19900                X                    0          0      19900
FLAGSHIP TAX EXEMPT FDS TR               338418775     626647      58293                X                58293          0          0
FLANDERS CORP                            338494107     132650      37900                X                    0          0      37900
FLEET FINL GROUP INC NEW COM             338915101     250896       5654    X                             4714          0        940
FLEET FINL GROUP INC NEW COM             338915101    2076750      46800                X                  500          0      46300
FLEMING COS INC COM                      339130106    1213650     104400                X                    0          0     104400
FLEXSTEEL INDS INC                       339382103     210345      15800                X                    0          0      15800
FLORIDA PANTHERS HLDGS INC               341064103    1482426     138700                X                    0          0     138700
FLORIDA PROGRESS CORP COM                341109106     114107       2762    X                             2762          0          0
FLORIDA PROGRESS CORP COM                341109106     111545       2700                X                 2700          0          0
FLORIDA ROCK INDS INC                    341140101     687050      15100                X                    0          0      15100
FLORSHEIM GROUP INC COM                  343302105     128813      22900                X                    0          0      22900
FLUOR CORP COM                           343861100      52650       1300    X                             1300          0          0
FLUOR CORP COM                           343861100     253125       6250                X                  550          0       5700
FLUSHING FINL CORP                       343873105     446644      29050                X                    0          0      29050
FORCENERGY INC COM                       345206106      58813      62700                X                    0          0      62700
FORD MOTOR CO DEL COM                    345370100    1069331      18947    X                            18947          0          0
FORD MOTOR CO DEL COM                    345370100    6935948     122895                X                 2195          0     120700
FOREST LABS INC CL A COM                 345838106     272875       5900                X                    0          0       5900
FOREST OIL CORP COM NEW                  346091606     561566      44700                X                    0          0      44700
FORT JAMES CORP                          347471104      71660       1892    X                             1892          0          0
FORT JAMES CORP                          347471104    1368234      36125                X                 3825          0      32300
FORT WAYNE METALS RESEARCH PRODUCTS      348992108    3400000       3400    X                             3400          0          0
FORTUNE BRANDS INC                       349631101     290287       7016    X                             7016          0          0
FORTUNE BRANDS INC                       349631101     865689      20923                X                 8323          0      12600
FORWARD AIR CORP                         349853101     450000      16000                X                    0          0      16000
FOSTER L B CO CL A                       350060109     168613      28700                X                    0          0      28700
FOSTER WHEELER CORP COM                  350244109    1229106      87400                X                    0          0      87400
FOUR MEDIA CO                            350872107     170300      26200                X                    0          0      26200
FRANCHISE FIN CORP AMER COM              351807102     467250      21000                X                  600          0      20400
FRANKLIN COVEY CO                        353469109     453563      61500                X                    0          0      61500
FRANKLIN CUSTODIAN FDS INC               353496409     107728      10500    X                            10500          0          0
FRANKLIN CUSTODIAN FDS INC               353496607     318598      47766    X                            47766          0          0
FRANKLIN CUSTODIAN FDS INC               353496607     139477      20911                X                20911          0          0
FRANKLIN ELEC INC                        353514102     924950      14230    X                            14230          0          0
FRANKLIN ELEC INC                        353514102     314340       4836                X                 3686          0       1150
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              40126451    1530252                                321262          0    1208990
</TABLE>
<PAGE>   117
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   135
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C> <C>   <C>             <C>         <C>        <C>
FRANKLIN ELECTR PUBLISHERS INC COM       353515109      69334      18800                X                    0          0      18800
FRANKLIN FED TAX FREE INCOME FD          353519101     741721      61862    X                            61070          0        792
FRANKLIN FED TAX FREE INCOME FD          353519101     568616      47424                X                47424          0          0
FRANKLIN RES INC COM                     354613101    6595753     162357    X                           130257          0      32100
FRANKLIN RES INC COM                     354613101    1888331      46482                X                14232        950      31300
FRANKLIN TAX FREE TR                     354723108     373836      31494    X                            31494          0          0
FRANKLIN TAX FREE TR                     354723108      10350        872                X                  872          0          0
FRED'S INC COM                           356108100     495313      31700                X                    0          0      31700
FREEPORT-MCMORAN COPPER & GOLD           35671D857       6888        384    X                              384          0          0
FREEPORT-MCMORAN COPPER & GOLD           35671D857     817973      45600                X                    0          0      45600
FREMONT GEN CORP COM                     357288109     913550      48400                X                    0          0      48400
FREQUENCY ELECTRS INC                    358010106     183413      21900                X                    0          0      21900
FRIEDMAN BILLINGS RAMSEY GRO             358433100     390688      32900                X                    0          0      32900
FRIEDMAN INDS INC                        358435105      47492      11340                X                    0          0      11340
FRIEDMAN'S INC CL A  COM                 358438109     299736      34500                X                    0          0      34500
FRISCHS RESTAURANTS INC COM              358748101        353         34    X                               34          0          0
FRISCHS RESTAURANTS INC COM              358748101     156663      15100                X                    0          0      15100
FRITZ COS INC COM                        358846103     997600      92800                X                    0          0      92800
FRONTIER CORP COM                        35906P105     908688      15500                X                    0          0      15500
FRONTIER INS GROUP INC COM               359081106    1406813      91500                X                    0          0      91500
FROZEN FOOD EXPRESS INDUSTRIES INC       359360104     347700      45600                X                    0          0      45600
FURNITURE BRANDS INTL INC COM            360921100    1195838      42900                X                    0          0      42900
GA FINL INC                              361437106     250088      17100                X                    0          0      17100
GBC BANCORP CALIF                        361475106     913275      45100                X                    0          0      45100
GC COMPANIES INC                         36155Q109     486200      13600                X                    0          0      13600
GEIGER & PETERS INC COMMON               3615909A2     220085        275                X                  275          0          0
GP STRATEGIES CORP                       36225V104     269500      30800                X                    0          0      30800
GTE CORP COM                             362320103   12475922     165244    X                           162269         55       2920
GTE CORP COM                             362320103   12902422     170893                X                25231        462     145200
G-III APPAREL GROUP LTD                  36237H101      30638      12900                X                    0          0      12900
GABELLI GLOBAL SER FDS INC               36239X401     721983      30697                X                30697          0          0
GABELLI ASSET MGMT INC                   36239Y102     545549      34500                X                    0          0      34500
GABELLI                                  362395105     367428       8879    X                             8879          0          0
GABELLI                                  362398109     209586       5065    X                             5065          0          0
GADZOOKS INC                             362553109     385600      24100                X                    0          0      24100
GAINSCO INC COM                          363127101     252038      42900                X                    0          0      42900
GALEY & LORD INC                         36352K103     133000      30400                X                    0          0      30400
GALILEO ELECTRO OPTICS CORP COM          363544107     149504      20100                X                    0          0      20100
GALLAHER GROUP PLC                       363595109      83089       3400    X                             3400          0          0
GALLAHER GROUP PLC                       363595109     127640       5223                X                 5223          0          0
GANNETT CO INC COM                       364730101    2132685      29880    X                            29280          0        600
GANNETT CO INC COM                       364730101    4897753      68620                X                11820       1600      55200
GAP INC COM                              364760108   11067690     219706    X                           212309        673       6724
GAP INC COM                              364760108    5457325     108334                X                11080          0      97254
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              72495649    1987165                                791295       3740    1192130
</TABLE>
<PAGE>   118
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   136
                                                                            SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5       ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>          <C> <C>  <C>            <C>         <C>          <C>
GARAN INC COM                            364802108     485088      15100                X                    0          0      15100
GARDEN FRESH RESTAURANT CORP             365235100     258750      13800                X                    0          0      13800
GARDEN RIDGE CORP                        36541P104      61750      13000                X                    0          0      13000
GASONICS INTL CORP                       367278108     478800      34200                X                    0          0      34200
GATEWAY INC                              367626108      11813        200    X                              200          0          0
GATEWAY INC                              367626108    1204885      20400                X                  400          0      20000
GAYLORD CONTAINER CORP CL A              368145108     515176      64900                X                    0          0      64900
GEHL CO                                  368483103     362475      17900                X                    0          0      17900
GENERAL CIGAR HLDGS INC                  36933P100     250797      32100                X                    0          0      32100
GENERAL CHEM GROUP INC                   369332101     232188      74300                X                    0          0      74300
GENERAL COMMUNICATION INC                369385109     794569     116900                X                    0          0     116900
GENERAL DATACOMM INDS INC                369487103     104363      36300                X                    0          0      36300
GENERAL ELEC CO COM                      369604103   99227334     878118    X                           834673         55      43390
GENERAL ELEC CO COM                      369604103   59778808     529016                X               348803      39420     140793
GENERAL INSTR CORP DEL                   370120107     664275      15630                X                    0          0      15630
GENERAL MILLS INC COM                    370334104     951640      11840    X                            11440          0        400
GENERAL MILLS INC COM                    370334104    1563615      19454                X                 5254          0      14200
GENERAL MTRS CORP COM                    370442105    1515492      22962    X                            22629          0        333
GENERAL MTRS CORP COM                    370442105    6177006      93591                X                17481          0      76110
GENERAL MTRS CORP                        370442832     163758       2908    X                             2908          0          0
GENERAL MTRS CORP                        370442832     286295       5084                X                 1499          0       3585
GENERAL NUTRITION COS INC COM            37047F103     843931      36200                X                    0          0      36200
GENERAL SURGICAL INNOVATIONS             371013103     124214      28800                X                    0          0      28800
GENESIS HEALTH VENTURES INC              371912106     290100      96700                X                    0          0      96700
GENEVA STL CO                            372252106       4375      17500                X                    0          0      17500
GENICOM CORP                             372282103      44215      26700                X                    0          0      26700
GENSYM CORP                              37245R107      70125      18700                X                    0          0      18700
GENTEK INC                               37245X104    1089188      78500                X                    0          0      78500
GEON CO COM                              37246W105    2486475      77100                X                    0          0      77100
GENUINE PARTS CO COM                     372460105    1674645      47847    X                            47247          0        600
GENUINE PARTS CO COM                     372460105    1435875      41025                X                 5050          0      35975
GENZYME CORP COM-GEN DIV                 372917104      97000       2000    X                             2000          0          0
GENZYME CORP COM-GEN DIV                 372917104     276450       5700                X                    0          0       5700
GEORGIA GULF CORP COM PAR $.001          373200203    1626750      96400                X                    0          0      96400
GEORGIA PACIFIC CORP COM                 373298108      52113       1100    X                             1100          0          0
GEORGIA PACIFIC CORP COM                 373298108    1113976      23514                X                 1414          0      22100
GETTY PETE MARKETING INC                 374292100     105000      35000                X                    0          0      35000
GIANT INDS INC                           374508109     261369      26300                X                    0          0      26300
GIBRALTAR STL CORP                       37476F103     594000      24000                X                    0          0      24000
GIBSON GREETINGS INC COM                 374827103     282308      44500                X                    0          0      44500
GILLETTE CO COM                          375766102   13403966     326926    X                           319132         74       7720
GILLETTE CO COM                          375766102    4969364     121204                X                79554       1300      40350
GLATFELTER P H CO COM                    377316104    1325025      90600                X                    0          0      90600
GLAXO WELLCOME PLC                       37733W105    2065737      36481    X                            36031          0        450
                                                    ---------  ---------                             ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             209325078    3320500                               1736815      40849    1542836
</TABLE>
<PAGE>   119
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   137
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-             SOLE       SHARED     NONE
A. COMMON STOCK                                                                INSTR  OTHER
            COMMON STOCK
            --------------------
<S>                                  <C>          <C>        <C>           <C>        <C>         <C>          <C>        <C>
GLAXO WELLCOME PLC                       37733W105     962908      17005               X                14505          0       2500
GLEASON CORP                             377339106     432094      25700               X                    0          0      25700
GLENAYRE TECH INC COM                    377899109     585822     163000               X                    0          0     163000
GLOBAL INDL TECHNOLOGIES INC COM         379335102     693623      57500               X                    0          0      57500
GLOBAL MARINE INC COM NEW                379352404        155         10   X                               10          0          0
GLOBAL MARINE INC COM NEW                379352404     819950      52900               X                    0          0      52900
GOLD BANC CORP INC                       379907108     152250      11600               X                    0          0      11600
GOLDEN WEST FINL CORP                    381317106    1579368      16116   X                            15193         25        898
GOLDEN WEST FINL CORP                    381317106     859460       8770               X                 1570          0       7200
GOLDMAN SACHS GROUP INC                  38141G104    1755675      24300               X                    0          0      24300
GOOD GUYS INC COM                        382091106     261750      34900               X                    0          0      34900
GOODRICH B F CO COM                      382388106     229500       5400               X                    0          0       5400
GOODYEAR TIRE & RUBBER CO COM            382550101      44404        755   X                              755          0          0
GOODYEAR TIRE & RUBBER CO COM            382550101    1829084      31100               X                    0          0      31100
GOTTSCHALKS INC                          383485109     283788      31100               X                    0          0      31100
GOVERNMENT SECS INCOME FD                383743523       1851      42075   X                            42075          0          0
GOVERNMENT SECS INCOME FD                383743523       4438     100862               X               100862          0          0
GOVERNMENT TECHNOLOGY SVCS I             383750106     117563      28500               X                    0          0      28500
GRADCO SYS INC                           384111100      33338      12700               X                    0          0      12700
GRAHAM-FIELD HEALTH PRODS INC            384632105     153000     102000               X                    0          0     102000
GRAINGER W W INC COM                     384802104     510147       9480   X                             9480          0          0
GRAINGER W W INC COM                     384802104    1179312      21915               X                    0          0      21915
GRAND UN CO                              386532402     143813      13300               X                    0          0      13300
GREAT LAKES CHEM CORP COM                390568103      20728        450   X                              450          0          0
GREAT LAKES CHEM CORP COM                390568103     198071       4300               X                    0          0       4300
GREENBRAIR CORP                          393648100      38888      18300               X                    0          0      18300
GREENBRIER COS INC                       393657101     249900      23800               X                    0          0      23800
GREENPOINT FINL CORP                     395384100     200159       6100               X                    0          0       6100
GREY WOLF INC                            397888108      70000      28000               X                    0          0      28000
GRIFFON CORP COM                         398433102     544566      69700               X                    0          0      69700
GROWTH FD AMER INC COM                   399874106    1478735      55446   X                            55446          0          0
GROWTH FD AMER INC COM                   399874106     199327       7474               X                 7474          0          0
GUARANTEE LIFE COS INC                   400740106     549333      21864               X                  664          0      21200
GUEST SUPPLY INC COM                     401630108     231915      18100               X                    0          0      18100
GUIDANT CORP COM                         401698105    2196074      42955   X                            38035         75       4845
GUIDANT CORP COM                         401698105    1245610      24364               X                20433       2600       1331
GUILFORD MILLS INCORPORATED              401794102     613681      59150               X                    0          0      59150
GULFMARK OFFSHORE INC                    402629109     239476      12604               X                  104          0      12500
GUNDLE/SLT ENVIRONMENTAL INC             402809107     102300      24800               X                    0          0      24800
HCIA INC COM                             403908106     293166      32800               X                    0          0      32800
HF BANCORP INC COM                       403910102     289477      15700               X                    0          0      15700
HCR MANOR CARE INC COM                   404134108      67896       2807   X                             2807          0          0
HCR MANOR CARE INC COM                   404134108     578093      23900               X                 3550          0      20350
HF FINL CORP                             404172108     165850      12400               X                    0          0      12400
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              22206538    1316002                               313413       2700     999889
</TABLE>
<PAGE>   120
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   138
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

HMN FINL INC                             40424G108     172050      14800               X                    0          0      14800
HS RESOURCES INC  COM                    404297103     725700      49200               X                    0          0      49200
HA-LO INDS INC                           404429102    1428419     144650               X                    0          0     144650
HADCO CORP COM                           404681108    1299825      32700               X                    0          0      32700
HAGGAR CORP COM                          405173105     270375      20600               X                    0          0      20600
HALLIBURTON CO COM                       406216101     616758      13630   X                            13230        150        250
HALLIBURTON CO COM                       406216101    1977199      43695               X                 8995          0      34700
HALTER MARINE GROUP INC COM              40642Y105     257713      38900               X                    0          0      38900
HAMILTON BANCORP INC FLA                 407013101     919200      38300               X                    0          0      38300
HAMPTON INDS INC                         409189107      50593      11400               X                    0          0      11400
JOHN HANCOCK TAX FREE BD CL A            41013Y104     473600      45019               X                45019          0          0
JOHN HANCOCK FUNDS                       41013Y203     118568      11271   X                            11271          0          0
HANDLEMAN CO DEL                         410252100     978116      82800               X                    0          0      82800
HANNA M A CO COM                         410522106    1305177      79400               X                    0          0      79400
HANNAFORD BROS CO COM                    410550107     203300       3800               X                    0          0       3800
HARBOR BOND FUND                         411511108    1175974     107987   X                           107987          0          0
HARBOR BOND FUND                         411511108     141832      13024               X                13024          0          0
HARBOR FD CAPITAL APPRECIATION           411511504    3733395      83615   X                            82335          0       1280
HARBOR FD CAPITAL APPRECIATION           411511504     144758       3242               X                 3075          0        168
HARCOURT GENERAL INC COM                 41163G101     268128       5200               X                    0          0       5200
HARDING LAWSON ASSOCIATES GROUP          412293102      96900      11400               X                    0          0      11400
HARDINGE INC                             412324303     454882      25900               X                    0          0      25900
HARLEY DAVIDSON INC COM                  412822108    6379765     117329   X                           108289        315       8725
HARLEY DAVIDSON INC COM                  412822108    1213378      22315               X                19445        350       2520
HARLEYSVILLE GROUP INC COM               412824104    1096750      53500               X                    0          0      53500
HARNISCHFEGER INDS INC COM               413345109     130400      65200               X                    0          0      65200
OAKMARK FUND                             413838103     735755      18505   X                            17122          0       1383
OAKMARK FUND                             413838103      38463        967               X                  967          0          0
HARRIS CORP COM                          413875105     521200      13300               X                    0          0      13300
HARTFORD FINL SVCS GROUP INC COM         416515104     143508       2461   X                             2461          0          0
HARTFORD FINL SVCS GROUP INC COM         416515104    1573168      26978               X                 4678          0      22300
HARTMARX CORP                            417119104     482876     115300               X                    0          0     115300
HARVEY ENTMT CO                          417662103      48130      10000               X                    0          0      10000
HASBRO INC COM                           418056107      94291       3375   X                             3375          0          0
HASBRO INC COM                           418056107     402307      14400               X                    0          0      14400
HASTINGS ENTMT INC                       418365102     230000      20000               X                    0          0      20000
HAVEN BANCORP INC COM                    419352109     348800      21800               X                    0          0      21800
HAVERTY FURNITURE INC                    419596101     423000      12000               X                    0          0      12000
HAWAIIAN AIRLS INC NEW                   419849104     266672      94800               X                    0          0      94800
HAWKER PACIFIC AEROSPACE                 420123101      28500      12000               X                    0          0      12000
HEALTHCARE SVC GRP COM                   421906108     158438      16250               X                    0          0      16250
HEALTHSOUTH CORP COM                     421924101     154403      10380   X                            10230          0        150
HEALTHSOUTH CORP COM                     421924101    1154300      77600               X                 6300          0      71300
HEALTH MGMT ASSOC INC NEW CL A           421933102     264375      23500               X                    0          0      23500
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              32700941    1632493                               457803        815    1173876
</TABLE>


<PAGE>   121

<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   139
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

HEALTH RISK MGMT INC                     421935107     102700      10400               X                    0          0      10400
HEALTHPLAN SVCS CORP COM                 421959107     311354      45700               X                    0          0      45700
HEADWAY CORPORATE RESOURCES              422101105      46250      10000               X                    0          0      10000
HEALTH MGMT SYSTEMS INC COM              42219M100     292600      53200               X                    0          0      53200
HEILIG MEYERS CO COM                     422893107     754199     110700               X                    0          0     110700
HEINZ H J CO COM                         423074103    5370844     107149   X                           103999          0       3150
HEINZ H J CO COM                         423074103    5004781      99846               X                48746          0      51100
HELLER FINANCIAL INC                     423328103     678637      24400               X                    0          0      24400
HELLO DIRECT INC                         423402106     120037      11500               X                    0          0      11500
HERCULES INC COM                         427056106      33141        843   X                              843          0          0
HERCULES INC COM                         427056106     271260       6900               X                    0          0       6900
HERSHEY FOODS CORP                       427866108      88469       1490   X                             1290          0        200
HERSHEY FOODS CORP                       427866108    1193438      20100               X                 1100          0      19000
HEWLETT PACKARD CO COM                   428236103   25976034     258468   X                           241568          0      16900
HEWLETT PACKARD CO COM                   428236103   14651393     145785               X                39781        450     105554
HEXCEL CORP                              428291108     200475      19800               X                    0          0      19800
HI / FN INC                              428358105     898275      11800               X                    0          0      11800
HIGHLAND INS GROUP COM                   431032101     381150      36300               X                    0          0      36300
HILLENBRAND INDS INC COM                 431573104   23249859     537569   X                           536469          0       1100
HILLENBRAND INDS INC COM                 431573104     552865      12783               X                 7383       5200        200
HILTON HOTELS CORP COM                   432848109     695212      49000               X                    0          0      49000
HIRSCH INTL CORP CL A                    433550100      40050      17800               X                    0          0      17800
HOENIG GROUP INC                         434396107     118262      11900               X                    0          0      11900
HOLLYWOOD ENTERTAINMENT                  436141105    1410492      72100               X                    0          0      72100
HOLLYWOOD PK INC NEW                     436255103    1123700      66100               X                    0          0      66100
HOLOGIC INC COM                          436440101     185063      32900               X                    0          0      32900
HOME FED BANCORP                         436926109     311132      10965   X                            10965          0          0
HOME DEPOT INC COM                       437076102   20582915     319422   X                           310837        590       7995
HOME DEPOT INC COM                       437076102    6480465     100569               X                54020          0      46549
HOME PRODS INTL INC                      437305105     168300      19800               X                    0          0      19800
HOMEBASE INC                             43738E108     616780      97700               X                    0          0      97700
HOMEGOLD FINL INC                        43740E104      23250      15500               X                    0          0      15500
HOMESTAKE MINING CO CAP                  437614100     155572      19000               X                 3600          0      15400
HOMESTEAD VILLAGE INC                    437851108     194796      79900               X                    0          0      79900
HON INDUSTRIES INC COM                   438092108     230585       7900               X                    0          0       7900
HONEYWELL INC COM                        438506107      17381        150   X                              150          0          0
HONEYWELL INC COM                        438506107    1181925      10200               X                    0          0      10200
HORIZON FINL CORP WASH                   44041F105     272391      19900               X                    0          0      19900
HORIZON HEALTH CORP                      44041Y104      72500      10000               X                    0          0      10000
HOSPITALITY WORLDWIDE SVCS I             44106N100      76488      21100               X                    0          0      21100
HOUSEHOLD INTL CORP COM                  441815107     212666       4489   X                             4489          0          0
HOUSEHOLD INTL CORP COM                  441815107    3065163      64700               X                    0          0      64700
HOUSTON EXPLORATION CO COM               442120101     988564      52200               X                    0          0      52200
HOVNANIAN ENTERPRISES INC CL A           442487203     337750      38600               X                    0          0      38600
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             118739163    2666628                              1365240       6240    1295148
</TABLE>


<PAGE>   122

<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   140
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>       <C>       <C>
    COMMON STOCK
    ---------------------

HOWELL CORP                              443051107      76875      15000               X                    0          0      15000
HUB GROUP INC COM                        443320106     361252      16100               X                    0          0      16100
HUBBELL INC CL B                         443510201     326700       7200   X                             7200          0          0
HUBBELL INC CL B                         443510201     209633       4620               X                  320          0       4300
HUFFY CORP COM                           444356109     242200      17300               X                    0          0      17300
HUGHS SUPPLY INC                         444482103    1059862      35700               X                    0          0      35700
HULMAN & COMPANY COMMON                  444839906   16351102      40454               X                30087      10367          0
HUMANA INC COM                           444859102      13585       1050   X                             1050          0          0
HUMANA INC COM                           444859102     481294      37200               X                    0          0      37200
HUMAN GENOME SCIENCES INC                444903108    2792650      70700               X                    0          0      70700
HUNT CORP                                445591100      99000      12000               X                    0          0      12000
HUNT JB TRANS SVCS INC COM               445658107     833625      51300               X                    0          0      51300
HUNTCO INC CL A                          445661101      38400      12800               X                    0          0      12800
HUNTINGTON BANCSHARES INC COM            446150104     244335       6981   X                             6981          0          0
HUNTINGTON BANCSHARES INC COM            446150104    1023085      29231               X                 1431          0      27800
HUNTINGTON FUNDS                         446327819     241532      11447   X                            11447          0          0
HURCO CO                                 447324104      80500      16100               X                    0          0      16100
HUTCHINSON TECHNOLOGY INC COM            448407106    1379175      49700               X                    0          0      49700
HYPERCOM CORP                            44913M105     138664      14500               X                    0          0      14500
HYSEQ INC                                449163302     108580      31300               X                    0          0      31300
ICT GROUP INC                            44929Y101     103500      20700               X                    0          0      20700
IDEC PHARMACEUTICALS CORP                449370105    2550785      33100               X                    0          0      33100
IDS EQUITY PLUS FD INC COM               44943G102     169272      10533   X                            10533          0          0
IDS FED INC FD                           44943K103      75685      15414   X                            15414          0          0
IDS EXTRA INCOME FUND INC                449433101      55092      13947   X                            13947          0          0
IDS HIGH YIELD TAX EXEMPT FD INC         449440106     317841      70475   X                            70475          0          0
IDS HIGH YIELD TAX EXEMPT FD INC         449440106     186959      41454               X                41454          0          0
IDS NEW DIMENSIONS FUND                  449444108     667182      20624   X                            20624          0          0
IDS TAX EXEMPT BD FD INC CL A            449482108     108369      27092   X                            27092          0          0
IDS TAX EXEMPT BD FD INC CL A            449482108      37913       9478               X                 9478          0          0
IEC ELECTRS CORP NEW                     44949L105      66272      18600               X                    0          0      18600
IDX SYS CORP COM                         449491109     394853      17500               X                    0          0      17500
IFR SYSTEM INCORPORATED COMMON           449507102     104975      22100               X                    0          0      22100
IMC GLOBAL INC                           449669100       1407         81   X                               81          0          0
IMC GLOBAL INC                           449669100     222400      12800               X                    0          0      12800
IMCO RECYCLING INC COM                   449681105     717538      41900               X                    0          0      41900
IMC MTG CO                               449923101       5618      53500               X                    0          0      53500
IMS HEALTH INC                           449934108     118750       3800   X                             3800          0          0
IMS HEALTH INC                           449934108     971688      31094               X                 5094          0      26000
ISB FINL CORP LA COM                     450091103     359050      16700               X                    0          0      16700
ITC DELTACOM INC                         45031T104     660800      23600               X                    0          0      23600
ITEQ INC                                 450430103     152862      73000               X                    0          0      73000
ITLA CAP CORP                            450565106     362250      23000               X                    0          0      23000
ITT INDUSTRIES INC COM                   450911102      13420        352   X                              352          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              34526530    1081527                               276860      10367     794300

</TABLE>


<PAGE>   123


<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   141
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>       <C>        <C>
    COMMON STOCK
    ---------------------

ITT INDUSTRIES INC COM                   450911102     809699      21238               X                 1938          0      19300
IDEX CORP COM                            45167R104    1643750      50000               X                    0          0      50000
IDEXX LABS INC COM                       45168D104     946508      40600               X                    0          0      40600
IKOS SYS INC COM NEW                     451716203     133457      13600               X                    0          0      13600
ILLINOIS TOOL WORKS INC COM              452308109    4212087      51524   X                            48579        220       2725
ILLINOIS TOOL WORKS INC COM              452308109    4661957      57027               X                20054        700      36273
IMATION CORP COM                         45245A107     949345      38260               X                  460          0      37800
IMPERIAL CR INDS INC                     452729106     392298      55300               X                    0          0      55300
IN FOCUS SYSTEMS INC                     452919103     907500      60500               X                    0          0      60500
IMPERIAL SUGAR CO NEW                    453096109     469703      67700               X                    0          0      67700
INACOM CORP                              45323G109     592113      46900               X                    0          0      46900
INCO LTD COM                             453258402     217800      12100               X                    0          0      12100
INCOME FD AMER INC COM                   453320103     663277      37537   X                            37537          0          0
INCOME FD AMER INC COM                   453320103      32658       1848               X                 1848          0          0
INCYTE PHARMACEUTICALS INC COM           45337C102     235298       8900               X                    0          0       8900
INDIANA ENERGY INC COM                   454707100    2492800     116962   X                            54859          9      62094
INDIANA ENERGY INC COM                   454707100   13339583     625890               X                79057     490709      56124
INDUSTRIAL DISTR GROUP INC               456061100      75945      15000               X                    0          0      15000
INGERSOLL RAND CO COM                    456866102      12085        187   X                              187          0          0
INGERSOLL RAND CO COM                    456866102     843356      13050               X                  900          0      12150
INFORMATION RESOURCES INC COM            456905108     525875      60100               X                    0          0      60100
INFORMATION MGMT ASSOCIATES COM          456923101      64400      18400               X                    0          0      18400
INGLES MKTS INC                          457030104     323300      21200               X                    0          0      21200
INHALE THERAPEUTICS SYS                  457191104     238130      10000               X                    0          0      10000
INNOVATIVE GAMING CORP AMER              45764F107      20668      11400               X                    0          0      11400
INPUT/OUTPUT INC XOM                     457652105     785796     103900               X                    0          0     103900
INNOVATIVE CLINICAL SOLUTN L             45767E107     126481      86100               X                    0          0      86100
INSO CORP COM                            457674109     117713      21900               X                    0          0      21900
INSTEEL INDUSTRIES INC                   45774W108     200700      22300               X                    0          0      22300
INSTRON CORP                             457776102     411075      20300               X                    0          0      20300
INSURANCE AUTO AUCTIONS INC COM          457875102     446663      27700               X                    0          0      27700
INTEGRATED MEASUREMENT SYS I             457923100     249775      19400               X                    0          0      19400
INTERGRATED DEVICE TECHNOLOGY COM        458118106    1783152     163968               X                    0          0     163968
INTERGRATED HEALTH SVCS INC              45812C106     168000      21000               X                    0          0      21000
INTERGRATED SILICON SOLUTION COM         45812P107     274374      47200               X                    0          0      47200
INTEL CORP COM                           458140100   34954227     587466   X                           530236        685      56545
INTEL CORP COM                           458140100   23109265     388391               X               150220       2050     236121
INTELLIGENT LIFE CORP                    45816V100      82694      12600               X                    0          0      12600
INTERFACE INC COM                        458665106     738300      85600               X                    0          0      85600
INTERGRAPH CORP COM                      458683109    1045475     134900               X                    0          0     134900
INTERMAGNETICS GEN CORP                  458771102     237305      30620               X                    0          0      30620
FEDERATED                                458810108     529460      51106   X                            48924          0       2182
INTERNATIONAL ALUM CORP                  458884103     277750      10100               X                    0          0      10100
INTERNATIONAL BUSINESS MACHS CORP        459200101   23178790     179333   X                           168668         50      10615
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             123520587    3469107                              1143467     494423    1831217
</TABLE>


<PAGE>   124


<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   142
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

INTERNATIONAL BUSINESS MACHS CORP        459200101   22836536     176685               X                72911       1400     102374
INTERNATIONAL FLAVORS &                  459506101      30800        700   X                              600          0        100
INTERNATIONAL FLAVORS &                  459506101     404800       9200               X                 1300          0       7900
INTERNATIONAL MULTIFOODS COM             460043102    1019848      45200               X                    0          0      45200
INTERNATIONAL PAPER CO COM               460146103     163363       3251   X                             3251          0          0
INTERNATIONAL PAPER CO COM               460146103    3210674      63894               X                  120          0      63774
INTERNATIONAL RECTIFIER CORP COM         460254105    1666788     125200               X                    0          0     125200
INTERNATIONAL SHIPHOLDING CO             460321201     198375      13800               X                    0          0      13800
INTERPHASE CORP                          460593106     315100      13700               X                    0          0      13700
INTERPOOL INC                            46062R108     884000      68000               X                    0          0      68000
INTERPUBLIC GROUP COS INC COM            460690100    5133831      59265   X                            56190          0       3075
INTERPUBLIC GROUP COS INC COM            460690100    1227909      14175               X                11840        500       1835
SCUDDER GROWTH & INCOME FUND             460965882     661275      22709   X                            22709          0          0
SCUDDER GROWTH & INCOME FUND             460965882      73046       2508               X                 1972          0        537
INTERTAN INCORPORATED COMMON             461120107     620000      31000               X                    0          0      31000
INVESTMENT CO OF AMERICA COM             461308108    1120910      32670   X                            32670          0          0
INVESTMENT CO OF AMERICA COM             461308108     357194      10411               X                 1682          0       8729
INVESTMENT SER FDS INC                   461444507     166447      17726   X                            17726          0          0
IONICS INC COM                           462218108    1489200      40800               X                    0          0      40800
IPALCO ENTERPRISES INC COM               462613100    3072383     145006   X                           142856          0       2150
IPALCO ENTERPRISES INC COM               462613100    1817909      85799               X                69633       1800      14366
IRIDEX CORP                              462684101      74100      15200               X                    0          0      15200
IRWIN FINL CORP COM                      464119106    1053000      54000   X                            54000          0          0
ISLE OF CAPRIS CASINOS INC               464592104     303875      44200               X                    0          0      44200
ISOLYSER INC COM                         464888106     229243      48900               X                    0          0      48900
ITRON INC                                465741106     108750      12700               X                    0          0      12700
I2 TECHNOLOGIES INCORPORATED             465754109     743900      17300               X                    0          0      17300
IVEX PACKAGING CORP COM                  465855104     913000      41500               X                    0          0      41500
IVILLAGE INC                             46588H105     211050       4200               X                    0          0       4200
J & J SNACK FOODS CORP COM               466032109     264000      11000               X                    0          0      11000
J ALEXANDER CORP                         466096104      53163      13500               X                    0          0      13500
JDA SOFTWARE GROUP INC                   46612K108     203489      21850               X                  450          0      21400
JSB FINL INC                             46624M100     920838      18100               X                    0          0      18100
JACKPOT ENTERPRISES INC                  466392107     179350      21100               X                    0          0      21100
JACO ELECTRS INC                         469783104      44138      10700               X                    0          0      10700
JACOBSON STORES INC                      469834105      94975      13100               X                    0          0      13100
JAKKS PAC INC                            47012E106     372663      12500               X                    0          0      12500
JAN BELL MKTG INC                        470760109     253400      72400               X                    0          0      72400
JANUS FUND INCORPORATED                  471023101    3713470      92375   X                            89279          0       3096
JANUS FUND INCORPORATED                  471023101     407061      10126               X                 8939          0       1187
JANUS INVT FD WORLDWIDE FD               471023309    1823357      34126   X                            31946          0       2180
JANUS INVT FD WORLDWIDE FD               471023309     786077      14712               X                12712          0       2000
JANUS INVT FD                            471023846     364955      16395   X                            16395          0          0
JANUS INVT FUND                          471023853     987145      30791   X                            30791          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              60575387    1612474                               679972       3700     928803
</TABLE>


<PAGE>   125

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   143
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

JASON INC                                471171108     169600      21200               X                    0          0      21200
JEAN PHILIPPE FRAGRANCES INC             472154301     156813      19300               X                    0          0      19300
JOHNSON & JOHNSON COM                    478160104   25977546     265077   X                           248896        135      16046
JOHNSON & JOHNSON COM                    478160104   24633280     251360               X               107695        600     143065
JOHNSON CTLS INC COM                     478366107     429741       6200               X                    0          0       6200
JOHNSON WORLDWIDE ASSOCIATION            479254104     157863      17300               X                    0          0      17300
JOHNSTON INDUSTRIES INC.                 479368102      56232      25700               X                    0          0      25700
JONES APPAREL GROUP INC COM              480074103    2009232      58556               X                    0          0      58556
JOS A BANK CLOTHIERS INC                 480838101      98813      15500               X                    0          0      15500
JUNIPER NETWORKS INC COM                 48203R104     894000       6000               X                    0          0       6000
JUST FOR FEET INC                        48213P106     303230      47100               X                    0          0      47100
JUSTIN INDUST INC                        482171105     818161      58700               X                    0          0      58700
KBK CAPITAL CORP                         482412103      82875      13000               X                    0          0      13000
KCS ENERGY INC                           482434206      56375      90200               X                    0          0      90200
KLA-TENCOR CORP COM                      482480100     415200       6400               X                    0          0       6400
KLLM TRANS SVCS INC                      482498102      62675      10900               X                    0          0      10900
K MART CORP COM                          482584109      29700       1800   X                             1400          0        400
K MART CORP COM                          482584109    1321650      80100               X                    0          0      80100
K2 INC COM                               482732104     384334      43000               X                    0          0      43000
KAISER ALUM CORP COM                     483007100    1064113     119900               X                    0          0     119900
KAISER VENTURES INC                      483100103     313500      22000               X                    0          0      22000
KAMAN CORP CL A                          483548103     550649      35100               X                    0          0      35100
KATY INDS INC COM                        486026107     261300      20100               X                    0          0      20100
KEEBLER FOODS CO                         487256109    1427400      46800               X                    0          0      46800
KELLOGG CO COM                           487836108     785730      23810   X                            22010          0       1800
KELLOGG CO COM                           487836108    1600170      48490               X                17090          0      31400
KELLWOOD CO COM                          488044108    1139250      42000               X                    0          0      42000
KEMET CORP COM                           488360108    1458857      63600               X                    0          0      63600
KEMPER INTER GOVT TR                     488413105      69924       9900   X                             5900          0       4000
KEMPER INTER GOVT TR                     488413105       5624        796               X                  796          0          0
KEMPER MUNI BD FD SH BEN INT             488419201     290636      29657   X                            29657          0          0
KEMPER MUNI BD FD SH BEN INT             488419201     180354      18403               X                13882          0       4522
KEMPER                                   488436106     208500      18305   X                            18305          0          0
KEMPER                                   488438102     158765      18744   X                            18744          0          0
KEMPER                                   488438102     265147      31304               X                31304          0          0
KELTSCH BROTHERS INC.                    488990102     825580      24282   X                            24282          0          0
KENNAMETAL INC COM                       489170100    1199700      38700               X                    0          0      38700
KENSEY NASH CORP COM                     490057106     483200      60400               X                    0          0      60400
KENT ELECTRS CORP COM                    490553104    1375022      69400               X                    0          0      69400
KENT REALTY CORPORATION COMMON           4907159A9     200000        400   X                              400          0          0
KERR MCGEE CORP COM                      492386107       2037         41   X                               41          0          0
KERR MCGEE CORP COM                      492386107     338267       6740               X                  325          0       6415
KEY ENERGY SVCS INC                      492914106      79455      22300               X                    0          0      22300
KEY PRODTN INC COM                       493138101        266         29   X                               29          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              72340766    1808594                               540756        735    1267104
</TABLE>


<PAGE>   126

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   144
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

KEY PRODTN INC COM                       493138101     243482      26500               X                    0          0      26500
KEY TECHNOLOGY INC                       493143101     124688      13300               X                    0          0      13300
KEY TRONCI CORP                          493144109     142313      25300               X                    0          0      25300
KEYCORP NEW COM                          493267108    1589095      49466   X                            48864          0        602
KEYCORP NEW COM                          493267108    2421518      75378               X                14078          0      61300
KEYSTONE CONSOLIDATED INDUSTRIES         493422109     160988      24300               X                    0          0      24300
KIMBALL INT'L CL B                       494274103    1113750      66000               X                    0          0      66000
KIMBERLY-CLARK CORP COM                  494368103     747840      13120   X                            13120          0          0
KIMBERLY-CLARK CORP COM                  494368103    5235792      91856               X                16872          0      74984
KINNARD INVTS INC                        497059105      63866      15600               X                    0          0      15600
KITTY HAWK INC                           498326107     199238      25300               X                    0          0      25300
KLAMATH FIRST BANCORP INC                49842P103     370500      24700               X                    0          0      24700
KNIGHT RIDDER INC COM                    499040103      55063       1000   X                             1000          0          0
KNIGHT RIDDER INC COM                    499040103     886514      16100               X                    0          0      16100
KOHLS CORP COM                           500255104    1692403      22015   X                            20000         45       1970
KOHLS CORP COM                           500255104    2237447      29105               X                 9205          0      19900
KOMAG INC COM                            500453105     441623     133300               X                    0          0     133300
KONINKLIJKE PHILIPS ELECTRS              500472204     536252       5316   X                             5270          0         46
KONINKLIJKE PHILIPS ELECTRS              500472204     296976       2944               X                 2944          0          0
KROGER CO COM                            501044101     178803       6400   X                             6400          0          0
KROGER CO COM                            501044101    2271639      81310               X                    0          0      81310
KROLL O GARA CO                          501050108     789855      35800               X                    0          0      35800
KUCLICKE & SOFFA INDS                    501242101    1488122      55500               X                    0          0      55500
LG & E ENERGY CORP COM                   501917108     222243      10583   X                            10583          0          0
LG & E ENERGY CORP COM                   501917108       9597        457               X                  457          0          0
LTV CORP NEW COM                         501921100     789700     119200               X                    0          0     119200
LNR PPTY CORP                            501940100     833625      39000               X                    0          0      39000
LSI LOGIC CORP COM                       502161102     642983      13940               X                 2400          0      11540
LTX CORP COM                             502392103     801443      60200               X                    0          0      60200
L-3 COMMUNICATIONS HLDGS INC             502424104    2048471      42400               X                    0          0      42400
LABORATORY CORP OF AMERICA HLDGS         50540R102     127938      44500               X                    0          0      44500
LACLEDE GAS CO COM                       505588103       6975        300   X                              300          0          0
LACLEDE GAS CO COM                       505588103     499875      21500               X                    0          0      21500
LADD FURNITURE INC NEW COM               505739201     405300      19300               X                    0          0      19300
LAIDLAW INC                              50730K503     178475      24200               X                    0          0      24200
LAKELAND FINL CORP                       511656100     976360      55792   X                            55792          0          0
LAKELAND FINL CORP                       511656100     586040      33488               X                31988          0       1500
LAKESIDE DAIRY FARMS INC                 511991101    1247000      12233   X                            12233          0          0
LAKES GAMING INC                         51206P109       2735        250   X                              125          0        125
LAKES GAMING INC                         51206P109     299154      27350               X                    0          0      27350
LAM RESH CORP COM                        512807108    5499846     117800               X                    0          0     117800
LAMSON & SESSIONS CO COM                 513696104     210600      35100               X                    0          0      35100
LANCER CORPORATION TEXAS                 514614106      92125      11000               X                    0          0      11000
LANDAMERICA FINL GROUP INC               514936103       2588         90   X                               90          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              38770840    1528293                               251721         45    1276527
</TABLE>


<PAGE>   127

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   145
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

LANDAMERICA FINL GROUP INC               514936103     414000      14400               X                    0          0      14400
LANDRY'S SEAFOOD RESTAURANTS INC COM     51508L103     650640      81330               X                  330          0      81000
LARSCOM INC                              51729Y108      25091      11000               X                    0          0      11000
LATTICE SEMICONDUCTOR CORP COM           518415104    1680750      27000               X                    0          0      27000
LAWSON PRODUCTS INC COM                  520776105     342557      13600               X                    0          0      13600
LAYNE CHRISTENSEN CO                     521050104     182963      28700               X                    0          0      28700
LAZARE KAPLAN INTL INC                   521078105     141750      14000               X                    0          0      14000
LEAPNET INC                              521864108      80030      34600               X                    0          0      34600
LEAR CORP COM                            521865105     582075      11700               X                    0          0      11700
LEASING SOLUTION INC COM                 522113109       9750      13000               X                    0          0      13000
LECHTERS                                 523238103     113250      45300               X                    0          0      45300
LEGATO SYS INC COM                       524651106     652575      11300               X                    0          0      11300
LEGGETT & PLATT INC                      524660107     689762      24800               X                    0          0      24800
LEHMAN BROTHERS HLDGS INC COM            524908100       1243         20   X                               20          0          0
LEHMAN BROTHERS HLDGS INC COM            524908100     981575      15800               X                 1000          0      14800
LESCO CORP COM                           526872106     372938      19500               X                    0          0      19500
LEVEL 3 COMMUNICATIONS INC               52729N100    1225285      20400               X                    0          0      20400
LEXINGTON GOLDFUND INC                   528901101      74074      24691   X                            24691          0          0
LEXMARK INTL GROUP INC                   529771107    1085990      16580   X                            14710         45       1825
LEXMARK INTL GROUP INC                   529771107      96940       1480               X                  990          0        490
LIBERTY FDS TR IV                        530544105       9666        729   X                              729          0          0
LIBERTY FDS TR IV                        530544105     252114      19013               X                19013          0          0
LIBERTY TAX CR PLUS L P                  531280105          0      10006   X                            10006          0          0
LIFE USA HLDG INC NEW                    531918209    1287900      63600               X                    0          0      63600
LIGAND PHARMACEUTICAL INC CL A           53220K207    1509663     135700               X                    0          0     135700
LILLIAN VERNON CORP                      532430105     319800      24600               X                    0          0      24600
LILLY ELI & CO COM                       532457108  334721675    4673252   X                          3218447        175    1454630
LILLY ELI & CO COM                       532457108  951743402   13287866               X             12801289      13856     472721
LINCOLN NATL CORP IND COM                534187109   75901978    1450920   X                          1447054          0       3866
LINCOLN NATL CORP IND COM                534187109   39463253     754368               X               644122      14032      96214
LINCOLN NATL INCOME FD COM               534217104      98888       8416   X                             8416          0          0
LINCOLN NATL INCOME FD COM               534217104     130402      11098               X                11098          0          0
LITCHFIELD FINL CORP COM                 536619109    1512563      89300               X                    0          0      89300
LITHIA MTRS INC                          536797103     703150      34300               X                    0          0      34300
LOCKHEED MARTIN CORP COM                 539830109      73234       1966   X                             1966          0          0
LOCKHEED MARTIN CORP COM                 539830109    2275975      61100               X                  900          0      60200
RK LOCKE & CO                            539999102          1      20000               X                20000          0          0
LODGIAN INC                              54021P106     420688      64100               X                    0          0      64100
LOEWS CINEPLEX ENTMT CORP                540423100     235988      21700               X                    0          0      21700
LOEWS CORP COM                           540424108     308588       3900   X                             3900          0          0
LOEWS CORP COM                           540424108     870217      10998               X                 2598          0       8400
LONE STAR STEAKHOUSE SALOON COM          542307103    1032158     106200               X                    0          0     106200
LONE STAR TECH INC COM                   542312103     420675      23700               X                    0          0      23700
LONGVIEW FIBRE CO COM                    543213102    1132813      72500               X                    0          0      72500
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                            1423828029   21378533                             18231279      28108    3119146
</TABLE>


<PAGE>   128

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   146
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

LORD ABBET U S GOVT SECS                 543903108      67971      25747   X                            25747          0          0
LORD ABBETT INVT TR                      543916308      27195      10835   X                            10835          0          0
LORD ABBETT AFFILIATED FD INC COM        544001100     241925      14504   X                            14504          0          0
LORD ABBETT AFFILIATED FD INC COM        544001100      28625       1716               X                 1716          0          0
LORD ABBETT                              544004104      92373      10019   X                            10019          0          0
LOUIS DREYFUS NATURAL GAS CORP           546011107    1302405      60400               X                    0          0      60400
LOUISIANA PAC CORP COM                   546347105      21488        900   X                              900          0          0
LOUISIANA PAC CORP COM                   546347105     341413      14300               X                    0          0      14300
LUBY'S INC                               549282101     421500      28100               X                    0          0      28100
LUCENT TECHNOLOGIES INC COM              549463107   28730881     426034   X                           414116        380      11538
LUCENT TECHNOLOGIES INC COM              549463107   22628855     335551               X               137616        256     197679
LUFKIN INDS INC                          549764108     334000      16700               X                    0          0      16700
LUMISYS INC COM                          550274104      75463      23000               X                    0          0      23000
LUNAR CORP COM                           550362107     177188      22500               X                    0          0      22500
LYDALL INC DEL COM                       550819106     322000      28000               X                    0          0      28000
LYONDELL CHEMICAL CO COM                 552078107     255750      12400               X                    0          0      12400
M & F WORLDWIDE CORP                     552541104     407219      51300               X                    0          0      51300
M & T BK CORP                            55261F104     275000        500               X                    0          0        500
MBIA INC                                 55262C100      84175       1300   X                             1300          0          0
MBIA INC                                 55262C100    1029525      15900               X                    0          0      15900
MBNA CORP COM                            55262L100     357547      11675   X                            11675          0          0
MBNA CORP COM                            55262L100      37883       1237               X                 1237          0          0
M D C HLDGS INC                          552676108    1333000      62000               X                    0          0      62000
MCI WORLDCOM INC                         55268B106   12139789     141057   X                           137062         75       3920
MCI WORLDCOM INC                         55268B106   22698600     263744               X                23502          0     240242
MEMC ELECTR MATLS INC                    552715104    1399182     114800               X                    0          0     114800
MFRI INC                                 552721102      55000      11000               X                    0          0      11000
MGIC INVT CORP WIS                       552848103      21687        446   X                              446          0          0
MGIC INVT CORP WIS                       552848103     491113      10100               X                    0          0      10100
MFS GOVERNMENT MARKETS                   552939100      75625      12100   X                             7500          0       4600
MFS GOVERNMENT MARKETS                   552939100      12500       2000               X                 2000          0          0
MGM GRAND INC                            552953101    1617000      33000               X                    0          0      33000
MFS SER TR IV                            552987505     179410      17054   X                            17054          0          0
MFS SER TR IV                            552987505      19312       1836               X                 1836          0          0
M/I SCHOTTENSTEIN HOMES INC NEW          55305B101     348478      18900               X                    0          0      18900
MKS INSTRUMENT INC                       55306N104     962913      51700               X                    0          0      51700
MMI COS INC                              553087107     695250      41200               X                    0          0      41200
MRV COMMUNICATIONS INC                   553477100     864938      65900               X                    0          0      65900
M S CARRIERS INC                         553533100     895611      30200               X                    0          0      30200
MACERICH CO COM                          554382101     719250      27400               X                    0          0      27400
MACROMEDIA INC                           556100105     317250       9000               X                    0          0       9000
MAGELLAN HEALTH SVCS INC                 559079108     474000      47400               X                    0          0      47400
MAGNETEK INC                             559424106     602091      57000               X                    0          0      57000
MAGNUM PETE INC                          55972F203      87699      23000               X                    0          0      23000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             103270079    2153455                               819065        711    1333679
</TABLE>

<PAGE>   129

<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   147
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

MAIN STREET AND MAIN INC                 560345308      52945      15400               X                    0          0      15400
MAKER COMMUNICATIONS INC                 560875106     285200       9200               X                    0          0       9200
MANCHESTER EQUIP INC                     562154104      68713      23900               X                    0          0      23900
MANITOWOC INC                            563571108     603563      14500               X                    0          0      14500
MANUFACTURED HOME CMNTYS INC             564682102     967200      37200               X                    0          0      37200
MANUGISTICS GROUP INC                    565011103     659750      45500               X                    0          0      45500
MARBANC FINANCIAL CORPORATION            566099016     283500       4050               X                 4050          0          0
MARCUS CORP DEL                          566330106     538078      43700               X                    0          0      43700
MARINE TRANS CORP                        567912100      67697      19000               X                    0          0      19000
MARINE DRILLING COS INC                  568240204     164256      12000               X                    0          0      12000
MARISA CHRISTINA INC                     570268102       7190      10000               X                    0          0      10000
MARITRANS INC                            570363101     163688      29100               X                    0          0      29100
MARLTON TECHNOLOGIES INC                 571263102      60375      16100               X                    0          0      16100
MARSH & MCLENNAN COS INC                 571748102     367465       4855   X                             4255          0        600
MARSH & MCLENNAN COS INC                 571748102    3482026      46005               X                 1350          0      44655
MARSH SUPERMARKET INC CL B               571783208     288404      24545   X                            24545          0          0
MARSH SUPERMARKET INC CL B               571783208     128075      10900               X                    0          0      10900
MARSH SUPERMARKETS INC CL A              571783307     323350      22300   X                            22300          0          0
MARSH SUPERMARKETS INC CL A              571783307      34786       2399               X                 2399          0          0
MARRIOTT INTL INC                        571903202      62416       1670   X                             1520          0        150
MARRIOTT INTL INC                        571903202     809543      21660               X                 1760          0      19900
MARSHALL INDS                            572393106    1451895      40400               X                    0          0      40400
MARYDEN REALTY CORPORATION               5738859A0     327000        375               X                  375          0          0
MASCO CORP                               574599106     457669      15850   X                            15350        500          0
MASCO CORP                               574599106    1696666      58759               X                11450        700      46609
MASSBANK COPR REAS MASS COM              576152102     540000      14400               X                    0          0      14400
MATERIAL SCIENCIES CORP                  576674105     774000      51600               X                    0          0      51600
MATRIA HEALTHCARE INC COM                576817100     599575      82700               X                    0          0      82700
MATRIX PHARMACEUTICAL INC                576844104     229350      55600               X                    0          0      55600
MATRIX SVC CO                            576853105      99413      24100               X                    0          0      24100
MATTEL INC                               577081102     337378      12914   X                            12714          0        200
MATTEL INC                               577081102    2349839      89946               X                 7765        397      81784
MATTSON TECHNOLOGY INC                   577223100     454500      36000               X                    0          0      36000
MAXIM INTEGRATED PRODS INC               57772K101     277638       4175   X                             4175          0          0
MAXIM INTEGRATED PRODS INC               57772K101     327513       4925               X                 4450          0        475
MAXXIM MED INC                           57777G105     801967      34400               X                    0          0      34400
MAY DEPT STORES CO                       577778103     742617      18168   X                            18168          0          0
MAY DEPT STORES CO                       577778103    2868281      70172               X                10029          0      60143
MAXICARE HEALTH PLANS INC                577904204        793        167   X                              167          0          0
MAXICARE HEALTH PLANS INC                577904204     228950      48200               X                    0          0      48200
MAXXAM INC COM                           577913106    1154550      17900               X                    0          0      17900
MAVERICK TUBE CORP                       577914104     531038      38100               X                    0          0      38100
MCDONALD TAX EXEMPT MTG TRUST            580125102      17143      17143   X                                0          0      17143
MCDONALDS CORP                           580135101   21208327     515704   X                           489874          0      25830
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              46894322    1665682                               636696       1597    1027389
</TABLE>


<PAGE>   130

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   148
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

MCDONALDS CORP                           580135101   15418256     374912               X               237192        300     137420
MCKEE REALTY CO COMMON                   5813339A1     327618        875               X                  875          0          0
MCKESSON HBOC INC                        58155Q103       2189         68   X                               68          0          0
MCKESSON HBOC INC                        58155Q103     388252      12062               X                  370          0      11692
MCNAUGHTON APPAREL GROUP INC             582524104     170850      20400               X                    0          0      20400
MCNEIL REAL ESTATE FD LTD                582568879       2700      10000               X                10000          0          0
MCWHORTER TECHNOLOGIES INC               582803102     332074      23000               X                    0          0      23000
MEAD CORP                                582834107     340680       8160               X                  660          0       7500
MEADOWBROOK INS GROUP INC                58319P108     381500      28000               X                    0          0      28000
MEDAPHIS CORP                            584028104    1118950     194600               X                    0          0     194600
MEDFORD BANCORP INC                      584131106     303188      16500               X                    0          0      16500
MEDIAONE GROUP INC                       58440J104     498238       6699   X                             6699          0          0
MEDIAONE GROUP INC                       58440J104    7210359      96946               X                 1270          0      95676
MEDIA 100 INC                            58440W105     119993      23700               X                    0          0      23700
MEDICAL ALLIANCE INC                     58449S105      22600      11300               X                    0          0      11300
MEDIMMUNE INC COM                        584699102     324523       4790               X                    0          0       4790
MEDQUIST INC COM                         584949101    1461250      33400               X                    0          0      33400
MEDSTONE INTL INC NEW                    58505C101      93663      12700               X                    0          0      12700
MEDTRONIC INC                            585055106   18347194     235598   X                           224683        445      10470
MEDTRONIC INC                            585055106    5249242      67406               X                35858       1500      30048
MELLON BK CORP                           585509102     227344       6250   X                             6250          0          0
MELLON BK CORP                           585509102    1109438      30500               X                 2100          0      28400
MENTOR GRAPHICS CORP                     587200106     275480      21500               X                    0          0      21500
MERCANTILE BANCORPORATION INC            587342106     645513      11300               X                    0          0      11300
MERCK & CO INC                           589331107   41694353     566307   X                           504027         70      62210
MERCK & CO INC                           589331107   29724400     403727               X               295043       4370     104314
MERIDIAN DATA INC                        589601103     106750      12200               X                    0          0      12200
MERIDIAN RESOURCE CORP                   58977Q109     189875      49000               X                    0          0      49000
MERIX CORP COM                           590049102     109038      14300               X                    0          0      14300
MERRILL LYNCH & CO INC                   590188108    2744817      34526   X                            34436          0         90
MERRILL LYNCH & CO INC                   590188108    8051363     101275               X                 6704         75      94496
MERRILL LYNCH MUNI NATL PORTFOLIO        590193207     218324      21362               X                21362          0          0
MESA AIR GROUP INC COM                   590479101     561445      74700               X                    0          0      74700
METACREATIONS CORP                       591016100     356500      62000               X                    0          0      62000
METAL MGMT INC                           591097100     161100     107400               X                    0          0     107400
METATEC INTL INC COM                     591398102     101400      16900               X                    0          0      16900
METROCALL INC                            591647102     289025     105100               X                    0          0     105100
METROMEDIA INTL GROUP INC                591695101     884250     117900               X                    0          0     117900
METTLER TOLEDO INTERNATIONAL             592688105    1581765      62030               X                    0          0      62030
METZLER GROUP INC COM                    592903108     406088      14700               X                    0          0      14700
MICHAEL ANTHONY JEWELERS INC             594060105      78822      19400               X                    0          0      19400
MICHAEL FOOD INC NEW                     594079105     347800      14800               X                    0          0      14800
MICHAELS STORES INC                      594087108    2122313      69300               X                    0          0      69300
MICRO LINEAR CORP                        594850109     104763      28900               X                    0          0      28900
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             144205285    3146493                              1387597       6760    1752136
</TABLE>


<PAGE>   131


<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   149
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

MICROSOFT CORP                           594918104   33849901     375326   X                           355406        730      19190
MICROSOFT CORP                           594918104   33343856     369715               X               106220       1480     262015
MICROAGE INC                             594928103     201708      52900               X                    0          0      52900
MICROTEST INC                            594941106      48213      20300               X                    0          0      20300
MICROSTRATEGY INC                        594972101    1950563      51500               X                    0          0      51500
MICROCIDE PHARMACEUTICALS IN             595018102     148177      31400               X                    0          0      31400
MICROFINANCIAL INC                       595072109     221852      15500               X                    0          0      15500
MICRON TECHNOLOGY INC                    595112103     643950      15900               X                  300          0      15600
MICROSEMI CORP                           595137100     303750      32400               X                    0          0      32400
MICROTOUCH SYS INC                       595145103     251388      16900               X                    0          0      16900
MICROWAVE PWR DEVICES INC                59517M103     184500      12000               X                    0          0      12000
MID ATLANTIC MED SVCS INC COM            59523C107     307113      31100               X                    0          0      31100
MID STATE FINANCIAL                      5954509A7     622954      11644               X                11644          0          0
MIDDLEBY CORP                            596278101     179775      28200               X                    0          0      28200
MIDWAY AIRLS CORP                        598126100     102500      10000               X                    0          0      10000
MIDWEST GRAIN PRODUCTS                   59832G104     239188      21500               X                    0          0      21500
MIKOHN GAMING CORP                       59862K108     111009      30100               X                    0          0      30100
MIKASA INC COM                           59862T109     443470      39200               X                    0          0      39200
MILACRON INC                             598709103     749250      40500               X                    0          0      40500
MILLENNIUM PHARMACEUTICALS INC           599902103    1011600      28100               X                    0          0      28100
MILLER HERMAN INC                        600544100     449400      21400               X                  600          0      20800
MILLER INDS INC TENN                     600551105     132317      33600               X                    0          0      33600
MILLS CORP                               601148109     626783      28900               X                    0          0      28900
MILWAUKEE GRAY IRON LLC                  602299018     850000        340   X                              340          0          0
MINERALS TECHNOLOGIES INC                603158106     736732      13200               X                    0          0      13200
MINIMED INC COM                          60365K108     400078       5200               X                    0          0       5200
MINNESOTA MNG & MFG CO                   604059105   10685897     122914   X                           118588          0       4326
MINNESOTA MNG & MFG CO                   604059105    9305322     107034               X                67959        800      38275
MIRAGE RESORTS INC                       60462E104     587925      35100               X                    0          0      35100
MISSISSIPPI CHEM CORP                    605288208     664929      67760               X                    0          0      67760
MITCHELL ENERGY & DEV CORP               606592202     618016      32000               X                    0          0      32000
MITCHELL ENERGY & DEV CORP               606592301     687225      37400               X                    0          0      37400
MOBIL CORP                               607059102   10666185     108012   X                           104546          0       3466
MOBIL CORP                               607059102   15374585     155692               X                33878       1692     120122
MOBILE AMER CORP FLA                     607235504      36075      11100               X                    0          0      11100
MOLECULAR RX                             608599106      10000      17857               X                17857          0          0
MONARCH DENTAL CORP                      609044102      72588      23000               X                    0          0      23000
MONDAVI ROBERT CORP                      609200100     418313      11500               X                    0          0      11500
AUTOMATED CASH MANAGEMENT TRUST          60934N864      22516      22516   X                            22516          0          0
MONRO MUFFLER BRAKE INC                  610236101     167200      20900               X                    0          0      20900
MONROE BANCORP CDT-COM                   610313108     779188      68500   X                            68500          0          0
MONSANTO CO                              611662107    5040405     127402   X                           124242         65       3095
MONSANTO CO                              611662107    5124200     129520               X                12270        400     116850
MONTEREY BAY BANCORP INC                 61239H107     154875      10500               X                    0          0      10500
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             138525471    2445532                              1044866       5167    1395499
</TABLE>


<PAGE>   132

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   150
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

MORGAN J P & CO INC                      616880100    6398230      45539   X                            44664          0        875
MORGAN J P & CO INC                      616880100    4138147      29453               X                15653          0      13800
MORGAN PRODUCTS LIMITED COMMON           617439104      98757      25900               X                    0          0      25900
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     266209       2594   X                             2594          0          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448    2778059      27070               X                11070          0      16000
MOSAIX INC                               619454101     375421      29300               X                    0          0      29300
MOTORCAR PTS & ACCESSORIES INC           620071100      68263      12700               X                    0          0      12700
MOTOROLA INC                             620076109    8076585      85241   X                            80341          0       4900
MOTOROLA INC                             620076109   10505880     110880               X                29955        850      80075
MOVADO GROUP INC                         624580106     763313      29500               X                    0          0      29500
MOVIE GALLERY INC                        624581104     178988      33300               X                    0          0      33300
MPATH INTERACTIVE INC                    62473C101     422400      19200               X                    0          0      19200
MUELLER INDS INC COM                     624756102    3363256      99100               X                    0          0      99100
MULTIPLE ZONES INTL INC                  624906103     227603      30600               X                    0          0      30600
MULTEX SYS INC                           625367107     420613      16100               X                    0          0      16100
MUTUAL SVGS BK FSB BAY CITY              628355109     140438      10700               X                    0          0      10700
FRANKLIN MUTUAL BEACON FUND              628380305     374901      24762   X                            24762          0          0
FRANKLIN MUTUAL BEACON FUND              628380305      17580       1161               X                  824          0        337
MYLEX CORP COM                           628546103     306926      52800               X                    0          0      52800
NABI COM                                 628716102     167655      59600               X                    0          0      59600
NCH CORP                                 628850109     594000      12000               X                    0          0      12000
NCS HEALTHCARE INC                       628874109     191961      35300               X                    0          0      35300
NS GROUP INC                             628916108     604950      65400               X                    0          0      65400
NMT MED INC                              629294109      75507      25700               X                    0          0      25700
NPS PHARMACEUTICALS INC                  62936P103     107988      16300               X                    0          0      16300
NUI CORP                                 629430109     237500       9500               X                    0          0       9500
NABISCO GROUP HLDG CORP                  62952P102       1252         64   X                               64          0          0
NABISCO GROUP HLDG CORP                  62952P102     468280      23937               X                  137          0      23800
NALCO CHEM CO                            629853102     793688      15300               X                 6000          0       9300
NASH FINCH CO                            631158102     281623      27900               X                    0          0      27900
NASHUA CORP                              631226107     162938      16500               X                    0          0      16500
NASTECH PHARMACEUTICAL INC               631728409      61953      18700               X                    0          0      18700
NATHANS FAMOUS INC NEW                   632347100      56188      15500               X                    0          0      15500
NATIONAL CITY CORP                       635405103  137394700    2097629   X                          1286618          0     811011
NATIONAL CITY CORP                       635405103   61271779     935447               X               534316      21628     379503
NATIONAL COMM BANCORP COM                635449101    2679688     122500               X                    0          0     122500
NATIONAL FUEL GAS CO N J                 636180101     286490       5907   X                             5747          0        160
NATIONAL GOLF PPTYS INC                  63623G109     705077      29000               X                    0          0      29000
NATIONAL HOME HEALTH CARE CO             636380107      52200      11600               X                    0          0      11600
NATIONAL-OILWELL INC                     637071101     718200      51300               X                    0          0      51300
NATIONAL PRESTO INDUSTRIES               637215104     749700      19600               X                    0          0      19600
NATIONAL R V HLDGS INC                   637277104     477725      19700               X                    0          0      19700
NATIONAL SEMICONDUCTOR CORP COM          637640103     541698      21400               X                    0          0      21400
NATIONAL STL CORP CL B                   637844309     464813      55500               X                    0          0      55500
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             248069122    4397184                              2042745      22478    2331961
</TABLE>


<PAGE>   133

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   151
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

NATIONAL TECHTEAM INC                    638108100     191950      34900               X                    0          0      34900
NATURAL ALTERNATIVES INTL INC            638842302      37818      11000               X                    0          0      11000
NATURAL MICRO SYSTEMS CORP               638882100     183610      19200               X                    0          0      19200
NATURAL WONDERS INC                      639014109      84800      21200               X                    0          0      21200
NAVISTAR INTL CORP NEW                   63934E108     250000       5000               X                    0          0       5000
NELSON THOMAS INC COM                    640376109     304825      27400               X                    0          0      27400
NEOPATH INC COM                          640517108      89900      23200               X                    0          0      23200
NET PERCEPTIONS INC                      64107U101     562775      25800               X                    0          0      25800
NETMANAGE INC COM                        641144100     105644      49000               X                    0          0      49000
NETRIX CORP                              641148101      44538      12500               X                    0          0      12500
NETWORK COMPUTING DEVICES INC            64120N100      65457      13600               X                    0          0      13600
NETWORK EQUIP TECHNOLOGIES               641208103     582625      59000               X                    0          0      59000
NETWORK PERIPHERALS INC                  64121R100     217000      11200               X                    0          0      11200
NEUROGEN CORPORATION COMMON              64124E106     178425      12200               X                    0          0      12200
NEUROCRINE BIOSCIENCES INC               64125C109     247468      47700               X                    0          0      47700
NEVADA MANHATTAN GROUP INC               64133N105      15730      60500               X                60500          0          0
NEW BRUNSWICK SCIENTIFIC INC             642876106      71050      10150               X                    0          0      10150
NEW CENTY ENERGIES INC                   64352U103      30080        775   X                              775          0          0
NEW CENTY ENERGIES INC                   64352U103     341554       8800               X                    0          0       8800
NEW ERA OF NETWORKS INC                  644312100    1177538      26800               X                    0          0      26800
NEW MEXICO & ARIZ LD CO                  647072107     134963      18300               X                    0          0      18300
NEW PERSPECTIVE FD INC COM               648018109     218851       8437   X                             8437          0          0
NEW PERSPECTIVE FD INC COM               648018109     148790       5736               X                 3048          0       2688
NEW YORK TIMES CO                        650111107      22088        600   X                              600          0          0
NEW YORK TIMES CO                        650111107    1325268      36000               X                    0          0      36000
NEWCOR INC                               651186108      69225      14200               X                    0          0      14200
NEWELL RUBBERMAID INC                    651229106    2819507      60798   X                            57748          0       3050
NEWELL RUBBERMAID INC                    651229106    1615473      34835               X                13564        700      20571
NEWFIELD EXPL CO                         651290108    1487307      52300               X                    0          0      52300
NEWMONT MNG CORP                         651639106       5963        300   X                              300          0          0
NEWMONT MNG CORP                         651639106     242475      12200               X                    0          0      12200
NEWPARK RES INC                          651718504     381625      43000               X                    0          0      43000
NEXTEL COMMUNICATIONS INC                65332V103    1053948      21000               X                    0          0      21000
NEXTLINK COMMUNICATIONS INC              65333H707    1587163      21340               X                    0          0      21340
NIAGARA CORP                             653349100     147319      25900               X                    0          0      25900
NIAGARA MOHAWK HLDGS INC                 653520106     220063      13700               X                    0          0      13700
NICHOLAS FD INC COM                      653735100     237892       2816   X                             2816          0          0
NIELSEN MEDIA RESH INC                   653929307       6786        232   X                              232          0          0
NIELSEN MEDIA RESH INC                   653929307     770708      26349               X                  849          0      25500
NICOR INC                                654086107     159865       4200   X                             3600          0        600
NICOR INC                                654086107     171284       4500               X                 1000          0       3500
NIKE INC                                 654106103     930979      14690   X                            12950          0       1740
NIKE INC                                 654106103     163191       2575               X                 2125          0        450
NISOURCE INC                             65473P105    1262978      48928   X                            48528          0        400
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              19966498     952861                               217072        700     735089
</TABLE>


<PAGE>   134

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   152
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

NISOURCE INC                             65473P105    1149763      44542               X                34912          0       9630
NOBEL LEARNING CMNTYS INC                654889104      93000      18600               X                    0          0      18600
NOKIA CORP                               654902204     956833      10450   X                            10450          0          0
NOKIA CORP                               654902204     265533       2900               X                 1250          0       1650
NOODLE KIDOODLE INC                      655370104      93509      17600               X                    0          0      17600
NORDSTROM INC                            655664100     416740      12440   X                             8300          0       4140
NORDSTROM INC                            655664100    1162450      34700               X                10100          0      24600
NORFOLK SOUTHN CORP                      655844108    2914172      96736   X                            85309          0      11427
NORFOLK SOUTHN CORP                      655844108    4341916     144130               X                69638      16632      57860
NORSTAN INC                              656535101     223884      18000               X                    0          0      18000
NORTEL NETWORKS CORP                     656569100      86813       1000   X                             1000          0          0
NORTEL NETWORKS CORP                     656569100     677141       7800               X                 7800          0          0
NORTH FACE INC COM                       659317101     346613      35100               X                    0          0      35100
NORTHERN STS PWR CO MINN                 665772109      33766       1396   X                             1396          0          0
NORTHERN STS PWR CO MINN                 665772109     692502      28630               X                 5320          0      23310
NORTHERN TR CORP                         665859104    2690489      27737   X                            26707          0       1030
NORTHERN TR CORP                         665859104     922858       9514               X                 9034          0        480
NORTHPOINT COMMUNICATIONS GROUP INC      666610100     277400       7600               X                    0          0       7600
NORTHROP GRUMMAN CORP                    666807102      13263        200   X                              200          0          0
NORTHROP GRUMMAN CORP                    666807102     331565       5000               X                    0          0       5000
NORTHWESTERN STEEL & WIRE CO NEW         668367204      27724      30600               X                    0          0      30600
NU HORIZONS ELECTRS INC                  669908105     163862      23200               X                    0          0      23200
NOVACARE INC                             669930109     239550     159700               X                    0          0     159700
NOVELL INC                               670006105     689000      26000               X                  100          0      25900
NOVOSTE CORP                             67010C100     205800       9800               X                    0          0       9800
NUCOR CORP                               670346105    1115742      23520   X                            23220          0        300
NUCOR CORP                               670346105    1110049      23400               X                15100          0       8300
NUEVO ENERGY CO                          670509108     659850      49800               X                    0          0      49800
NUMEREX CORP COM                         67053A102     112625      26500               X                    0          0      26500
NUVEEN PREMIUM INCOME MUN FD             67062T100       8316        581   X                              581          0          0
NUVEEN PREMIUM INCOME MUN FD             67062T100     146222      10216               X                10216          0          0
NUVEEN MUN BD FD INC                     670623107      22661       2390   X                             2390          0          0
NUVEEN MUN BD FD INC                     670623107     328721      34675               X                34675          0          0
NUVEEN FLAGSHIP MUN TR                   67065Q400     140114      15034   X                            15034          0          0
NUVEEN FLAGSHIP                          67065Q848       1371        128   X                              128          0          0
NUVEEN FLAGSHIP                          67065Q848     112923      10583               X                10583          0          0
ODS NETWORKS INC                         67082N109     161458      41000               X                    0          0      41000
O'CHARLLEY'S INCORPORATED COMMON         670823103     316800      19800               X                    0          0      19800
O I CORPORATION COMMON                   670841105      45450      10100               X                    0          0      10100
NUVEEN MUNICIPAL VALUE FD                670928100     239439      26060   X                            26060          0          0
NUVEEN MUNICIPAL VALUE FD                670928100      12863       1400               X                 1400          0          0
NUVEEN TAX EXEMPT UNIT TR INSD NATL      67101A286     268480       2616   X                             2616          0          0
OSI PHARMACEUTICALS INC                  671040103     178075      41900               X                    0          0      41900
OAK TECHNOLOGY INC COM                   671802106     363950     100400               X                    0          0     100400
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              24361255    1213478                               413519      16632     783327
</TABLE>

<PAGE>   135

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   153
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

OAKWOOD HOMES CORP                       674098108      44625       3400   X                             3400          0          0
OAKWOOD HOMES CORP                       674098108     483000      36800               X                 4700          0      32100
OBJECTIVE SYS INTEGRATORS INC COM        674424106     225500      82000               X                    0          0      82000
OCCIDENTAL PETE CORP                     674599105       1415         67   X                               67          0          0
OCCIDENTAL PETE CORP                     674599105     547138      25900               X                    0          0      25900
OCEAN FINL CORP                          674904107     677875      37400               X                    0          0      37400
OCEANEERING INTL INC                     675232102     738525      45800               X                    0          0      45800
OCWEN FINL CORP                          675746101     742838      83700               X                    0          0      83700
OFFSHORE LOGISTICS INC                   676255102     611875      55000               X                    0          0      55000
OLD DOMINION FGHT LINES INC              679580100     228000      19200               X                    0          0      19200
OLD NATL BANCORP IND                     680033107     136501       4541   X                             4008          0        533
OLD NATL BANCORP IND                     680033107   10593104     352364               X                    0     330903      21461
OLSTEN CORP                              681385100       6313       1000   X                             1000          0          0
OLSTEN CORP                              681385100     883820     140000               X                    0          0     140000
OLYMPIC STEEL INC                        68162K106     176225      26600               X                    0          0      26600
OMNICOM GROUP INC                        681919106    2654800      33185   X                            31310         40       1835
OMNICOM GROUP INC                        681919106     261600       3270               X                  780          0       2490
ONE GROUP INTERMEDIATE TAX FREE          681937595     321487      30102   X                            30102          0          0
OMTOOL LTD                               681974101     139146      42000               X                    0          0      42000
OMEGA PROTEIN CORP                       68210P107      78750      15000               X                    0          0      15000
OMNI ENERGY SERVICES CORP                68210T109      35000      10000               X                    0          0      10000
ON ASSIGNMENT INC                        682159108     990138      37900               X                    0          0      37900
ON COMMAND CORP                          682160106     276713      15700               X                    0          0      15700
ONE GROUP                                68231N651    1423197     114405               X                    0          0     114405
ONE PRICE CLOTHING STORES INC COM        682411103     126825      26700               X                    0          0      26700
ONYX ACCEP CORP                          682914106     138013      18100               X                    0          0      18100
OPTA FOOD INGREDIENTS INC COM            68381N105      91814      28800               X                    0          0      28800
OPTICAL SENSORS INC                      68384P107      16127      17800               X                    0          0      17800
ORACLE CORP                              68389X105     508910      13708   X                            12584          0       1124
ORACLE CORP                              68389X105    6529397     175876               X                 9372          0     166504
OPTI INC                                 683960108     212730      35000               X                    0          0      35000
OPPENHEIMER                              683977102     109714      10928   X                            10928          0          0
ORANGE CO INC NEW                        684177108     118548      21800               X                    0          0      21800
OREGON STL MLS INC                       686079104    1070365      80400               X                    0          0      80400
OROAMERICA INC                           687027102     101500      14500               X                    0          0      14500
ORTHOLOGIC CORP NEW COM                  68750J107     158016      64000               X                    0          0      64000
OSHKOSH TRUCK CORP                       688239201    1026385      20400               X                    0          0      20400
OSHMANS SPORTING GOODS INC               688260108      41395      15400               X                    0          0      15400
OSMONICS INC                             688350107     405638      37300               X                    0          0      37300
OSTEOTECH INC                            688582105     480125      16700               X                    0          0      16700
O'SULLIVAN CORP COM                      688605104     499708      41000               X                    0          0      41000
O'SULLIVAN INDS HLDGS INC                688609106     698700      41100               X                    0          0      41100
OUTDOOR SYS INC COM                      690057104     233418       6395               X                    0          0       6395
OUTSOURCE INTL INC                       690131107      59483      15600               X                    0          0      15600
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              34904396    1916841                               108251     330943    1477647
</TABLE>


<PAGE>   136

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   154
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

OVERSEAS SHIPHOLDING GROUP INC COM       690368105     475800      36600               X                    0          0      36600
OWENS CORNING                            69073F103     371250      10800               X                    0          0      10800
OWENS ILL INC                            690768403     372643      11400               X                    0          0      11400
OWOSSO CORP                              691217103     117875      20500               X                    0          0      20500
OXFORD INDS INC                          691497309     506803      17900               X                    0          0      17900
P A M TRANSN SVCS INC                    693149106     171825      17400               X                    0          0      17400
PC SERVICE SOURCE INC                    693258105      46137      12100               X                    0          0      12100
P-COM INC COM                            693262107     565272     108000               X                    0          0     108000
PECO ENERGY CO                           693304107     173781       4150   X                             4150          0          0
PECO ENERGY CO                           693304107     716063      17100               X                    0          0      17100
PG&E CORP COM                            69331C108       8888        274   X                              274          0          0
PG&E CORP COM                            69331C108    1884648      58100               X                    0          0      58100
PE CORP                                  69332S102     921443       8030               X                   30          0       8000
PICO HLDGS INC                           693366205     298693      11800               X                    0          0      11800
PLM INTL INC                             69341L205     120750      21000               X                    0          0      21000
PMR CORP                                 693451106      56984      17200               X                    0          0      17200
PNC BK CORP                              693475105     188434       3270   X                             3270          0          0
PNC BK CORP                              693475105    2487095      43160               X                 5160          0      38000
P P & L RES INC                          693499105     107625       3500   X                             3500          0          0
P P & L RES INC                          693499105     669428      21770               X                    0          0      21770
PPG INDS INC                             693506107      39749        673   X                              673          0          0
PPG INDS INC                             693506107    2480055      41990               X                 8190          0      33800
PPT VISION INC                           693519100      71000      14200               X                    0          0      14200
PXRE CORP COM                            693674103     668813      36900               X                    0          0      36900
PACCAR INC COM                           693718108     640500      12000               X                    0          0      12000
PACIFIC SUNWEAR CALIF INC                694873100     296156      12150               X                    0          0      12150
PACIFICORP                               695114108      64680       3520   X                             3520          0          0
PACIFICORP                               695114108     561026      30532               X                 8732          0      21800
PAINE WEBBER GROUP INC                   695629105     100513       2150   X                             2150          0          0
PAINE WEBBER GROUP INC                   695629105     479188      10250               X                 2350          0       7900
PALL CORP                                696429307     209677       9450   X                             8150          0       1300
PALL CORP                                696429307     251767      11347               X                 2347          0       9000
PANERA BREAD CO                          69840W108     187425      29400               X                    0          0      29400
PAR TECHNOLOGY CORP                      698884103     165938      22500               X                    0          0      22500
PARAMETRIC TECHNOLOGY CORP               699173100       8048        580   X                              580          0          0
PARAMETRIC TECHNOLOGY CORP               699173100     367688      26500               X                 3900          0      22600
PARK ELECTROCHEMICAL                     700416209     813625      28300               X                  400          0      27900
PARK OHIO HLDGS CORP                     700666100     228663      13500               X                    0          0      13500
PARK PL ENTMT CORP                       700690100       4780        500   X                              500          0          0
PARK PL ENTMT CORP                       700690100     262873      27500               X                    0          0      27500
PARKER DRILLING CO                       701081101     595015     179600               X                    0          0     179600
PARKER HANNIFIN CORP                     701094104     289872       6336   X                             6336          0          0
PARKER HANNIFIN CORP                     701094104     773175      16900               X                    0          0      16900
PARKSTONE GROUP FDS                      701475105   10945341    1136588   X                          1132316          0       4272
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              30767004    2117420                              1196528          0     920892
</TABLE>


<PAGE>   137

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   155
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

PARKSTONE GROUP FDS                      701475105    1245950     129382               X                39064          0      90318
PARKSTONE EQUITY INCOME FUND             701475204    6455327     351215   X                           350115          0       1100
PARKSTONE EQUITY INCOME FUND             701475204     715721      38940               X                 7231          0      31709
PARKSTONE MUNICIPAL BOND FUND #393       701475303    8785685     862187   X                           862187          0          0
PARKSTONE MUNICIPAL BOND FUND #393       701475303     394149      38680               X                14730          0      23950
PARKSTONE LARGE CAPITALIZATION FD        701475329   11517347     547142   X                           547142          0          0
PARKSTONE LARGE CAPITALIZATION FD        701475329     995050      47271               X                 7884       8132      31255
PARKSTONE MID CAPITALIZATION FUND        701475402    9356981     620078   X                           620078          0          0
PARKSTONE MID CAPITALIZATION FUND        701475402     724110      47986               X                27214          0      20772
PARKSTONE LTD MATURITY BOND FD           701475600    3085482     328243   X                           310033          0      18210
PARKSTONE LTD MATURITY BOND FD           701475600     667263      70985               X                38578          0      32408
PARKSTONE SMALL CAPITALIZATION FUND      701475709    2249704     108524   X                           108482          0         42
PARKSTONE SMALL CAPITALIZATION FUND      701475709     270528      13050               X                 3217          0       9833
PARKSTONE INTERMEDIATE GOVT OBLIG FD     701475808    3961671     407579   X                           406279          0       1300
PARKSTONE INTERMEDIATE GOVT OBLIG FD     701475808     557585      57365               X                23982          0      33382
PARKSTONE INTERNATIONAL DISCOVERY        701475824    3275301     204706   X                           204706          0          0
PARKSTONE INTERNATIONAL DISCOVERY        701475824     473593      29600               X                 4214          0      25385
PARKSTONE U S GOVT INCOME FD             701475832    4778123     526225   X                           526225          0          0
PARKSTONE U S GOVT INCOME FD             701475832     745216      82072               X                48437          0      33635
PARKSTONE BALANCED ALLOCATION FD         701475840     268676      19015   X                            19015          0          0
PARKSTONE BALANCED ALLOCATION FD         701475840      94560       6692               X                    0          0       6692
PARKSTONE MICHIGAN MUNICIPAL FUND        701475881     361389      33743   X                            33743          0          0
PARKSTONE MICHIGAN MUNICIPAL FUND        701475881     272482      25442               X                 3949          0      21493
PATINA OIL & GAS CORP                    703224105     297342      47100               X                    0          0      47100
PATRICK INDS INC                         703343103     218750      14000               X                 1000          0      13000
PATTERSON ENERGY INC                     703414102     800863      81100               X                    0          0      81100
PAUL HARRIS STORES INC                   703555201     214610      31500               X                    0          0      31500
PAXAR CORP                               704227107      88750      10000               X                    0          0      10000
PAXSON COMMUNICATIONS CORP               704231109     531675      41700               X                    0          0      41700
PAYCHEX INC                              704326107    1421115      44584   X                            44584          0          0
PAYCHEX INC                              704326107     814725      25560               X                11640          0      13920
PAYMENTECH INC                           704384106    2364950      93200               X                    0          0      93200
PEDIATRIC SVCS AMERICA INC COM           705323103      24877      17300               X                    0          0      17300
PEGASUS SYSTEMS INC                      705906105     393099      10500               X                    0          0      10500
PENFORD CORP                             707051108     274625      16900               X                    0          0      16900
PENN-AMER GROUP INC                      707247102     140063      13500               X                    0          0      13500
PENN NATL GAMING INC                     707569109     170200      18400               X                    0          0      18400
PENN TREATY AMERN CORP                   707874103     486073      20200               X                    0          0      20200
PENN VA CORP                             707882106     444375      22500               X                    0          0      22500
PENNCORP FINL GROUP INC COM              708094107      31700      63400               X                    0          0      63400
PENNEY J C CO INC                        708160106     342272       7048   X                             7048          0          0
PENNEY J C CO INC                        708160106    2486231      51196               X                 1996       5500      43700
PENNFED FINL SVCS INC                    708167101     359100      22800               X                    0          0      22800
PENTACON INC                             709620108      49380      10000               X                    0          0      10000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              73206668    5258610                              4272773      13632     972204
</TABLE>


<PAGE>   138

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   156
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

PENWEST PHARMACEUTICALS CO               709754105     140400      17550               X                    0          0      17550
PEOPLES HERITAGE FINL GROUP INC          711147108     190651      10134               X                 4134          0       6000
PEOPLESOFT INC COM                       712713106     294113      17050               X                  250          0      16800
PEPSICO INC                              713448108   11459037     296191   X                           288593          0       7598
PEPSICO INC                              713448108   21425685     553807               X               149290        300     404217
PERCEPTRON INC                           71361F100     116813      25600               X                    0          0      25600
PERFORMANCE FOOD GROUP CO                713755106     318100      11700               X                    0          0      11700
PERIPHONICS CORP                         714005105     625525      38200               X                    0          0      38200
PERRIGO CO                               714290103     597038      78300               X                    0          0      78300
PERSONNEL GROUP OF AMER INC              715338109     229000      22900               X                    0          0      22900
PETCO ANIMAL SUPPLIES INC                716016100     834750      53000               X                    0          0      53000
PETROLEUM DEV CORP                       716578109     157469      37600               X                    0          0      37600
PHARMACIA & UPJOHN INC                   716941109     148282       2610   X                             2610          0          0
PHARMACIA & UPJOHN INC                   716941109    2344104      41260               X                 4060          0      37200
PFIZER INC                               717081103   18920547     173583   X                           164688        255       8640
PFIZER INC                               717081103   11140563     102207               X                60202        500      41505
PHAR-MOR INC                             717113203     164900      38800               X                    0          0      38800
PHELPS DODGE CORP                        717265102     351188       5670   X                             5670          0          0
PHELPS DODGE CORP                        717265102     266333       4300               X                    0          0       4300
PHILIP MORRIS COS INC                    718154107   10875958     270627   X                           256527          0      14100
PHILIP MORRIS COS INC                    718154107   20937305     520984               X               188034        500     332450
PHILLIPS PETE CO                         718507106     114361       2273   X                             2148          0        125
PHILLIPS PETE CO                         718507106    1871644      37200               X                  900          0      36300
PHILLIPS-VAN HEUSEN                      718592108       5000        500   X                              500          0          0
PHILLIPS-VAN HEUSEN                      718592108     780000      78000               X                    0          0      78000
PHOENIX INVT PARTNERS LTD                719085102     834900      96800               X                    0          0      96800
PHOENIX TECHNOLOGIES LTD                 719153108     766838      42900               X                    0          0      42900
PHONE COM INC                            71920Q100     252000       4500               X                    0          0       4500
PHOTON DYNAMICS INC                      719364101     253200      21100               X                    0          0      21100
PHYCOR INC                               71940F100    1119787     151200               X                    0          0     151200
PICCADILLY CAFETERIAS INC                719567109     142984      17200               X                    0          0      17200
PICTURETEL CORP                          720035302     957600     119700               X                    0          0     119700
PILGRIM INVT FDS INC                     72142U101     178904      10113               X                10113          0          0
PILLOWTEX CORP                           721501104     464921      28500               X                    0          0      28500
PINNACLE WEST CAP CORP                   723484101     257600       6400               X                  300          0       6100
PIONEER HI BRED INTL INC                 723686101       1752         45   X                               45          0          0
PIONEER HI BRED INTL INC                 723686101     689203      17700               X                    0          0      17700
PIONEER STD ELECTRS INC                  723877106     842400      70200               X                    0          0      70200
PITNEY BOWES INC                         724479100     379204       5902   X                             5902          0          0
PITNEY BOWES INC                         724479100     274026       4265               X                 2700          0       1565
PITT DESMOINES INC                       724508106    1112500      17800               X                    0          0      17800
PITTSON BAX GROUP COM                    725701882       4750        500   X                              500          0          0
PITTSON BAX GROUP COM                    725701882     554800      58400               X                    0          0      58400
PLANAR SYS INC                           726900103     272025      35100               X                    0          0      35100
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             113668160    3148371                              1147166       1555    1999650
</TABLE>


<PAGE>   139

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   157
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

PLANET HOLLYWOOD INTL INC                727025108     219000     292000               X                    0          0     292000
PLAYERS INTL INC                         727903106     575040      80000               X                    0          0      80000
PLAY BY PLAY TOYS & NOVELTIE             72811K103      42168      10300               X                    0          0      10300
PLUMA INC                                729272104       2839      18200               X                    0          0      18200
POLYMEDICA INDS INC                      731738100     175000      17500               X                    0          0      17500
POLYMER GROUP INC                        731745105    1139750      97000               X                    0          0      97000
POOL ENERGY SVCS CO                      732788104    1161904      57200               X                    0          0      57200
POPE & TALBOT INC                        732827100     443918      36800               X                    0          0      36800
POST PPTYS INC                           737464107    2115600      51600               X                  600          0      51000
POWERHOUSE TECHNOLOGIES INC              739323103     541238      27800               X                    0          0      27800
PRAEGITZER INDS INC                      739422103      87289      14700               X                    0          0      14700
PRAXAIR INC                              74005P104      44534        910   X                              910          0          0
PRAXAIR INC                              74005P104     660663      13500               X                 1900          0      11600
PRECISION RESPONSE CORP                  740314109     303754      54300               X                    0          0      54300
PRESIDENTIAL LIFE CORP                   740884101    1004800      51200               X                    0          0      51200
PRICE COMMUNICATIONS CORP COM NEW        741437305    1710930     114062               X                    0          0     114062
PRICE T ROWE ASSOC INC                   741477103    6739034     175610   X                           166250        680       8680
PRICE T ROWE ASSOC INC                   741477103    2628841      68504               X                41437          0      27067
T ROWE PRICE                             741486104     242196      19967   X                            19967          0          0
PRIME MED SVCS INC NEW COM               74156D108     323763      43900               X                    0          0      43900
PRIME BANCSHARES INC TEXAS               74157H108     343200      19200               X                    0          0      19200
PRIMARK CORP                             741903108       1403         50   X                               50          0          0
PRIMARK CORP                             741903108    1310542      46700               X                    0          0      46700
PRIME HOSPITALITY CORP                   741917108    1435200     119600               X                    0          0     119600
PRIDE INTL INC                           741932107     736241      69700               X                    0          0      69700
PROCTER & GAMBLE CO COM                  742718109   34080202     381851   X                           365591        140      16120
PROCTER & GAMBLE CO COM                  742718109   19074956     213725               X                95619      31400      86706
PROCURENET INC                           742804909       2985      19900               X                    0          0      19900
PROFIT RECOVERY GROUP INTL INC           743168106    1741118      36800               X                    0          0      36800
PROGRAMMERS PARADISE INC                 743205106     135975      11100               X                    0          0      11100
PROMEDCO MGMT CO                         74342L105     267542      69600               X                    0          0      69600
PROTECTION ONE INC COM                   743663304     301000      56000               X                    0          0      56000
PROTOCOL SYS INC COM                     74371R106     153778      17700               X                    0          0      17700
PROVIDENT COS INC                        743862104     644000      16100               X                    0          0      16100
PROVIDENT FINL HLDGS INC                 743868101     216000      10800               X                    0          0      10800
PROVIDIAN FINL CORP                      74406A102      41963        450   X                              450          0          0
PROVIDIAN FINL CORP                      74406A102     289075       3100               X                  360          0       2740
PUBLIC SVC CO N C INC COM                744516105     745875      25500               X                    0          0      25500
PUTNAM FD FOR GROWTH & INCOME            746761105      12254        547   X                              547          0          0
PUTNAM FD FOR GROWTH & INCOME            746761105     343715      15331               X                15331          0          0
PUTNAM MASTER INTER INCOME TR            746909100      68005       9380   X                             5551          0       3829
PUTNAM MASTER INTER INCOME TR            746909100      34003       4690               X                 4690          0          0
QMS INCORPORATED COMMON                  74726G102     111650      20300               X                    0          0      20300
QUAKER FABRIC CORP NEW                   747399103     174640      41700               X                    0          0      41700
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              82427583    2454877                               719253      32220    1703404
</TABLE>


<PAGE>   140

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   158
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

QUALITY DINING INC COM                   74756P105      99825      36300               X                  200          0      36100
QUALITY SYS INC                          747582104      97538      15300               X                    0          0      15300
QUANEX CORP COM                          747620102    1043100      36600               X                    0          0      36600
QUANTUM CORP COM                         747906105       2413        100   X                              100          0          0
QUANTUM CORP COM                         747906105     255725      10600               X                    0          0      10600
QUEST DIAGNOSTICS INC                    74834L100    2066813      75500               X                  100          0      75400
QUINTEL COMMUNICATIONS INC COM           748762101      62100      41400               X                    0          0      41400
R & B FALCON CORP                        74912E101      98438      10500               X                    0          0      10500
QWEST COMMUNICATIONS INTL INC COM        749121109     890221      26925   X                            24825          0       2100
QWEST COMMUNICATIONS INTL INC COM        749121109     325671       9850               X                 9350          0        500
R & B INC                                749124103     164175      19900               X                    0          0      19900
RCM TECHNOLOGIES INC                     749360400     454475      34300               X                    0          0      34300
RDO EQUIPMENT CO                         749413100     131250      14000               X                    0          0      14000
RLI CORP                                 749607107     995875      25700               X                    0          0      25700
RPM INC OHIO COM                         749685103     157912      11130   X                            11130          0          0
RTI INTL METALS INC                      74973W107     546394      37200               X                    0          0      37200
RTW INC COM                              74974R107     162150      27600               X                    0          0      27600
RMH TELESERVICES INC                     749938106      90968      23100               X                    0          0      23100
RADIAN GROUP INC                         750236101    1447378      29651               X                    0          0      29651
RADIANCE MEDICAL SYSTEMS INC             750241101      71981      24500               X                    0          0      24500
RADIO ONE INC                            75040P108     204600       4400               X                    0          0       4400
RAILAMERICA INC                          750753105     191822      18600               X                    0          0      18600
RAILTEX INC COM                          750766107     396825      28600               X                    0          0      28600
RAIN FOREST CAFE                         75086K104     320994      63400               X                    0          0      63400
RALSTON RALSTON PURINA CO COM            751277302    5753908     189037   X                            92407          0      96630
RALSTON RALSTON PURINA CO COM            751277302    2520266      82800               X                 1800          0      81000
RANGE RES CORP                           75281A109     557988      91100               X                    0          0      91100
RARE MEDIUM GROUP INC                    75382N109     200252      16100               X                    0          0      16100
RARE HOSPITALITY INTERNATIONAL INC       753820109     775200      30400               X                    0          0      30400
RAVEN INDS INC                           754212108     184000      11500               X                    0          0      11500
RAYCHEM CORP COM                         754603108     225700       6100               X                    0          0       6100
RAYTHEON CO                              755111309     162545       2360   X                             2260          0        100
RAYTHEON CO                              755111309    1878566      27275               X                 3575          0      23700
RAYTHEON CO                              755111408      96938       1375   X                             1375          0          0
RAYTHEON CO                              755111408    2072700      29400               X                 4600          0      24800
RAZORFISH INC                            755236106     300210       8100               X                    0          0       8100
READ-RITE CORP COM                       755246105     458402      73900               X                    0          0      73900
REA MAGNET WIRE CO. INC. CLASS - B       755990108    5917715     139998   X                           139998          0          0
REALTY INFORMATION GROUP INC             75612B107     856950      19700               X                    0          0      19700
RECOTON CORP                             756268108     345572      38000               X                    0          0      38000
RED ROOF INNS INC COM                    757005103     672675      37500               X                    0          0      37500
REDBACK NETWORKS INC COM                 757209101     226013       1800               X                    0          0       1800
REDHOOK ALE BREWERY INC COM              757473103      72652      18900               X                    0          0      18900
REGENERON PHARMACEUTICALS                75886F107     280487      35900               X                    0          0      35900
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              33837382    1486401                               291720          0    1194681
</TABLE>


<PAGE>   141

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   159
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

REGIS CORP MINN                          758932107     694606      36200               X                    0          0      36200
REGIONS FINL CORP COM                    758940100     163362       4250   X                             4250          0          0
REGIONS FINL CORP COM                    758940100    1128155      29350               X                 1250          0      28100
RELIANT ENERGY INC                       75952J108     120169       4350   X                             4350          0          0
RELIANT ENERGY INC                       75952J108    1277739      46253               X                 6153          0      40100
RELIASTAR FINL CORP COM                  75952U103     346719       7925   X                             7925          0          0
RELIABILITY INC                          759903107      81375      15500               X                    0          0      15500
RENAL CARE GROUP INC                     759930100     635231      24550               X                    0          0      24550
REPTRON ELECTRONICS INC                  76026W109      56652      15900               X                    0          0      15900
REPUBLIC N Y CORP COM                    760719104     545504       8000               X                    0          0       8000
REPUBLIC SECURITY FINL CORP              760758102     416238      49700               X                    0          0      49700
RESEARCH IN MOTION LTD                   760975102     330986      16345               X                    0          0      16345
RESMED INC COM                           761152107     706904      21300               X                    0          0      21300
RESOURCE AMER INC                        761195205     303050      20900               X                    0          0      20900
RESOURCE BANCSHARES MTG GROU             761197102     604750      59000               X                    0          0      59000
RESPONSE ONCOLOGY INC                    761232305      81970      27900               X                    0          0      27900
REUTERS GROUP PLC-SPONS ADR              76132M102     260131       3209   X                             3037          0        172
REUTERS GROUP PLC-SPONS ADR              76132M102     449494       5545               X                 2520          0       3025
REX STORES CORP                          761624105     643961      21600               X                    0          0      21600
REYNOLDS METALS CO COM                   761763101     371700       6300               X                    0          0       6300
REYNOLDS R J TOB HLDGS INC               76182K105        667         21   X                               21          0          0
REYNOLDS R J TOB HLDGS INC               76182K105     253302       7978               X                   45          0       7933
RHYTHMS NETCONNECTIONS INC               762430205     624613      10700               X                    0          0      10700
RIDDELL SPORTS INC                       765670104      77575      21400               X                    0          0      21400
RIGGS NATL CORP WASH DC                  766570105     524357      25500               X                    0          0      25500
RITE AID CORP COM                        767754104      88650       3600   X                             3600          0          0
RITE AID CORP COM                        767754104     470338      19100               X                  200          0      18900
RIVERVIEW BANCORP INC                    769397100     169875      15100               X                    0          0      15100
ROADHOUSE GRILL                          769725102     171251      26600               X                    0          0      26600
ROANOKE ELEC STL CORP                    769841107     540363      31100               X                    0          0      31100
ROBOTIC VISION SYSTEMS INC COM           771074101     134250      35800               X                    0          0      35800
ROCK BOTTOM RESTURANTS INC               771833100     206354      21300               X                    0          0      21300
ROCK OF AGES CORP                        772632105     241900      23600               X                    0          0      23600
ROCK-TENN CO                             772739207     876120      52500               X                    0          0      52500
ROCKWELL INTL CORP NEW                   773903109     593528       9770   X                             9770          0          0
ROCKWELL INTL CORP NEW                   773903109    1823351      30014               X                16014          0      14000
ROCKSHOX INC                             774066104      45750      36600               X                    0          0      36600
ROCKY SHOES                              774830103     116382      14000               X                    0          0      14000
ROFIN SINAR TECHNOLOGIES INC             775043102      91450      11800               X                    0          0      11800
ROHM & HAAS CO COM                       775371107     172343       4020   X                             4020          0          0
ROHM & HAAS CO COM                       775371107    1861607      43419               X                 1858          0      41562
ROLLINS TRUCK LEASING CORP               775741101     958975      86200               X                    0          0      86200
ROMAC INTL INC                           775835101     323938      36500               X                    0          0      36500
ROUGE INDS INC DEL                       779088103     363675      37300               X                    0          0      37300
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              19949310    1027999                                65013          0     962987
</TABLE>


<PAGE>   142

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   160
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

T ROWE PRICE INTL STOCK FUNDS INC        77956H203     336333      21532   X                            21532          0          0
T ROWE PRICE INTL STOCK FUNDS INC        77956H203      37511       2401               X                 2146          0        256
ROYAL DUTCH PETROLEUM CO                 780257804    4976891      82604   X                            82304          0        300
ROYAL DUTCH PETROLEUM CO                 780257804    9341522     155046               X                28546          0     126500
RURAL/METRO CORP COM                     781748108     123200      12800               X                    0          0      12800
RUSH ENTERPISES INC                      781846100     217688      13500               X                    0          0      13500
RUSS BERRIE & CO INC COM                 782233100     660825      26700               X                    0          0      26700
RYANS FAMILY STEAK HOUSES INC COM        783519101     702150      60400               X                    0          0      60400
RYDER SYSTEM INC COM                     783549108     234325       9100               X                    0          0       9100
RYLAND GROUP INC COM                     783764103    1092518      36800               X                    0          0      36800
S&K FAMOUS BRANDS INC                    783774102     157278      16500               X                    0          0      16500
SBC COMMUNICATIONS INC COM               78387G103    8328827     143600   X                           140650          0       2950
SBC COMMUNICATIONS INC COM               78387G103   10624382     183179               X                43132       1400     138647
SBS TECHNOLOGIES INC                     78387P103     291600      14400               X                    0          0      14400
SCPIE HLDGS INC                          78402P104     871088      26700               X                    0          0      26700
SDL INC COM                              784076101    1797418      35200               X                    0          0      35200
SED INTL HLDGS INC                       784109100      69350      29200               X                    0          0      29200
SJW CORP                                 784305104     326463       4100               X                    0          0       4100
SLM HLDG CORP                            78442A109     549756      12000               X                    0          0      12000
SMC CORP                                 784460107      58425      11400               X                    0          0      11400
SPDR TR                                  78462F103    3627075      26475   X                            24907        570        998
SPDR TR                                  78462F103    6551340      47820               X                 3060          0      44760
STM WIRELESS INC                         784776106      53400      17800               X                    0          0      17800
S3 INC COM                               784849101    1249516     137400               X                    0          0     137400
SAFECO CORP COM                          786429100     653050      14800               X                    0          0      14800
SAFEWAY INC COM NEW                      786514208    6428021     129859   X                           125224        315       4320
SAFEWAY INC COM NEW                      786514208    1973070      39860               X                 5930          0      33930
ST JUDE MEDICAL INC COM                  790849103     220875       6200               X                    0          0       6200
ST PAUL COS INC COM                      792860108      17052        536   X                              536          0          0
ST PAUL COS INC COM                      792860108    1097549      34500               X                    0          0      34500
SALESLOGIX CORP                          79466P105     330225      22200               X                    0          0      22200
SANCHEZ COMPUTER ASSOCS INC              799702105    1128775      32600               X                    0          0      32600
SANDERSON FARMS INC COM                  800013104     250800      17600               X                    0          0      17600
SANDISK CORP COM                         80004C101    2970000      66000               X                    0          0      66000
SANFILIPPO JOHN B & SON INC              800422107      56432      14800               X                    0          0      14800
SANGSTAT MED CORP                        801003104    1574925      91300               X                    0          0      91300
SANTA CRUZ OPERATION INC                 801833104     289976      44400               X                    0          0      44400
SANTA FE SNYDER CORPORATION              80218K105     136000      17000               X                    0          0      17000
SARA LEE CORP COM                        803111103     687129      30286   X                            28286          0       2000
SARA LEE CORP COM                        803111103    3263283     143833               X                25083          0     118750
SAVOIR TECHNOLOGY GROUP INC              80533W107     227813      24300               X                    0          0      24300
SCAN OPTICS INC                          805894102      79625      18200               X                    0          0      18200
SCHERING-PLOUGH CORP COM                 806605101   15035843     286397   X                           278907         60       7430
SCHERING-PLOUGH CORP COM                 806605101   17689403     336941               X               153270       2700     180971
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             106388727    2498269                               963513       5045    1529712
</TABLE>


<PAGE>   143

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   161
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

SCHLOTZSKYS INC                          806832101     149851      13700               X                    0          0      13700
SCHLUMBERGER LTD COM                     806857108    9684334     152059   X                           149111         40       2908
SCHLUMBERGER LTD COM                     806857108    2973465      46688               X                33520       1000      12168
SCHNITZER STEEL                          806882106     343301      15300               X                    0          0      15300
SCHOOL SPECIALTY INC                     807863105    1227213      76400               X                    0          0      76400
SCHULER HOMES                            808188106     245700      37800               X                    0          0      37800
SCHULMAN A INC COM                       808194104     792367      46100               X                    0          0      46100
CHARLES SCHWAB CORP NEW                  808513105     250700       2300   X                             1950          0        350
CHARLES SCHWAB CORP NEW                  808513105      98100        900               X                  295          0        605
SCHWEITZER-MAUDUIT INTL INC              808541106        450         30   X                               30          0          0
SCHWEITZER-MAUDUIT INTL INC              808541106     510225      34015               X                  115          0      33900
SCIENTIFIC ATLANTA INC COM               808655104     208800       5800               X                    0          0       5800
SCOTSMAN INDS INC COM                    809340102     685703      31800               X                    0          0      31800
SCOTTS CO CL A COM                       810186106     321469       6750   X                             6750          0          0
SCOTTS CO CL A COM                       810186106      35719        750               X                  750          0          0
SEAGATE TECHNOLOGY COM                   811804103      25625       1000   X                             1000          0          0
SEAGATE TECHNOLOGY COM                   811804103     887138      34620               X                    0          0      34620
SEAGRAM LTD COM                          811850106    4603469      91384               X                11184          0      80200
SEACOR SMIT INC COM                      811904101    1781550      33300               X                    0          0      33300
SEALED AIR CORP NEW                      81211K100      28156        434   X                              434          0          0
SEALED AIR CORP NEW                      81211K100     447638       6900               X                  800          0       6100
SEARS ROEBUCK & CO CAP                   812387108     117646       2640   X                             2640          0          0
SEARS ROEBUCK & CO CAP                   812387108    3144410      70561               X                 6961          0      63600
SEATTLE FILMWORKS INC COM                812572105      91277      29800               X                    0          0      29800
SEGUE SOFTWARE INC COM                   815807102     166750      23000               X                    0          0      23000
SEIBELS BRUCE GROUP INC                  816006209      95500      19100               X                    0          0      19100
SEITEL INC COM NEW                       816074306     943760      58300               X                    0          0      58300
SELAS CORP AMER                          816119101     103125      15000               X                    0          0      15000
SELECTIVE INS GROUP INC                  816300107      19254       1010   X                             1010          0          0
SELECTIVE INS GROUP INC                  816300107    1523134      79900               X                    0          0      79900
SEMPRA ENERGY                            816851109      82581       3650   X                             3650          0          0
SEMPRA ENERGY                            816851109     401481      17745               X                   45          0      17700
SEMX CORP                                816854103      39375      12600               X                    0          0      12600
SEMITOOL INC                             816909105     322438      33500               X                    0          0      33500
SENSORMATIC ELECTRS CORP COM             817265101    1916475     137500               X                    0          0     137500
SENTINEL GROUP FUND INC                  817270309      11938        265   X                              265          0          0
SENTINEL GROUP FUND INC                  817270309     236261       5240               X                 5240          0          0
SEQUA CORP CL A COM                      817320104     945000      13500               X                    0          0      13500
SEQUENT COMPUTER SYS INC COM             817338106    2023500     114000               X                    0          0     114000
SERVICE CORP INTERNATIONAL COM           817565104    2586815     134380   X                           128070          0       6310
SERVICE CORP INTERNATIONAL COM           817565104    1673595      86940               X                12540        700      73700
SERVICE EXPERTS INC                      817567100     245438      11220   X                            11220          0          0
SERVICE EXPERTS INC                      817567100     459375      21000               X                    0          0      21000
SERVICE PIPE & SUPPLY INC                817595911    1057447        231   X                              231          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              43507548    1529112                               377811       1740    1149561
</TABLE>


<PAGE>   144

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   162
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

SERVICEMASTER CO COM                     81760N109       9478        506   X                              506          0          0
SERVICEMASTER CO COM                     81760N109     427106      22779               X                22779          0          0
SHARPER IMAGE CORP COM                   820013100     178500      21000               X                    0          0      21000
SHAW GROUP INC COM                       820280105    1225550      77200               X                    0          0      77200
SHELDAHL CO                              822440103     157013      23700               X                    0          0      23700
SHERWIN WILLIAMS CO COM                  824348106    1259018      45370   X                            44570          0        800
SHERWIN WILLIAMS CO COM                  824348106    1250138      45050               X                 9750        900      34400
SHOE CARNIVAL INC                        824889109     511700      30100               X                    0          0      30100
SHOPKO STORES INC                        824911101    2989350      81900               X                    0          0      81900
SHUTTLEWORTH INCORPORATED CLASS B        8256759B9     600600      14300   X                            14300          0          0
SIERRA HEALTH SVCS INC                   826322109     176144      12200               X                    0          0      12200
SIGHT RESOURCE CORP COM                  82655N105        419        100   X                              100          0          0
SIGHT RESOURCE CORP COM                  82655N105      90880      21700               X                    0          0      21700
SIGMA ALDRICH CORP COM                   826552101    1784474      51817   X                            51517          0        300
SIGMA ALDRICH CORP COM                   826552101     531929      15446               X                 6374          0       9072
SIGCORP INC COM                          826912107     402894      14230   X                            14230          0          0
SIGCORP INC COM                          826912107    1740740      61482               X                33166      26384       1932
SILICON GRAPHICS INC COM                 827056102     227613      13900               X                    0          0      13900
SILICON STORAGE TECHNOLOGY I             827057100     208385      27900               X                    0          0      27900
SILICON VY GROUP INC                     827066101    1365216      81200               X                  400          0      80800
SILVERLEAF RESORTS INC                   828395103     103008      16000               X                    0          0      16000
SIMIONE CENTRAL HOLDINGS INC             828654202      66250      26500               X                    0          0      26500
SIMON TRANSN SVCS INC                    828813105      96785      19600               X                    0          0      19600
SIMPSON INDS INC COM                     829060102     518650      50600               X                    0          0      50600
SIMULA INC                               829206101      98150      15100               X                    0          0      15100
SITEL CORP                               82980K107     449514     153000               X                    0          0     153000
SKYLINE CORP                             830830105     527634      18000               X                    0          0      18000
SMART & FINAL INC                        831683107     610050      58100               X                    0          0      58100
SMARTFLEX SYS INC COM                    83169K108      63941      19300               X                    0          0      19300
SMITH A O CORP CL A                      831865100     411125      14950               X                    0          0      14950
SMITH A O CORP COMMON                    831865209     793800      28350               X                    0          0      28350
SMITH INTL INC COM                       832110100    1181514      27200               X                    0          0      27200
SMITHKLINE BEECHAM CORP                  832378301    2447238      37044   X                            30644          0       6400
SMITHKLINE BEECHAM CORP                  832378301     361365       5470               X                 5150        320          0
SMURFIT-STONE CONTAINER CORP             832727101     411260      20000               X                    0          0      20000
SODAK GAMING                             833777105     264375      28200               X                    0          0      28200
SOFTWARE SPECTRUM INC                    833960107     175500      10800               X                    0          0      10800
SOLA INTL INC COM                        834092108    1001057      51500               X                    0          0      51500
SOLECTRON CORP COM                       834182107     434139       6510   X                             5655         20        835
SOLECTRON CORP COM                       834182107      24675        370               X                  320          0         50
SOLUTIA INC                              834376105       3410        160   X                              160          0          0
SOLUTIA INC                              834376105     309635      14528               X                 1188          0      13340
SONAT INC COM                            835415100      13250        400   X                              400          0          0
SONAT INC COM                            835415100     294813       8900               X                  800          0       8100
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              25798285    1292462                               242009      27624    1022829
</TABLE>


<PAGE>   145

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   163
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

SONIC AUTOMOTIVE INC                     83545G102     479875      34900               X                    0          0      34900
SOURCE INFORMATION MGMT CO               836151209     502200      37200               X                    0          0      37200
SOUTH JERSEY INDUSTRIES INC              838518108     529453      18700               X                    0          0      18700
SOUTHDOWN INC COM                        841297104     147325       2293   X                             2293          0          0
SOUTHDOWN INC COM                        841297104      79413       1236               X                  446          0        790
SOUTHERN CO COM                          842587107     378765      14293   X                            14293          0          0
SOUTHERN CO COM                          842587107    2232148      84232               X                11332          0      72900
SOUTHERN ENERGY HOMES INC                842814105     207738      39100               X                    0          0      39100
SOUTHERN PAC FDG CORP COM                843576109       2030      45100               X                    0          0      45100
SOUTHTRUST CORP COM                      844730101      75407       1965   X                             1965          0          0
SOUTHTRUST CORP COM                      844730101     798200      20800               X                    0          0      20800
SOUTHWEST AIRLINES CO COM                844741108    1067899      34310   X                            33455        240        615
SOUTHWEST AIRLINES CO COM                844741108     548174      17612               X                  900          0      16712
SOUTHWEST GAS CORP COM                   844895102     993288      34700               X                    0          0      34700
SOUTHWALL TECHNOLOGIES INC               844909101      83200      20800               X                    0          0      20800
SOUTHWESTERN ENERGY CO                   845467109     700327      66300               X                    0          0      66300
SOVEREIGN BANCORP                        845905108     522103      43060               X                    0          0      43060
SPACELABS MED INC COM                    846247104     434125      23000               X                    0          0      23000
SPARTAN MTRS INC COM                     846819100     257600      44800               X                    0          0      44800
SPARTON CORP                             847235108       4800        800   X                              800          0          0
SPARTON CORP                             847235108     112200      18700               X                    0          0      18700
SPECTRAN CORP                            847598109     212625      18900               X                    0          0      18900
SPECTRIAN CORP COM                       847608106     171100      11800               X                    0          0      11800
SPECTRUM CTL INC                         847615101     174049      23800               X                    0          0      23800
SPEEDFAM-IPEC INC                        847705100    1159459      72182               X                    0          0      72182
SPIEGEL INC CL A NON-VTG                 848457107     176613      19900               X                    0          0      19900
SPORTSMANS GUIDE INC                     848907200      67188      12500               X                    0          0      12500
SPORT SUPPLY GROUP INC                   848915104     107325      10600               X                    0          0      10600
SPORTS AUTHORITY INC COM                 849176102     337288      76000               X                    0          0      76000
SPRINT CORP COM                          852061100     588088      11096   X                            10496          0        600
SPRINT CORP COM                          852061100     837400      15800               X                11500          0       4300
SPRINT CORP                              852061506     301302       5286   X                             5286          0          0
SPRINT CORP                              852061506     119700       2100               X                 1100          0       1000
STAFFMARK INC                            852389105     167518      16700               X                    0          0      16700
STAMPS COM INC                           852857101     283500      16200               X                    0          0      16200
STANDARD COML CORP COM                   853258101     201513      34300               X                    0          0      34300
STANDARD MGMT CORP                       853612109     129291      19700               X                    0          0      19700
STANDARD MICROSYSTEMS CORP               853626109     298739      39500               X                    0          0      39500
STANDARD MTRS PRODS INC COM              853666105     213150       8700               X                    0          0       8700
STANDARD PAC CORP NEW COM                85375C101    1124500      86500               X                    0          0      86500
STANDARD PRODUCTS CO COM                 853836104    1130063      44100               X                    0          0      44100
STANLEY FURNITURE INC                    854305208    1156500      51400               X                    0          0      51400
STANLEY WKS COM                          854616109     263137       8175               X                 1675          0       6500
STARRETT L S CO CL A                     855668109     335938      12500               X                    0          0      12500
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              19712256    1221640                                95541        240    1125859
</TABLE>


<PAGE>   146

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   164
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

STARTER CORP COM                         855684106      32625      26100               X                    0          0      26100
STARWOOD HOTELS & RESORTS WORLDWIDE      85590A203       6602        216   X                              216          0          0
STARWOOD HOTELS & RESORTS WORLDWIDE      85590A203     521435      17061               X                 1261          0      15800
STATE STR CORP                           857477103    7091162      83059   X                            78609         45       4405
STATE STR CORP                           857477103     469989       5505               X                 5405          0        100
STATE STREET EXCHANGE FUND               857478101   23128995      38501               X                38501          0          0
STEEL DYNAMICS INC                       858119100     231262      14950   X                            13350          0       1600
STEEL DYNAMICS INC                       858119100      94361       6100               X                 5900          0        200
STEEL TECHNOLOGIES INC                   858147101     295409      31300               X                    0          0      31300
STEIN ROE MUN TR                         858421308      96575      10648   X                            10648          0          0
STEPAN CO                                858586100     345100      13600               X                    0          0      13600
STEPHAN CO COM                           858603103      46068      11000               X                    0          0      11000
STERLING FINL CORP WASH                  859319105     247253      17900               X                    0          0      17900
STEWART & STEVENSON SVCS INC             860342104    1079700      70800               X                    0          0      70800
STEWART INFORMATION SERVICES CORP        860372101     494325      23400               X                    0          0      23400
STIFEL FINL CORP                         860630102     164281      17640               X                    0          0      17640
STONE & WEBSTER INC                      861572105     918563      34500               X                    0          0      34500
STORAGE COMPUTER CORP                    86211A101      24500      14000               X                    0          0      14000
STRATASYS INC                            862685104      48813      13700               X                    0          0      13700
STRATEGIC DISTR INC                      862701208     238008     102900               X                    0          0     102900
STRATUS PPTYS INC                        863167102        250         54   X                               54          0          0
STRATUS PPTYS INC                        863167102     110538      23900               X                    0          0      23900
STRIDE RITE CORP COM                     863314100     232043      22500               X                    0          0      22500
SUBURBAN LODGES AMER INC COM             864444104     265246      41200               X                    0          0      41200
SUCCESSORIES INC COM                     864591102      51063      21500               X                    0          0      21500
SUMMIT BANCORP COM                       866005101     936611      22400               X                    0          0      22400
SUMMIT BANCSHARES INC TEX                866011109     463913      26700               X                    0          0      26700
SUN BANCORP INC                          86663B102     411950      23540               X                    0          0      23540
SUN MICROSYSTEMS INC COM                 866810104    3859893      56042   X                            55362          0        680
SUN MICROSYSTEMS INC COM                 866810104    8668745     125862               X                24090        700     101072
SUN HEALTH CARE GROUP                    866933104      38625     103000               X                    0          0     103000
SUNBEAM CORP DEL NEW COM                 867071102      84937      10700               X                    0          0      10700
SUNDANCE HOMES INC                       86724Q106       6150      12300               X                    0          0      12300
SUNOCO INC                               86764P109      48029       1591   X                             1591          0          0
SUNOCO INC                               86764P109     214878       7118               X                  218          0       6900
SUNRISE ASSISTED LIVING INC              86768K106       3453         99   X                               99          0          0
SUNRISE ASSISTED LIVING INC              86768K106    2047163      58700               X                    0          0      58700
SUNRISE RESOURCES INC                    86769K105      90450      20100               X                    0          0      20100
SUNTERRA CORP                            86787D109     295486      21200               X                    0          0      21200
SUNRISE MED INC COM                      867910101     458138      64300               X                    0          0      64300
SUNTRUST BKS INC COM                     867914103    1919475      27643   X                            27643          0          0
SUNTRUST BKS INC COM                     867914103    3149013      45350               X                 4350          0      41000
SUPERIOR UNIFORM GROUP INC               868358102     203750      16300               X                    0          0      16300
SUPERVALU INC COM                        868536103     482310      18640   X                            18640          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              59617135    1323619                               285937        745    1036937
</TABLE>


<PAGE>   147

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   165
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

SUPERVALU INC COM                        868536103     887202      34288               X                25488          0       8800
SUPREME INTL CORP                        868610106     303613      22700               X                    0          0      22700
SUREQUEST SYSTEMS INC                    868663105       1470      10500               X                10500          0          0
SUSQUEHANA BANCSHARES INC PA COM         869099101     418781      23676   X                            23676          0          0
SUSQUEHANA BANCSHARES INC PA COM         869099101      77155       4362               X                 4362          0          0
SWIFT ENERGY CORP COM                    870738101     422176      39500               X                    0          0      39500
SWISS ARMY BRANDS INC                    870827102     180163      20300               X                    0          0      20300
SYMBOL TECHNOLOGIES INC COM              871508107     269188       7300               X                    0          0       7300
SYMONS INTL GROUP INC                    87154P105      68519      12600               X                    0          0      12600
SYMMETRICOM INC COM                      871543104     320125      39400               X                    0          0      39400
SYMS CORP COM                            871551107      81250      10000               X                    0          0      10000
SYNALLOY CP DEL                          871565107     149500      18400               X                    0          0      18400
SYNBIOTICS CORP                          871566105      92543      23500               X                    0          0      23500
SYSCO CORP COM                           871829107    1150782      38600   X                            36200          0       2400
SYSCO CORP COM                           871829107     965941      32400               X                 6500       1200      24700
SYNTHETIC INDS INC                       871914107         30          1   X                                1          0          0
SYNTHETIC INDS INC                       871914107     663750      22500               X                    0          0      22500
TBA ENTMT CORP                           872173109      69008      16000               X                    0          0      16000
TBC CORP COM                             872180104     439319      62200               X                    0          0      62200
TCSI CORP COM                            87233R106     155830      60800               X                    0          0      60800
TD WATERHOUSE GRP INC                    872362108     377500      15100               X                    0          0      15100
TECO ENERGY INC COM                      872375100     216535       9518   X                             9518          0          0
TECO ENERGY INC COM                      872375100     231095      10158               X                  858          0       9300
TII INDS INC COM NEW                     872479209      27828      14600               X                    0          0      14600
TJ INTERNATIONAL INC                     872534102    1373300      44300               X                    0          0      44300
TJX COS INC NEW COM                      872540109    1081007      32450   X                            28755         95       3600
TJX COS INC NEW COM                      872540109    1862363      55905               X                 1405          0      54500
TNP ENTERPRISES INC                      872594106     630750      17400               X                    0          0      17400
TRC COMPANIES INCORPORATED COMMON        872625108     115150      18800               X                    0          0      18800
T R W INC COM                            872649108       6859        125   X                              125          0          0
T R W INC COM                            872649108    1024626      18672               X                 9672          0       9000
TMP WORLDWIDE (TMPW)                     872941109     762000      12000               X                    0          0      12000
T.J. NOWAK SUPPLY CO INC                 872990106     365729        278   X                              278          0          0
TV GUIDE INC                             87307Q109     252896       6905               X                    0          0       6905
TAB PRODUCTS CO COM                      873197107      87025      11800               X                    0          0      11800
TANDY CORP COM                           875382103    1362391      27875   X                            25605         45       2225
TANDY CORP COM                           875382103     885615      18120               X                 1080          0      17040
TANDYCRAFTS INC                          875386104     121800      33600               X                    0          0      33600
TECH SYM CORP                            878308105     415625      17500               X                    0          0      17500
TECHNICAL CHEMICALS & PRODS              87840Q103      37125      33000               X                    0          0      33000
TEGAL CORP                               879008100     130988      38100               X                    0          0      38100
TELCOM SEMICONDUCTOR INC                 87921P107       3850        400   X                              400          0          0
TELCOM SEMICONDUCTOR INC                 87921P107     437938      45500               X                    0          0      45500
TELLABS INC COM                          879664100    2002365      29637   X                            27017         70       2550
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              20528705    1010770                               211440       1410     797920
</TABLE>


<PAGE>   148

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   166
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

TELLABS INC COM                          879664100    2364029      34990               X                 5490          0      29500
TELSTAR SATELLITE CORP AMER              879696102          1      25000               X                    0          0      25000
TELXON CORP COM                          879700102     133358      16800               X                    0          0      16800
TEMPLE INLAND INC COM                    879868107      41999        612   X                              612          0          0
TEMPLE INLAND INC COM                    879868107     308813       4500               X                    0          0       4500
TEMPLETON FDS INC                        880196209     565373      54891   X                            52475          0       2415
TEMPLETON FDS INC                        880196209     751454      72957               X                65151          0       7805
TENET HEALTHCARE CORP COM                88033G100     898449      48400               X                    0          0      48400
TENNECO INC (NEW)                        88037E101       1409         59   X                               59          0          0
TENNECO INC (NEW)                        88037E101     700469      29339               X                   86        153      29100
TEREX CORP COM                           880779103    1534075      50400               X                    0          0      50400
TERRA INDS INC                           880915103     971200     242800               X                    0          0     242800
TESLA MAGNETIC HOLDINGS                  8816059A9      68064      31222   X                            31222          0          0
TESORO PETROLEUM CORP COM                881609101    1695803     106400               X                    0          0     106400
TESSERACT GROUP INC                      881612105      62475      23800               X                    0          0      23800
TETRA TECHNOLOGIES INC COM               88162F105     514900      54200               X                    0          0      54200
TETRA TECH INC NEW COM                   88162G103     674438      40875               X                    0          0      40875
TEXACO INC COM                           881694103     402319       6450   X                             5950          0        500
TEXACO INC COM                           881694103    6212301      99596               X                  700      17896      81000
TEXAS INDS INC COM                       882491103    1526750      39400               X                    0          0      39400
TEXAS INSTRS INC COM                     882508104    4579200      31800   X                            29905         15       1880
TEXAS INSTRS INC COM                     882508104    8972640      62310               X                 1885          0      60425
TEXAS UTILITIES CO COM (HLDG)            882848104    2383721      57525   X                            57525          0          0
TEXAS UTILITIES CO COM (HLDG)            882848104    1778809      42927               X                 1727          0      41200
TEXTRON INC COM                          883203101     948740      11526   X                            11526          0          0
TEXTRON INC COM                          883203101      94660       1150               X                 1150          0          0
THERMO BIOANALYSIS CORP                  88355H108     222400      12800               X                    0          0      12800
THERMO ECOTEK CORP COM                   88355R106     136000      17000               X                    0          0      17000
THERMO ELECTRON CORP COM                 883556102      40126       2000   X                             2000          0          0
THERMO ELECTRON CORP COM                 883556102     394840      19680               X                 2955          0      16725
THERMO POWER CORP COM                    883589103     118901      10200               X                    0          0      10200
THERMO SENTRON INC                       883593105     372600      27600               X                    0          0      27600
THERMOQUEST CORP COM                     883655102     252947      19000               X                    0          0      19000
THERMOSPECTRA CORP COM                   883660102     612775      38600               X                    0          0      38600
THERMOTREX CORP COM                      883666109     202063      26500               X                    0          0      26500
THESTREET.COM INC                        88368Q103     223200       6200               X                    0          0       6200
THERMEDICS INC COM                       883901100     310123      33300               X                    0          0      33300
THORN APPLE VY INC COM                   885184101       2839      15100               X                    0          0      15100
3DFX INTERACTIVE INC                     88553X103     414375      26520               X                    0          0      26520
3COM CORP COM                            885535104       9421        353   X                              303          0         50
3COM CORP COM                            885535104    1179770      44206               X                  303          0      43903
3 D SYSTEMS CORP COM NEW                 88554D205     146300      26600               X                    0          0      26600
THRUSTMASTER INC                         886027101     204000       8500               X                    0          0       8500
TIME WARNER INC COM                      887315109   11148155     153503   X                           148963        450       4090
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              54176284    1677591                               419987      18514    1239088
</TABLE>


<PAGE>   149

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   167
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

TIME WARNER INC COM                      887315109    2383117      32814               X                10095       2000      20719
TIMES MIRROR CO NEW                      887364107     953925      16100               X                    0          0      16100
TIPPERARY CORP                           888002300      20000      16000               X                    0          0      16000
TITAN INTL INC ILL                       88830M102     670938      56500               X                    0          0      56500
TITANIUM METALS CORP COM                 888339108    1015875      90300               X                    0          0      90300
TODD SHIPYARDS COM                       889039103     189063      27500               X                    0          0      27500
TOOTSIE ROLL IND COM                     890516107     265508       6874   X                             6874          0          0
TOOTSIE ROLL IND COM                     890516107     187756       4861               X                 4861          0          0
TOOLCRAFT CLASS B NON-VOTING             890990120     685517       4350               X                 4350          0          0
TORCHMARK CORP COM                       891027104    1919531      56250   X                            56250          0          0
TORCHMARK CORP COM                       891027104     685913      20100               X                  300          0      19800
TORO CO COM                              891092108    1279688      32500               X                    0          0      32500
TOSCO CORP NEW COM                       891490302     254192       9800               X                    0          0       9800
TOWER AIR CORP                           891697104      67738      25200               X                    0          0      25200
TOWER AUTOMOTIVE INC COM                 891707101    1208305      47500               X                    0          0      47500
TOWER FINANCIAL CORP                     891769101     161893      17620   X                            15620          0       2000
TOWER FINANCIAL CORP                     891769101       9188       1000               X                    0          0       1000
TOYS R US INC COM                        892335100     887515      42900               X                    0          0      42900
TRAILER BRIDGE                           892782103      28882      14000               X                    0          0      14000
TRANSAMERICA CORP COM                    893485102      16500        220   X                              220          0          0
TRANSAMERICA CORP COM                    893485102     990000      13200               X                 4000          0       9200
TRANSCOASTAL MARINE SVCS COM             893537100     135038      27700               X                    0          0      27700
TRANSMATION INC COM                      893757104      43750      14000               X                    0          0      14000
TRANSMEDIA NETWORK INC                   893767301      44499      11300               X                    0          0      11300
TRANSPORTATION TECH INDS INC             89388T101     320650      24200               X                    0          0      24200
TRANSTECHNOLOGY CORP                     893889105     330758      16800               X                    0          0      16800
TRAVELERS PPTY CAS CORP                  893939108     215188       5500               X                    0          0       5500
TRANSWORLD HOME HEALTHCARE INC COM       894081108     150863      44700               X                    0          0      44700
TREMONT CORPORATION NEW COMMON           894745207     350450      16300               X                    0          0      16300
TREND-LINES INC CL A                     894859107      32038      12500               X                    0          0      12500
TREX MED CORP                            89531R101     103200      17200               X                    0          0      17200
TRI-CONTINENTAL CORP COM                 895436103      71425       2366   X                             2366          0          0
TRI-CONTINENTAL CORP COM                 895436103     159755       5292               X                 5292          0          0
TRIDENT MICROSYSTEMS INC                 895919108     286666      31200               X                    0          0      31200
TRIGEN ENERGY CORP                       895930105     311600      16400               X                    0          0      16400
TRICON GLOBAL RESTAURANTS                895953107      81512       1506   X                             1042          0        464
TRICON GLOBAL RESTAURANTS                895953107     767709      14184               X                 2924          0      11260
TRIBUNE CO NEW COM                       896047107     310165       3560   X                             3560          0          0
TRIBUNE CO NEW COM                       896047107     949663      10900               X                  400          0      10500
TRICO MARINE SERVICES INC                896106101     297960      45400               X                    0          0      45400
TRION INC COM                            896726106      90605      19200               X                    0          0      19200
TRIUMPH GROUP INC NEW                    896818101     382500      15000               X                    0          0      15000
TRUMP HOTEL & CASINO RESORTS INC COM     898168109     268304      58800               X                    0          0      58800
TRUSTCO BK CORP N Y                      898349105     282188      10500               X                    0          0      10500
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              19867530     960097                               118154       2000     839943
</TABLE>


<PAGE>   150

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   168
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

TUBOSCOPE INC COM                        898600101     752840      55000               X                    0          0      55000
TULTEX CORP                              899900104      26557      38600               X                    0          0      38600
24 / 7 MEDIA INC                         901314104     804650      20900               X                    0          0      20900
II-VI INC COM                            902104108     155800      16400               X                    0          0      16400
TYCO INTL LTD NEW                        902124106   19693503     207847   X                           201954        105       5788
TYCO INTL LTD NEW                        902124106   16884166     178197               X                45205          0     132992
USX-MARATHON GROUP COM NEW               902905827      21166        650   X                              650          0          0
USX-MARATHON GROUP COM NEW               902905827     693592      21300               X                    0          0      21300
UST INC COM                              902911106     405985      13850               X                  150          0      13700
US BANCORP NEW COM                       902973106      20025        600   X                              600          0          0
US BANCORP NEW COM                       902973106    3384158     101398               X                 2298          0      99100
UNUM CORP COM                            903192102    1423500      26000               X                    0          0      26000
URS CORP NEW                             903236107     571604      19500               X                    0          0      19500
US DIAGNOSTIC INC COM                    90328Q108      38302      29900               X                    0          0      29900
U S XPRESS ENTERPRISES INC               90338N103     339878      31800               X                    0          0      31800
US ONCOLOGY                              90338W103    1680792     140066               X                    0          0     140066
UTI ENERGY CORP                          903387108     697302      42100               X                    0          0      42100
UGLY DUCKLING CORP                       903512101     340750      47000               X                    0          0      47000
ULTIMATE ELECTRS INC                     903849107     454700      25000               X                    0          0      25000
ULTRAK INC COM NO PAR                    903898401     209150      35600               X                    0          0      35600
ULTRALIFE BATTERIES INC                  903899102     157850      28700               X                    0          0      28700
ULTRA TECH STEPPER INC COM               904034105     872148      57900               X                    0          0      57900
UNI MARTS INC                            904571304      27563      14700               X                    0          0      14700
UNICO AMERN CORP                         904607108     155876      15300               X                    0          0      15300
UNICOMP INC NEW                          90465L409     103950      19800               X                    0          0      19800
UNIFIRST CORP COMMON                     904708104     527363      28700               X                    0          0      28700
UNIFY CORP                               904743101     738450      54700               X                    0          0      54700
UNILEVER N V                             904784709      37316        535   X                              535          0          0
UNILEVER N V                             904784709    5123347      73453               X                    0          0      73453
UNIMARK GROUP INC                        904789104     110016      32000               X                    0          0      32000
UNION ACCEPTANCE CORP COM                904832102       7000       1000   X                             1000          0          0
UNION ACCEPTANCE CORP COM                904832102     106400      15200               X                 4000          0      11200
UNICOM CORP COM                          904911104      45697       1185   X                             1185          0          0
UNICOM CORP COM                          904911104     651715      16900               X                    0          0      16900
UNION CARBIDE CORP CAP                   905581104    1184625      24300               X                  100          0      24200
UNION ACCEPTANCE CORPORATION             905990107       7877     488658               X               488658          0          0
UNION PAC CORP CO COM                    907818108     261767       4489   X                             4489          0          0
UNION PAC CORP CO COM                    907818108    2075943      35600               X                 4000          0      31600
UNION PAC RES GROUP INC COM              907834105      35579       2181   X                             2181          0          0
UNION PAC RES GROUP INC COM              907834105     333324      20433               X                 2033          0      18400
UNION PLANTERS CORP COM                  908068109     759696      17000               X                    0          0      17000
UNION TOOL CORPORATION                   908990104     339712       5333   X                             5333          0          0
UNION TOOL CORPORATION                   908990104     423287       6645               X                 6645          0          0
UNIQUE CASUAL RESTAURANTS IN             90915K100      94752      28600               X                    0          0      28600
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              62779673    2045020                               771016        105    1273899
</TABLE>


<PAGE>   151

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   169
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

UNISOURCE WORLDWIDE INC                  909208100    2603195     215800               X                    0          0     215800
UNISYS CORP COM                          909214108      11681        300   X                              300          0          0
UNISYS CORP COM                          909214108     733981      18850               X                    0          0      18850
UNIT CORP COM                            909218109     556563      68500               X                    0          0      68500
UNITED COS FINL CORP COM                 909870107       7106      75600               X                    0          0      75600
UNITED FUNDS INC                         910450204     118332      19367   X                            18212          0       1155
UNITED FUNDS                             910450402      16747       1374   X                             1374          0          0
UNITED FUNDS                             910450402     177142      14532               X                14532          0          0
UNITED HEALTH CARE CORP COM              910581107    1365225      21800               X                    0          0      21800
UNITED INDUSTRIAL CORP COMMON            910671106     357500      32500               X                    0          0      32500
UNITED RETAIL GROUP INC COM              911380103     529375      35000               X                    0          0      35000
U S BIOSCIENCE INC COM                   911646206     490425      50300               X                    0          0      50300
U S AIRWAYS GROUP INC COM                911905107     300585       6900               X                    0          0       6900
U S HOMES CORP NEW COM                   911920106    1178600      33200               X                    0          0      33200
U S OFFICE PRODS CO                      912325305     626188     116500               X                    0          0     116500
U S WEST INC NEW                         91273H101     541499       9217   X                             9217          0          0
U S WEST INC NEW                         91273H101    1921066      32699               X                 2444          0      30255
UNITED TECHNOLOGIES CORP COM             913017109   13302360     184755   X                           182254         40       2461
UNITED TECHNOLOGIES CORP COM             913017109   31438152     436641               X               403241          0      33400
UNITED WTR RES INC COM                   913190104     685178      30200               X                    0          0      30200
UNITED WIS SVCS INC NEW                  913238101     223200      27900               X                    0          0      27900
UNIVERSAL AMERN FINL CORP                913377107      51600      12900               X                    0          0      12900
UNIVERSAL FST PRODS INC                  913543104    1859750      86500               X                    0          0      86500
UNOCAL CORP COM                          915289102     724345      18280               X                 5280          0      13000
U S FREIGHTWAYS CORP COM                 916906100    2533321      54700               X                    0          0      54700
UROCOR INC                               91727P105     137859      28100               X                    0          0      28100
UROLOGIX INC                             917273104      85181      34500               X                    0          0      34500
USWEB CORP                               917327108    1013992      45700               X                    0          0      45700
UTILIX CORPORATION COMMON                918031105      51300      17100               X                    0          0      17100
V F CORP COM                             918204108     138083       3230   X                             3230          0          0
V F CORP COM                             918204108     380475       8900               X                    0          0       8900
VLSI TECHNOLOGY INC                      918270109    2424715     116500               X                    0          0     116500
VTEL CORP COM                            918333105     272850      64200               X                    0          0      64200
VALUE CITY DEPT STORES INC COM           920387107     894250      73000               X                    0          0      73000
VALUEVISION INTL INC CL A                92047K107    1238213      62300               X                    0          0      62300
VAN KAMPEN                               92113F107      43110       4390   X                             4390          0          0
VAN KAMPEN                               92113F107      75204       7658               X                 7658          0          0
VANGUARD QUANTITATIVE PORTFOLIOS INC     921913109     583106      16756   X                            16756          0          0
VANS INC                                 921930103     458120      40000               X                    0          0      40000
VANGUARD                                 921935102    3535949     113953   X                           106677          0       7276
VANGUARD                                 921935102     207768       6696               X                 6173          0        523
VANGUARD TOTAL BOND MARKET               921937108    1930531     196792   X                           196792          0          0
VANGUARD TOTAL BOND MARKET               921937108    2293350     233777               X               233777          0          0
VANGUARD BD INDEX FD INC                 921937405      23090       2242   X                                0          0       2242
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              78140262    2680109                              1212307         40    1467762
</TABLE>


<PAGE>   152

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   170
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>       <C>        <C>
    COMMON STOCK
    ---------------------

VANGUARD BD INDEX FD INC                 921937405     165513      16069               X                    0          0      16069
VANGUARD/WELLESLEY INCOME FD INC         921938106    1072345      50298   X                            50298          0          0
VANGUARD/WELLESLEY INCOME FD INC         921938106      73094       3428               X                 2707          0        721
VANGUARD                                 922018205      52671       1604   X                             1604          0          0
VANGUARD                                 922018205     261722       7970               X                    0          0       7970
VANGUARD CALIF TAX EXEMPT FD             922021308     128281      12102   X                            12102          0          0
VANGUARD                                 922031406     431027      40472   X                            38387          0       2085
VANGUARD                                 922031406      98338       9234               X                 9234          0          0
VANGUARD                                 922031604    4491965     448300               X               439350          0       8949
VANGUARD FIXED INCOME SECS FD INC        922031802      58376       5570   X                             5570          0          0
VANGUARD FIXED INCOME SECS FD INC        922031802      51521       4916               X                 4916          0          0
VANGUARD INTL EQUITY INDEX FUND INC      922042205     721857      29095   X                            29095          0          0
VANGUARD INTL EQUITY INDEX FUND INC      922042205     165069       6653               X                 6653          0          0
VARI-L CO INC                            922150107     154134      18000               X                    0          0      18000
VARIFLEX INC                             922242102      95000      19000               X                    0          0      19000
VARLEN COR COM                           922248109     521438      12875               X                    0          0      12875
VENCOR INC NEW                           92260R102       3135      20900               X                    0          0      20900
VANGUARD MUNI BD FD                      922907100    1057845      68204   X                            68204          0          0
VANGUARD MUNI BD FD                      922907100     315284      20328               X                19256          0       1072
VANGUARD MUN BD FD INC                   922907209    1360639     104584   X                           104584          0          0
VANGUARD MUN BD FD INC                   922907209     425115      32676               X                32676          0          0
VANGUARD MUN BD FD INC                   922907308     418605      38688   X                            38688          0          0
VANGUARD MUN BD FD INC                   922907308     248447      22962               X                 4859      18103          0
VANGUARD MUNI BOND HIGH YIELD FUND       922907407      72818       6883   X                             6883          0          0
VANGUARD MUNI BOND HIGH YIELD FUND       922907407     199193      18827               X                18827          0          0
VANGUARD MUNICIPAL BOND FUND- MONEY      922907506     860000     860000   X                           860000          0          0
VANGUARD MUNICIPAL BOND FUND- MONEY      922907506    1135375    1135375               X              1135375          0          0
VANGUARD MUN BD FD INC                   922907605     655017      53867   X                            53867          0          0
VANGUARD MUN BD FD INC                   922907605     106075       8723               X                 8723          0          0
VANGUARD                                 922908108   11239160      88616   X                            81145          0       7471
VANGUARD                                 922908108    3347015      26390               X                23585          0       2805
VANGUARD INDEX TR                        922908843     345886      31530   X                            31530          0          0
VENATOR GROUP INC COM                    922944103    1317276     126200               X                    0          0     126200
VERITAS DGC INC COM (NEW)                92343P107     421199      23000               X                    0          0      23000
VERILINK CORP COM                        923432108     117814      40100               X                    0          0      40100
VESTCOM INTL INC                         924904105      71750      20500               X                    0          0      20500
VERTEX COMMUNICATIONS CORP               925320103     184788      13500               X                    0          0      13500
VESTA INSURANCE GROUP INC COM            925391104     111000      24000               X                    0          0      24000
VIASOFT INC COM                          92552U102      78400      22400               X                    0          0      22400
VICORP RESTAURANTS COMMON                925817108     370088      21300               X                    0          0      21300
VIDEO DISPLAY CORP                       926555103      53906      11200               X                    0          0      11200
VIISAGE TECHNOLOGY INC                   92675K106      12355      10400               X                    0          0      10400
VINTAGE PETE INC                         927460105    1082525     100700               X                    0          0     100700
VISTA MED TECHNOLOGIES INC               928369107      27040      17300               X                    0          0      17300
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              34180101    3654739                              3088118      18103     548517
</TABLE>


<PAGE>   153

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   171
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>       <C>        <C>
    COMMON STOCK
    ---------------------

VISTANA INC                              92839P108     280350      17800               X                    0          0      17800
VISUAL NETWORKS INC                      928444108     988800      30900               X                    0          0      30900
VITAL SIGNS INC COM                      928469105     374834      18800               X                    0          0      18800
VIVID TECHNOLOGIES INC                   928538107      35350      10100               X                    0          0      10100
VODAFONE GROUP PLC SPONSORED ADR         92857T107    2010779      10207   X                            10107          0        100
VODAFONE GROUP PLC SPONSORED ADR         92857T107     755692       3836               X                 2230        500       1106
WFS FINL INC COM                         92923B106     946275      68200               X                    0          0      68200
WFI INDS LTD                             92923V102     813699    1170790   X                          1170790          0          0
WHX CORP COM                             929248102     217235      33100               X                    0          0      33100
WICOR INC COM                            929253102       1453         52   X                               52          0          0
WICOR INC COM                            929253102    1553353      55600               X                    0          0      55600
WLR FOODS INC COM                        929286102     341250      42000               X                    0          0      42000
WPI GROUP INC                            92930K107      79187      24600               X                    0          0      24600
WABASH NATL CORP COM                     929566107     437875      22600               X                 2000          0      20600
WABASH VALLEY BROADCASTING               929580918     985352       6944               X                 4886       2058          0
WACHOVIA CORP COM                        929771103    2740925      32034   X                            27534          0       4500
WACHOVIA CORP COM                        929771103    1176491      13750               X                11400        150       2200
WACKENHUT CORP CL A                      929794105     208250       7000               X                    0          0       7000
WACKENHUT CORP COM SER B                 929794303     300000      12500               X                    0          0      12500
WAL MART STORES INC                      931142103   17583265     364420   X                           353570        180      10670
WAL MART STORES INC                      931142103   12885742     267062               X                59938       2400     204724
WALGREEN CO COM                          931422109   21019634     715562   X                           699477        630      15455
WALGREEN CO COM                          931422109    5980427     203589               X               168135       5200      30254
WALKER INTERACTIVE SYS INC COM           931664106      90300      34400               X                    0          0      34400
WALL DATA INC                            932045107     185522      19400               X                    0          0      19400
WARNER LAMBERT CO COM                    934488107    6542612      94649   X                            91474         55       3120
WARNER LAMBERT CO COM                    934488107    6871647      99409               X                33918          0      65491
WARRANTECH CORP COM PAR $0.007           934648304     107272      44000               X                    0          0      44000
WASHINGTON HOMES INC                     938864105     157087      24400               X                    0          0      24400
WASHINGTON MUTUAL INC                    939322103     182972       5145   X                             5145          0          0
WASHINGTON MUTUAL INC                    939322103    2802364      78800               X                    0          0      78800
WASHINGTON POST CO CL B                  939640108      43020         80   X                               80          0          0
WASHINGTON POST CO CL B                  939640108     537750       1000               X                    0          0       1000
WASTE MANAGEMENT INC NEW COM             94106L109     866128      16114   X                            16114          0          0
WASTE MANAGEMENT INC NEW COM             94106L109    6026020     112112               X                15737          0      96375
WATERFIELD MTG CO INC COM                9413289A6          0     138081               X               138081          0          0
WATERLINK INC                            94155N105      88838      30900               X                    0          0      30900
WATERS CORP                              941848103     212500       4000               X                    0          0       4000
WATKINS JOHNSON CO                       942486101     719800      24400               X                    0          0      24400
WATSON PHARMACEUTICALS INC COM           942683103     541723      15450               X                 2150          0      13300
WATTS IND INC CL A                       942749102     967075      50400               X                    0          0      50400
WEBB DEL CORP COM                        947423109    1107800      46400               X                    0          0      46400
WEBCO INDS INC                           947621108      82513      16100               X                    0          0      16100
WEIRTON STEEL CORP                       948774104     208864      90300               X                    0          0      90300
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             100058025    4076986                              2812818      11173    1252995
</TABLE>


<PAGE>   154

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   172
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

WELLMAN INC COM                          949702104    3880903     243500               X                    0          0     243500
WELLPOINT HEALTH NETWORKS INC NEW        94973H108     449838       5300               X                    0          0       5300
WELLS FARGO & CO NEW                     949746101    9700531     226913   X                           218767        250       7896
WELLS FARGO & CO NEW                     949746101   23401436     547402               X               284517          0     262885
WENDYS INTL INC COM                      950590109     293550      10300               X                 1000          0       9300
WERNER ENTERPRISES INC                   950755108     252880      12187   X                            10937          0       1250
WERNER ENTERPRISES INC                   950755108    1880988      90650               X                 2625        625      87400
WESCO INTL INC                           95082P105     512500      25000               X                    0          0      25000
WEST MARINE INC COM                      954235107     200969      13800               X                    0          0      13800
WEST PHARMACEUTICAL SVCS INC             955306105     871350      22200               X                    0          0      22200
WESTAMERICA BANCORPORATION               957090103     649700      17800               X                    0          0      17800
WESTERFED FINL CORP                      957550106     245625      15000               X                    0          0      15000
WESTCORP INC                             957907108     734625      65300               X                    0          0      65300
WESTON ROY F INC NEW COM SER A           961137106      47400      15800               X                    0          0      15800
WESTVACO CORP COM                        961548104     217500       7500               X                    0          0       7500
WEYERHAEUSER CO COM                      962166104     103125       1500   X                             1500          0          0
WEYERHAEUSER CO COM                      962166104    1350938      19650               X                 5050          0      14600
WHIRLPOOL CORP COM                       963320106     414400       5600               X                    0          0       5600
WICKES INC COM                           967446105      94676      15300               X                    0          0      15300
WILLAMETTE INDS INC COM                  969133107     126673       2750   X                             2750          0          0
WILLAMETTE INDS INC COM                  969133107     557362      12100               X                 4000          0       8100
WILLIAMS CLAYTON ENERGY INC COM          969490101     130636      22000               X                    0          0      22000
WILLIAMS SONOMA INC COM                  969904101     619671      17800               X                    0          0      17800
WILLIS LEASE FINANCE CORP                970646105    1685133     103300               X                    0          0     103300
WILSHIRE FINL SVCS GROUP INC             971867106      12975      34600               X                    0          0      34600
WILSHIRE OIL COMPANY OF TEXAS            971889100      83725      19700               X                    0          0      19700
WIND RIVER SYSTEMS INC COM               973149107    1158142      72100               X                    0          0      72100
WINDMERE-DURABLE HOLDINGS, INC           973411101     479250      28400               X                    0          0      28400
WISCONSIN ENERGY CORP COM                976657106     246244       9825   X                             7775          0       2050
WISCONSIN ENERGY CORP COM                976657106     425570      16980               X                 7415          0       9565
WISER OIL CO DEL COM                     977284108      84813      25600               X                    0          0      25600
WIT CAP GROUP INC                        97737K309     537200      15800               X                    0          0      15800
WOLOHAN LUMBER CO.                       977865104     226625      18500               X                    0          0      18500
WOLVERINE TUBE INC COM                   978093102     942188      37500               X                    0          0      37500
WORKGROUP TECHNOLOGY CORP COM            980903108      29915      16500               X                    0          0      16500
WORLDGATE COMMUNICATIONS INC             98156L307    1435000      28000               X                    0          0      28000
WORLDTEX INC                             981907108      83125      35000               X                    0          0      35000
WRIGLEY WILLIAM JR CO COM                982526105     180427       2023   X                             2023          0          0
WRIGLEY WILLIAM JR CO COM                982526105    1208408      13549               X                 2281          0      11268
XILINX INC COM                           983919101     520975       9100   X                             9100          0          0
XILINX INC COM                           983919101     646925      11300               X                 2500          0       8800
XETEL CORP                               983942103      59444      25700               X                    0          0      25700
XOMED SURGICAL PRODS INC                 98412V107     603731      12400               X                    0          0      12400
XEROX CORP COM                           984121103    5457658      92404   X                            88079         70       4255
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              62844749    2043633                               650319        945    1392369
</TABLE>


<PAGE>   155

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   173
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>          <C>         <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
    COMMON STOCK
    ---------------------

XEROX CORP COM                           984121103    5648667      95638               X                11538        300      83800
XOOM.COM INC                             98413F101     539463      10300               X                    0          0      10300
XTRA CORP COM                            984138107     316972       6900               X                    0          0       6900
YANKEE ENERGY SYS INC COM                984779108    1176749      29650               X                    0          0      29650
YELLOW CORP COM                          985509108    1169725      65900               X                    0          0      65900
YORK FINL CORP                           986630101     168992      11555               X                    0          0      11555
YORK GROUP INC                           986632107      91500      12200               X                    0          0      12200
YORK INTL CORP COM NEW                   986670107     265227       6195   X                             5900          0        295
YORK INTL CORP COM NEW                   986670107     158194       3695               X                 3295          0        400
YORK RESH CORP                           987048105     112622      18200               X                    0          0      18200
ZALE CORP NEW COM                        988858106    1088000      27200               X                    0          0      27200
ZEMEX CDA CORP                           988910105     147630      23154               X                    0          0      23154
ZENITH NATL INS CORP COM                 989390109     839713      34100               X                    0          0      34100
ZOLTEK COS INC COM                       98975W104      96844      12200               X                    0          0      12200
ZYGO CORP                                989855101     314545      27500               X                    0          0      27500
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              12134843     384387                                20733        300     363354
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                         6105057881  181089961                            103936416    1965422   75188126
</TABLE>


<PAGE>   156

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   174
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST   AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
B. PREFERRED STOCK                                                             INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>   <C>     <C>    <C>            <C>     <C>
            PREFERRED STOCK
            ----------------

                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                               0          0                                    0          0          0
</TABLE>

<PAGE>   157
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   175
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
C. OTHER                                                                       INSTR OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            OTHER
            -------------

                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                         0          0                                    0          0          0
</TABLE>

<PAGE>   158
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 020             PAGE   176
**SUMMARY PAGE FOR: 20-NATIONAL CITY BANK, INDIANA      **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                               <C>          <C>                                 <C>         <C>        <C>
A. COMMON STOCK                                    6105057881  181089961                            103936416    1965422   75188126
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                                    0          0                                    0          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                   6105057881  181089961                            103936416    1965422   75188126
</TABLE>

<PAGE>   159
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   177

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
DAIMLERCHRYSLER AG                       D1668R123      75828        852   X                              478          0        374
DAIMLERCHRYSLER AG                       D1668R123     144180       1620               X                 1371        249          0
XL CAP LTD                               G98255105     251425       4450   X                             4450          0          0
AFLAC INC COM                            001055102      50748       1060   X                             1060          0          0
AFLAC INC COM                            001055102     439971       9190               X                 5440          0       3750
AT&T CORP COM                            001957109   15248280     273203   X                           273203          0          0
AT&T CORP COM                            001957109    3377859      60521               X                58864          0       1657
ABBOTT LABS                              002824100   31056057     684431   X                           683731          0        700
ABBOTT LABS                              002824100    8340288     183808               X               175274          0       8534
AEGON N V ORD AMER REG (NLG)             007924103   19140182     258868   X                           258868          0          0
AEGON N V ORD AMER REG (NLG)             007924103    6584475      89054               X                88186          0        868
AIR PRODS & CHEMS INC COM                009158106     448385      11140   X                            11140          0          0
AIR PRODS & CHEMS INC COM                009158106      72450       1800               X                 1800          0          0
ALBERTSONS INC COM                       013104104    2173902      42160   X                            41960          0        200
ALBERTSONS INC COM                       013104104     314019       6090               X                 5440          0        650
ALCOA INC                                013817101     269651       4358   X                             4358          0          0
ALCOA INC                                013817101     654143      10572               X                10572          0          0
ALGER FD                                 015565609     581842      38558   X                            38558          0          0
ALLEGHENY ENERGY INC                     017361106     363274      11330   X                            11330          0          0
ALLEGHENY ENERGY INC                     017361106      43702       1363               X                 1363          0          0
ALLERGAN INC COM                         018490102     251637       2267   X                             2267          0          0
ALLERGAN INC COM                         018490102     111000       1000               X                 1000          0          0
ALLIANCE CAP MGMT L P                    018548107     268844       8320   X                             8320          0          0
ALLIED SIGNAL INC COM                    019512102     885780      14060   X                            14060          0          0
ALLIED SIGNAL INC COM                    019512102     406980       6460               X                 6460          0          0
ALLSTATE CORP COM                        020002101     827995      23080   X                            21580          0       1500
ALLSTATE CORP COM                        020002101    1096053      30552               X                30552          0          0
ALLTEL CORP COM                          020039103     673745       9423   X                             9423          0          0
ALLTEL CORP COM                          020039103      13156        184               X                  184          0          0
AMEREN CORP                              023608102     618950      16129   X                            16129          0          0
AMEREN CORP                              023608102     117658       3066               X                 3066          0          0
AMERICA ONLINE INC DEL COM               02364J104    2094950      19045   X                            11245          0       7800
AMERICA ONLINE INC DEL COM               02364J104     385000       3500               X                 3500          0          0
AMERICAN CENTURY                         02507M303     215644       6775   X                             6775          0          0
AMERICAN ELECTRIC POWER CO INC           025537101     355571       9466   X                             9466          0          0
AMERICAN ELECTRIC POWER CO INC           025537101      82563       2198               X                 2198          0          0
AMERICAN EXPRESS CO COM                  025816109    3609277      27737   X                            27737          0          0
AMERICAN EXPRESS CO COM                  025816109    1856363      14266               X                14266          0          0
AMERICAN GENERAL CORP                    026351106    1205322      15991   X                            15991          0          0
AMERICAN GENERAL CORP                    026351106      20351        270               X                  270          0          0
AMERICAN HOME PRODS CORP COM             026609107   26315268     458654   X                           454934          0       3720
AMERICAN HOME PRODS CORP COM             026609107    9676064     168646               X               168046          0        600
AMERICAN INTL GROUP INC COM              026874107   22894939     195266   X                           195166          0        100
AMERICAN INTL GROUP INC COM              026874107    4278453      36490               X                34124          0       2366
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             167892224    2767273                              2734205        249      32819
</TABLE>
<PAGE>   160
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   178

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
AMERICAN WTR WKS CO INC                  030411102     183823       5978   X                             5978          0          0
AMERICAN WTR WKS CO INC                  030411102      43050       1400               X                 1400          0          0
AMERITECH CORP NEW COM                   030954101    7967400     108400   X                           107850          0        550
AMERITECH CORP NEW COM                   030954101    1823976      24816               X                24816          0          0
AMGEN INC                                031162100     642840      10560   X                            10560          0          0
AMGEN INC                                031162100      60875       1000               X                 1000          0          0
ANHEUSER BUSCH                           035229103    2154884      30377   X                            30377          0          0
ANHEUSER BUSCH                           035229103    1759262      24800               X                24800          0          0
ARCHER DANIELS MIDLAND CO COM            039483102     260732      16889   X                            16889          0          0
ARCHER DANIELS MIDLAND CO COM            039483102     214048      13865               X                13865          0          0
ARMADA TAX MANAGED EQUITY FD #233        042086330     450892      35062   X                            35062          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363     130097      13302   X                            13302          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579     194183      17463   X                            17463          0          0
ARMADA CORE EQUITY FUND #681             042086595    1385972      94348   X                            93697          0        651
ARMADA INTERNATIONAL EQUITY FD           042086629    1531877     131831   X                           130208          0       1623
ARMADA INTERNATIONAL EQUITY FD           042086629      15521       1336               X                 1336          0          0
ARMADA EQUITY INDEX FUND #42             042086645    1351368     113180   X                           113180          0          0
ARMADA GNMA INSTL CL #666                042086660    2485664     248815   X                           248815          0          0
ARMADA GNMA INSTL CL #666                042086660     204907      20511               X                20511          0          0
ARMADA BOND FD INSTL CL #630             042086686   99809334   10122651   X                         10070586          0      52064
ARMADA BOND FD INSTL CL #630             042086686    9580659     971669               X               960310          0      11359
ARMADA OHIO TAX EXEMPT FUND #612         042086751     176221      16287   X                            16287          0          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777  157791003   15938485   X                         15922261          0      16224
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    2198053     222026               X               222026          0          0
ARMADA INTERMEDIATE BD FUND              042086793    8939411     864547   X                           864547          0          0
ARMADA INTERMEDIATE BD FUND              042086793     340486      32929               X                32929          0          0
ARMADA ENHANCED INCOME FUND              042086827   35763878    3601599   X                          3601599          0          0
ARMADA ENHANCED INCOME FUND              042086827     139955      14094               X                14094          0          0
ARMADA SMALL CAP VALUE FUND #616         042086843    8805742     630784   X                           621078          0       9706
ARMADA SMALL CAP VALUE FUND #616         042086843    1830308     131111               X               122493       3536       5082
ARMADA EQUITY INCOME FUND #614           042086868   79746057    4159940   X                          4140483          0      19457
ARMADA EQUITY INCOME FUND #614           042086868   12878358     671797               X               643112          0      28685
ARMADA EQUITY GROWTH FUND                042086884  110466139    4189084   X                          4126885          0      62199
ARMADA EQUITY GROWTH FUND                042086884    9290183     352301               X               224662       2034     125605
ARMSTRONG WORLD INDS INC COM             042476101     284151       4915   X                             4915          0          0
ARMSTRONG WORLD INDS INC COM             042476101       8672        150               X                  150          0          0
ASHLAND INC COM                          044204105     545499      13595   X                            13595          0          0
ASHLAND INC COM                          044204105       4534        113               X                  100          0         13
ASSOCIATES FIRST CAP CORP COM            046008108    1542742      34963   X                            34963          0          0
ASSOCIATES FIRST CAP CORP COM            046008108     326966       7410               X                 7122        288          0
ATLANTIC RICHFIELD CO COM                048825103   17747611     212386   X                           211986          0        400
ATLANTIC RICHFIELD CO COM                048825103    3162776      37849               X                35849          0       2000
AUDRE RECOGNITION SYS INC                050904101       1935      32250   X                            32250          0          0
AUTOMATIC DATA PROCESSING INC COM        053015103    7396048     168092   X                           168092          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             591638092   43344960                             43003483       5858     335618
</TABLE>
<PAGE>   161
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   179

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>          <C>         <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
AUTOMATIC DATA PROCESSING INC COM       053015103      963600      21900               X                21290          0        610
AVALONBAY CMNTYS INC                    053484101      153439       4147   X                             4147          0          0
AVALONBAY CMNTYS INC                    053484101      144929       3917               X                 3917          0          0
AVON PRODS INC COM                      054303102      283494       5108   X                             5108          0          0
BP AMOCO PLC-SPONS ADR                  055622104    32542948     299935   X                           297819          0       2116
BP AMOCO PLC-SPONS ADR                  055622104    16362777     150809               X               149221          0       1588
BANK OF AMER CORP COM                   060505104     2666907      36377   X                            36377          0          0
BANK OF AMER CORP COM                   060505104      496769       6776               X                 6776          0          0
BANK NEW YORK INC COM                   064057102      519869      14170   X                            14170          0          0
BANK NEW YORK INC COM                   064057102       22013        600               X                  600          0          0
BANK ONE CORP COM                       06423A103    16694139     280277   X                           278250          0       2027
BANK ONE CORP COM                       06423A103    10372539     174144               X               171937        324       1883
BARD C R INC                            067383109      301222       6300   X                             6300          0          0
BARON ASSET FD                          068278100      941947      15536   X                            15536          0          0
BAXTER INTL INC COM                     071813109      212006       3497   X                             3497          0          0
BAXTER INTL INC COM                     071813109      386727       6379               X                 6379          0          0
BEARGRASS CORP COM                      073000606       10000      20000   X                            20000          0          0
BECKMAN COULTER INC                     075811109       12399        255   X                              255          0          0
BECKMAN COULTER INC                     075811109      904085      18593               X                18593          0          0
BELL ATLANTIC CORP COM                  077853109    13925594     213011   X                           210211          0       2800
BELL ATLANTIC CORP COM                  077853109     2483073      37982               X                37982          0          0
BELLSOUTH CORP COM                      079860102    19936194     432221   X                           429421          0       2800
BELLSOUTH CORP COM                      079860102     7759332     168224               X               165124        400       2700
BERKSHIRE HATHAWAY INC DEL              084670108     4540800         66   X                               66          0          0
BERKSHIRE HATHAWAY INC DEL              084670108      550400          8               X                    8          0          0
BERKSHIRE HATHAWAY INC DEL              084670207     3888640       1736   X                             1721          0         15
BERKSHIRE HATHAWAY INC DEL              084670207      443520        198               X                  198          0          0
BEST FOODS                              08658U101      668399      13503   X                            13503          0          0
BEST FOODS                              08658U101      342194       6913               X                 6913          0          0
BIOMET INC COM                          090613100      160988       4050   X                             4050          0          0
BIOMET INC COM                          090613100       79500       2000               X                 2000          0          0
BOEING CO                               097023105     2266924      51521   X                            50021          0       1500
BOEING CO                               097023105      683144      15526               X                15526          0          0
AMERICAN FUNDS BOND FUND OF AMERICA     097873103      135743      10245   X                            10245          0          0
BOYLE BANCORP INC CAP STK               103445912      283500       5250   X                             5250          0          0
BOYLE BANCORP INC                       103990107      702000      13000   X                            13000          0          0
BRANDYWINE FD INC COM                   10532D107    11249991     325050   X                           325050          0          0
BRANDYWINE FD INC COM                   10532D107       23570        681               X                  681          0          0
BRIGHTPOINT INC COM                     109473108      117622      19400   X                            19400          0          0
BRIGHTPOINT INC COM                     109473108       24252       4000               X                 4000          0          0
BRISTOL MYERS SQUIBB CO COM             110122108    73769929    1047303   X                          1041503          0       5800
BRISTOL MYERS SQUIBB CO COM             110122108    26433127     375268               X               371318        400       3550
BROWN FORMAN CORP CL A                  115637100   135022721    2264532   X                            75464          0    2189068
BROWN FORMAN CORP CL A                  115637100   711932994   11940176               X               296651          0   11643525
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                            1101415960   18020584                              4159478       1124   13859982
</TABLE>
<PAGE>   162
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   180

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
BROWN FORMAN CORP CL B                   115637209    8408013     128981   X                           127375          0       1606
BROWN FORMAN CORP CL B                   115637209  586598390    8998564               X              1770548          0    7228016
BROWNING FERRIS INDS INC COM             115885105     797263      18541   X                            18541          0          0
BROWNING FERRIS INDS INC COM             115885105     292400       6800               X                 6800          0          0
BURLINGTON NORTHERN SANTA FE CORP        12189T104    1260739      40669   X                            40669          0          0
BURLINGTON NORTHERN SANTA FE CORP        12189T104     550095      17745               X                17745          0          0
BURLINGTON RES INC COM                   122014103     426445       9860   X                             9860          0          0
BURLINGTON RES INC COM                   122014103     263825       6100               X                 6100          0          0
CBS CORP                                 12490K107      68612       1575   X                             1575          0          0
CBS CORP                                 12490K107     200564       4604               X                 4604          0          0
CCALL.COM INC                            1250009A9      50000      62282   X                            62282          0          0
CIGNA CORP COM                           125509109     213600       2400   X                             2400          0          0
CIGNA CORP COM                           125509109     133500       1500               X                 1500          0          0
CNET INC COM                             125945105     242025       4200   X                             3000          0       1200
CNET INC COM                             125945105      34575        600               X                    0          0        600
CSX CORP COM                             126408103    2391852      52713   X                            52713          0          0
CSX CORP COM                             126408103     743061      16376               X                16376          0          0
CVS CORPORATION (DEL)                    126650100    3147363      62017   X                            61417          0        600
CVS CORPORATION (DEL)                    126650100     415846       8194               X                 8194          0          0
CALVERT SOCIAL INVT FD                   131618209      90334      90334   X                                0          0      90334
CAMCO FINL CORP                          132618109     197820      15000   X                            15000          0          0
CAMPBELL SOUP CO COM                     134429109     204050       4400   X                             4400          0          0
CAMPBELL SOUP CO COM                     134429109     371000       8000               X                 8000          0          0
AMERICAN FUNDS                           140193103     592978      12523   X                            12523          0          0
CARDINAL HEALTH INC COM                  14149Y108     739105      11526   X                            11526          0          0
CARDINAL HEALTH INC COM                  14149Y108      25458        397               X                  397          0          0
CARNIVAL CORP COM                        143658102    3576390      73740   X                            73340          0        400
CARNIVAL CORP COM                        143658102    1185340      24440               X                23830          0        610
CAROLINA PWR & LT CO COM                 144141108     307183       7175   X                             7175          0          0
CAROLINA PWR & LT CO COM                 144141108      10703        250               X                  250          0          0
CATERPILLAR INC COM                      149123101     440820       7347   X                             7347          0          0
CATERPILLAR INC COM                      149123101    1590120      26502               X                26002        500          0
CENTRAL & SOUTHWEST CORP COM             152357109     915739      39176   X                            39176          0          0
CENTRAL & SOUTHWEST CORP COM             152357109     127768       5466               X                 5466          0          0
CENTRAL PKG CORP COM                     154785109     401068      11710   X                            11710          0          0
CENTRAL PKG CORP COM                     154785109      25688        750               X                  750          0          0
CERIDIAN CORP COM                        15677T106     278338       8515   X                             8515          0          0
CHAMPION INDUSTRIES INC/WV COM           158520106     122450      15800   X                            15800          0          0
CHASE MANHATTAN CORP (NEW) COM           16161A108    2149612      24851   X                            24251          0        600
CHASE MANHATTAN CORP (NEW) COM           16161A108     970790      11223               X                 9723        200       1300
CHEVRON CORP COM                         166751107   31666436     333110   X                           330345          0       2765
CHEVRON CORP COM                         166751107   11110488     116875               X               116235          0        640
CHUBB CORP COM                           171232101     559823       8055   X                             8055          0          0
CHUBB CORP COM                           171232101     371130       5340               X                 5340          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             664268799   10306226                              2976855        700    7328671
</TABLE>
<PAGE>   163
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   181

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
CHURCH & DWIGHT INC COM                  171340102     514605      11830   X                            11830          0          0
CHURCHILL DOWNS INC COM                  171484108    1603698      46484   X                            46484          0          0
CHURCHILL DOWNS INC COM                  171484108     295320       8560               X                 8560          0          0
AQUILA CHURCHILL                         171562101    1328648     126538   X                           126538          0          0
AQUILA CHURCHILL                         171562101     480986      45808               X                45808          0          0
CHURCHILL TAX FREE FD KY                 171562408    2632298     250456   X                           250456          0          0
CIMA LABORATORIES INC                    171796105     138750      30000   X                            30000          0          0
CINCINNATI BELL INC COM                  171870108     318807      12784   X                            12784          0          0
CINCINNATI BELL INC COM                  171870108       2045         82               X                   82          0          0
CINCINNATI FINL CORP COM                 172062101    1090379      29028   X                            29028          0          0
CINCINNATI FINL CORP COM                 172062101     170386       4536               X                 4536          0          0
CIRCUIT CITY STORES-CIRCUIT CITY         172737108     213900       2300   X                             2300          0          0
CISCO SYS INC COM                        17275R102   17232719     267431   X                           260531          0       6900
CISCO SYS INC COM                        17275R102    2483956      38548               X                35348          0       3200
CINTAS CORP COM                          172908105    3867073      57556   X                            57456          0        100
CINTAS CORP COM                          172908105     293948       4375               X                 3175          0       1200
CITIGROUP INC COM                        172967101    2527760      53216   X                            53216          0          0
CITIGROUP INC COM                        172967101     240445       5062               X                 5062          0          0
CITIZENS UTILS CO DEL CL B               177342201     126355      11358   X                            11330          0         28
CITIZENS UTILS CO DEL CL B               177342201      24308       2185               X                 2185          0          0
CLASSIC BANCSHARES INC COM               18272M104     664300      47450               X                47450          0          0
CLEAR CHANNEL COMMUNICATIONS INC COM     184502102   10208891     148088   X                           148088          0          0
CLOROX CO COM                            189054109    4500139      42131   X                            42031          0        100
CLOROX CO COM                            189054109     857922       8032               X                 8032          0          0
COCA-COLA CO COM                         191216100   58074470     936685   X                           931155          0       5530
COCA-COLA CO COM                         191216100   28597996     461258               X               434674          0      26584
COLGATE-PALMOLIVE CO COM                 194162103    2763132      28052   X                            28052          0          0
COLGATE-PALMOLIVE CO COM                 194162103    1754088      17808               X                16974          0        834
COLUMBIA/HCA HEALTHCARE CORP COM         197677107    2263369      99214   X                            99214          0          0
COLUMBIA/HCA HEALTHCARE CORP COM         197677107    1212351      53143               X                53143          0          0
COMCAST CORP CL A SPL                    200300200     925587      24080   X                            24080          0          0
COMCAST CORP CL A SPL                    200300200     199724       5196               X                 5196          0          0
COMERICA INC COM                         200340107     590041       9927   X                             9927          0          0
COMERICA INC COM                         200340107     181345       3051               X                 3051          0          0
COMMONWEALTH FINANCIAL CORP              202999A16     501000        334               X                  167          0        167
COMMUNITY TR BANCORP INC                 204149108      88708       3795   X                             3795          0          0
COMMUNITY TR BANCORP INC                 204149108     118184       5056               X                 5056          0          0
COMPAQ COMPUTER CORP COM                 204493100    2606225     110023   X                           108348          0       1675
COMPAQ COMPUTER CORP COM                 204493100     515688      21770               X                20770       1000          0
CONAGRA INC COM                          205887102     123753       4648   X                             4648          0          0
CONAGRA INC COM                          205887102      95850       3600               X                 3600          0          0
CONOCO INC COMMN                         208251306     290597      10425   X                             9975          0        450
CONSOLIDATED EDISON INC                  209115104     952513      21050   X                            21050          0          0
CONSOLIDATED EDISON INC                  209115104     240278       5310               X                 5310          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             153912537    3078263                              3030495       1000      46768
</TABLE>
<PAGE>   164
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   182

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
CONSOLIDATED NAT GAS CO COM              209615103    1100729      18119   X                            18119          0          0
CONSOLIDATED NAT GAS CO COM              209615103     428895       7060               X                 7060          0          0
CONVERGYS CORP                           212485106     224440      11584   X                            11584          0          0
CONVERGYS CORP                           212485106       1589         82               X                   82          0          0
CORNING INC COM                          219350105     745569      10632   X                            10632          0          0
CORNING INC COM                          219350105     307358       4383               X                 4383          0          0
COSTCO COMPANIES INC                     22160Q102     553636       6915   X                             6915          0          0
COVENTRY GROUP INC                       222861700     669492      55193   X                            55193          0          0
COX TECHNOLOGIES INC                     224056101       6800      10000   X                            10000          0          0
CROWN PAC PARTNERS LP                    228439105     472500      21000   X                            21000          0          0
CROWN PAC PARTNERS LP                    228439105      22500       1000               X                 1000          0          0
CUMBERLAND VALLEY MUSIC CO COM           230002149     215604        329   X                              329          0          0
DAILY NEWS BROADCASTING CO               238810907       9075         55   X                               55          0          0
DAILY NEWS BROADCASTING CO               238810907     327525       1985               X                 1985          0          0
DAYTON HUDSON CORP COM                   239753106    4265105      65617   X                            65467          0        150
DAYTON HUDSON CORP COM                   239753106    1311050      20170               X                20170          0          0
DEERE & CO COM                           244199105     422172      10773   X                            10773          0          0
DEERE & CO COM                           244199105     126656       3232               X                 3232          0          0
DELL COMPUTER CORP COM                   247025109    3506120      94760   X                            93960          0        800
DELL COMPUTER CORP COM                   247025109     391460      10580               X                 9580          0       1000
DELPHI AUTOMOTIVE SYS CORP               247126105     252359      13641   X                            13641          0          0
DELPHI AUTOMOTIVE SYS CORP               247126105     100955       5457               X                 5457          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103     185186      10974   X                            10974          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103      13500        800               X                  800          0          0
DIEBOLD INC COM                          253651103     639285      22236   X                            22236          0          0
DIEBOLD INC COM                          253651103     345690      12024               X                12024          0          0
DIESEL INJECTION OF LOUISVILLE INC       253706907     436000        109   X                              109          0          0
DISNEY TIRE & RUBBER CO COM              254002256    1406144        446   X                              446          0          0
DISNEY WALT CO COM                       254687106    6469991     209976   X                           209476          0        500
DISNEY WALT CO COM                       254687106    1570046      50954               X                50954          0          0
DOLLAR GEN CORP COM                      256669102     657981      22689   X                            22689          0          0
DOLLAR GEN CORP COM                      256669102      16298        562               X                  562          0          0
DOMINION RES INC VA                      257470104     837110      19327   X                            19002          0        325
DOMINION RES INC VA                      257470104     275601       6363               X                 6363          0          0
DOVER CORP COM                           260003108     455000      13000   X                            13000          0          0
DOVER CORP COM                           260003108      10500        300               X                  300          0          0
DOW CHEM CO COM                          260543103    3620378      28535   X                            28535          0          0
DOW CHEM CO COM                          260543103    1471623      11599               X                11599          0          0
DU PONT E I DE NEMOURS & CO COM          263534109   17059327     249723   X                           249573          0        150
DU PONT E I DE NEMOURS & CO COM          263534109    6140519      89888               X                89888          0          0
DUFF & PHELPS UTILS INCOME INC COM       264324104     149090      14032   X                            14032          0          0
DUFF & PHELPS UTILS INCOME INC COM       264324104      63750       6000               X                 6000          0          0
DUKE ENERGY CORP COM                     264399106     513296       9429   X                             9429          0          0
DUKE ENERGY CORP COM                     264399106     497563       9140               X                 9140          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              58295467    1160673                              1157748          0       2925
</TABLE>
<PAGE>   165
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   183

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
DUKE REALTY INVST CO NEW                 264411505    1984642      87960   X                            87160          0        800
DUKE REALTY INVST CO NEW                 264411505     422379      18720               X                18720          0          0
DUN & BRADSTREET CORP DEL                26483B106     620945      17522   X                            17522          0          0
DUN & BRADSTREET CORP DEL                26483B106     147954       4175               X                 4175          0          0
DUPREE MUT FDS                           266155100    1450313     194152   X                           194152          0          0
E M C CORP MASS COM                      268648102     553300      10060   X                             9660          0        400
E M C CORP MASS COM                      268648102      55000       1000               X                 1000          0          0
EASTMAN KODAK CO COM                     277461109     827770      12218   X                            12218          0          0
EASTMAN KODAK CO COM                     277461109     106706       1575               X                 1575          0          0
EATON CORP COM                           278058102    2151236      23383   X                            23383          0          0
EATON CORP COM                           278058102     765348       8319               X                 8319          0          0
EDISON INTL COM                          281020107     300938      11250   X                            11250          0          0
EDISON INTL COM                          281020107      79715       2980               X                 2980          0          0
EL PASO ENERGY CORP COM                  283905107     150112       4266   X                             4266          0          0
EL PASO ENERGY CORP COM                  283905107      74739       2124               X                 2124          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104    6451173     113928   X                           113928          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104     696318      12297               X                12297          0          0
ELFUN TRS UNIT CTF                       286281100     338098       4733               X                 4733          0          0
EMERSON ELEC CO COM                      291011104    7454566     118443   X                           118443          0          0
EMERSON ELEC CO COM                      291011104    2800049      44489               X                44324          0        165
ENRON CORP COM                           293561106     636669       7788   X                             7788          0          0
ENRON CORP COM                           293561106      88045       1077               X                 1077          0          0
ENTERGY CORP NEW COM                     29364G103     164125       5252   X                             5252          0          0
ENTERGY CORP NEW COM                     29364G103      37500       1200               X                 1200          0          0
EQUITY INCOME FD UNIT                    294700703     209403       1011   X                             1011          0          0
ERICSSON L M TEL CO                      294821400     805663      24460   X                            24460          0          0
ERICSSON L M TEL CO                      294821400     144927       4400               X                 1400          0       3000
AMERICAN FUNDS                           298706102     676108      20874   X                            20874          0          0
EXIGENT INTL INC                         302056114      17250      13800   X                            13800          0          0
EXXON CORP COM                           302290101   55063464     713951   X                           711451          0       2500
EXXON CORP COM                           302290101   24205131     313843               X               305738          0       8105
FPL GROUP INC COM                        302571104    1323127      24222   X                            24222          0          0
FPL GROUP INC COM                        302571104     238984       4375               X                 4375          0          0
FARMERS CAPITAL BANCORP COM              309562106     389719      10978   X                            10978          0          0
FEDDERS CORP                             313135105      82813      12500               X                12500          0          0
FREDDIE MAC COM                          313400301    1044290      18005   X                            18005          0          0
FREDDIE MAC COM                          313400301      72500       1250               X                  950          0        300
FANNIE MAE COM                           313586109    8013096     117408   X                           116408          0       1000
FANNIE MAE COM                           313586109    1128377      16533               X                15833          0        700
FIDELITY CAP TR                          316066307    1825207      56648   X                            56648          0          0
FIDELITY CAP TR                          316066307      27058        840               X                  840          0          0
FIDELITY CONTRAFUND INC #22              316071109     267120       4251   X                             4251          0          0
FIDELITY EQUITY INCOME FD INC            316138106     194984       3164   X                             3164          0          0
FIDELITY EQUITY INCOME FD INC            316138106     535043       8682               X                 8682          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             124621904    2080106                              2063136          0      16970
</TABLE>
<PAGE>   166
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   184

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
FIDELITY FINL TR                         316145101     599819      18744   X                            18744          0          0
FIDELITY FINL TR                         316145309     453877      20012               X                20012          0          0
FIDELITY FIXED INCOME TR                 316146406     245805      19664               X                19664          0          0
FIDELITY SPARTAN U S TREAS               31617H300     345000     345000               X               345000          0          0
FIDELITY MAGELLAN FUND INC               316184100     208742       1609   X                             1609          0          0
FIDELITY                                 316389204    1116221      22902   X                            22902          0          0
FIDELITY                                 316389204      16859        346               X                  346          0          0
FIDELITY SELECT PORTFOLIOS               316390863      25646        413   X                              413          0          0
FIDELITY SELECT PORTFOLIOS               316390863     308654       4973               X                 4973          0          0
FIFTH THIRD BANCORP                      316773100    4502454      67642   X                            67642          0          0
FIFTH THIRD BANCORP                      316773100    1293386      19431               X                19431          0          0
FIRST AUSTRALIA                          318653102     214500      33000   X                            33000          0          0
FIRST AMERN CORP TENN COM                318900107     349212       8402   X                             8402          0          0
FIRST FRANKLIN CORP COM                  320272107     485625      35000   X                            35000          0          0
FIRST SENTINEL BANCORP INC               33640T103    6113207     688812   X                                0          0     688812
FIRST UNION CORP COM                     337358105   12573327     266808   X                            21308          0     245500
FIRST UNION CORP COM                     337358105     150046       3184               X                 3184          0          0
FIRST WESTERN BANCORP INC COM            337505101     750735      22410   X                            22410          0          0
FIRSTAR CORP NEW WIS                     33763V109    4300156     153577   X                           153577          0          0
FIRSTAR CORP NEW WIS                     33763V109    1338456      47802               X                47802          0          0
FLEET FINL GROUP INC NEW COM             338915101     857369      19321   X                            19321          0          0
FLEET FINL GROUP INC NEW COM             338915101     337250       7600               X                 7600          0          0
FORD MOTOR CO DEL COM                    345370100    2792665      49482   X                            47482          0       2000
FORD MOTOR CO DEL COM                    345370100    1358011      24062               X                24062          0          0
FORT JAMES CORP                          347471104    1854815      48972   X                            48972          0          0
FORT JAMES CORP                          347471104     331899       8763               X                 8763          0          0
FORTUNE BRANDS INC                       349631101    1780946      43044   X                            43044          0          0
FORTUNE BRANDS INC                       349631101     943681      22808               X                22383          0        425
FRANKLIN CUSTODIAN FDS INC               353496300      43045      18474   X                            18474          0          0
FRANKLIN CUSTODIAN FDS INC               353496607     158372      23744   X                            23744          0          0
FRANKLIN RES INC COM                     354613101     795966      19593   X                            19093          0        500
FRANKLIN RES INC COM                     354613101     130000       3200               X                 3200          0          0
FRANKLIN TAX FREE TR                     354723728     388202      34973   X                            34973          0          0
GTE CORP COM                             362320103   16672816     220832   X                           218082          0       2750
GTE CORP COM                             362320103    5015163      66426               X                64426          0       2000
GALLAHER GROUP PLC                       363595109     245015      10026   X                            10026          0          0
GALLAHER GROUP PLC                       363595109     328642      13448               X                13448          0          0
GANNETT CO INC COM                       364730101    2098282      29398   X                            29398          0          0
GANNETT CO INC COM                       364730101     306913       4300               X                 4300          0          0
GAP INC COM                              364760108    1060847      21059   X                            21059          0          0
GAP INC COM                              364760108      84731       1682               X                 1312          0        370
GENERAL DYNAMICS CORP COM                369550108     211171       3066   X                             3066          0          0
GENERAL ELEC CO COM                      369604103  140601206    1244258   X                          1237953          0       6305
GENERAL ELEC CO COM                      369604103   32443091     287107               X               285767          0       1340
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             246231825    4005369                              3055367          0     950002
</TABLE>
<PAGE>   167
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   185

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
GENERAL MILLS INC COM                    370334104    1674452      20833   X                            20833          0          0
GENERAL MILLS INC COM                    370334104     683188       8500               X                 8500          0          0
GENERAL MTRS CORP COM                    370442105    1131174      17139   X                            17139          0          0
GENERAL MTRS CORP COM                    370442105     970200      14700               X                14700          0          0
GENUINE PARTS CO COM                     372460105     309400       8840   X                             8840          0          0
GENUINE PARTS CO COM                     372460105      10500        300               X                  300          0          0
GEORGIA PACIFIC CORP COM                 373298108    1812236      38253   X                            38253          0          0
GEORGIA PACIFIC CORP COM                 373298108     663061      13996               X                13996          0          0
GEORGIA PAC CORP                         373298702     145061       5745   X                             5745          0          0
GEORGIA PAC CORP                         373298702      83325       3300               X                 3300          0          0
GILLETTE CO COM                          375766102    5343161     130321   X                           128513          0       1808
GILLETTE CO COM                          375766102    1555458      37938               X                36938          0       1000
GLAXO WELLCOME PLC                       37733W105     702603      12408   X                            12408          0          0
GLAXO WELLCOME PLC                       37733W105     169875       3000               X                 3000          0          0
GOLDEN WEST FINL CORP                    381317106     304290       3105   X                             3105          0          0
GOLDEN WEST FINL CORP                    381317106      21560        220               X                  220          0          0
GOODYEAR TIRE & RUBBER CO COM            382550101     127801       2173   X                             2173          0          0
GOODYEAR TIRE & RUBBER CO COM            382550101     211727       3600               X                 3600          0          0
GOVERNMENT SECS INCOME FD                383743499        410      10000   X                            10000          0          0
GOVERNMENT SECS INCOME FD UNIT GNMA      383744240       2107      20071   X                            20071          0          0
GOVERNMENT SECS INCOME FD                383744562      21385      91000   X                            91000          0          0
GOVERNMENT SECS INCOME FD                383744687      20055      35000   X                            35000          0          0
GROWTH FD AMER INC COM                   399874106     320119      12003   X                            12003          0          0
GUIDANT CORP COM                         401698105     280676       5490   X                             5490          0          0
HALLIBURTON CO COM                       406216101    1475738      32613   X                            30613          0       2000
HALLIBURTON CO COM                       406216101     328741       7265               X                 7265          0          0
HARBOR                                   411511306   16379639     413941   X                           413941          0          0
HARBOR FD CAPITAL APPRECIATION           411511504     358471       8028   X                             7382          0        647
HARLEY DAVIDSON INC COM                  412822108    1657894      30490   X                            30490          0          0
HARLEY DAVIDSON INC COM                  412822108      91078       1675               X                 1675          0          0
HARSCO CORP COM                          415864107    2910208      90944   X                            90944          0          0
HEALTHSOUTH CORP COM                     421924101     435094      29250   X                            29250          0          0
HEALTHSOUTH CORP COM                     421924101      15619       1050               X                  850          0        200
HEINZ H J CO COM                         423074103    3162201      63086   X                            63086          0          0
HEINZ H J CO COM                         423074103    1297837      25892               X                25892          0          0
HERSHEY FOODS CORP                       427866108    1684053      28363   X                            28363          0          0
HERSHEY FOODS CORP                       427866108     695875      11720               X                11720          0          0
HEWLETT PACKARD CO COM                   428236103    6144972      61144   X                            59754          0       1390
HEWLETT PACKARD CO COM                   428236103    2386574      23747               X                23047          0        700
HILLERICH & BRADSBY CO COM               431999101    2047250      21550   X                            21550          0          0
HINDMAN BANCSHARES INC                   4330909A7     245191        212   X                              212          0          0
HOME DEPOT INC COM                       437076102   23473217     364276   X                           360176          0       4100
HOME DEPOT INC COM                       437076102    5325543      82646               X                71196          0      11450
HONEYWELL INC COM                        438506107     325725       2811   X                             2811          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              87004744    1798638                              1775344          0      23295
</TABLE>
<PAGE>   168
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   186

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
HONEYWELL INC COM                        438506107     185400       1600               X                 1600          0          0
HONG KONG & CHINA GAS LTD ADR            438550303      15795      11984   X                            11984          0          0
HONG KONG & CHINA GAS LTD ADR            438550303      53417      40529               X                    0          0      40529
HOUSEHOLD INTL CORP COM                  441815107     988764      20871   X                            20871          0          0
HOUSEHOLD INTL CORP COM                  441815107     416711       8796               X                 8796          0          0
HUBBELL INC CL B                         443510201     492546      10855   X                            10855          0          0
HUBBELL INC CL B                         443510201     103092       2272               X                 2272          0          0
HUMANA INC COM                           444859102   82171399    6351167   X                          6351167          0          0
HUMANA INC COM                           444859102     533382      41226               X                41226          0          0
HUNTINGTON BANCSHARES INC COM            446150104     367080      10488   X                            10488          0          0
HUTTON TEL TR                            447900101     667830     113000   X                           113000          0          0
I / NET INC                              449775105       5310      10000   X                            10000          0          0
IMS HEALTH INC                           449934108     989813      31674   X                            31674          0          0
IMS HEALTH INC                           449934108     146875       4700               X                 4700          0          0
ILLINOIS TOOL WORKS INC COM              452308109    3724530      45560   X                            45560          0          0
ILLINOIS TOOL WORKS INC COM              452308109     887396      10855               X                10550          0        305
INCOME FD AMER INC COM                   453320103     208981      11827   X                            11827          0          0
INCOME FD AMER INC COM                   453320103      26505       1500               X                 1500          0          0
INKINE PHARMACEUTICALS INC               457214104     325000     200000   X                           200000          0          0
INTEL CORP COM                           458140100   15937789     267862   X                           263132          0       4730
INTEL CORP COM                           458140100    3269525      54950               X                53350          0       1600
INTERNATIONAL BUSINESS MACHS CORP        459200101   23248973     179876   X                           179176          0        700
INTERNATIONAL BUSINESS MACHS CORP        459200101    9225607      71378               X                70378        800        200
INTERNATIONAL PAPER CO COM               460146103    1324439      26357   X                            26357          0          0
INTERNATIONAL PAPER CO COM               460146103     589533      11732               X                11732          0          0
INTERPUBLIC GROUP COS INC COM            460690100    1342254      15495   X                            14455          0       1040
INTERPUBLIC GROUP COS INC COM            460690100     181913       2100               X                 1350          0        750
INVESTMENT CO OF AMERICA COM             461308108     177784       5182   X                             5182          0          0
INVESTMENT CO OF AMERICA COM             461308108     280535       8176               X                 8176          0          0
IPALCO ENTERPRISES INC COM               462613100     213278      10066   X                            10066          0          0
IPALCO ENTERPRISES INC COM               462613100      25426       1200               X                 1200          0          0
J J CARTER & SON MOVING & STORAGE        46618C902     789000        263               X                  143          0        120
JANUS FUND INCORPORATED                  471023101   16258749     404446   X                           403268          0       1179
JANUS FUND INCORPORATED                  471023101     204810       5095               X                 5095          0          0
JANUS INVT FD WORLDWIDE FD               471023309    1799338      33677   X                            33677          0          0
JANUS INVT FD WORLDWIDE FD               471023309      39826        745               X                  745          0          0
JOHNSON & JOHNSON COM                    478160104   19283719     196773   X                           194538          0       2235
JOHNSON & JOHNSON COM                    478160104    4229974      43163               X                41831          0       1332
KAUFMANN FD INC COM                      486250103    2112832     373953   X                           373953          0          0
KAUFMANN FD INC COM                      486250103      55346       9796               X                 9796          0          0
KELLER MFG INC                           48767A109     212676      22992   X                            22992          0          0
KELLOGG CO COM                           487836108     160908       4876   X                             4876          0          0
KELLOGG CO COM                           487836108      66000       2000               X                 2000          0          0
KEMPER                                   488438102     111025      13108   X                             5845          0       7263
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             193451085    8694165                              8631383        800      61983
</TABLE>
<PAGE>   169
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   187

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
KEMPER GOVT SECS TR                      488903550       5100      25000               X                25000          0          0
KENTUCKY ELEC STL INC                    49127B100      55176      16500               X                16500          0          0
KENTUCKY RIVER COAL CORP COM             491404109    1806000        602               X                  602          0          0
KEYCORP NEW COM                          493267108     250511       7798   X                             7798          0          0
KEYCORP NEW COM                          493267108     128500       4000               X                 4000          0          0
KIMBERLY-CLARK CORP COM                  494368103    2983722      52346   X                            52346          0          0
KIMBERLY-CLARK CORP COM                  494368103     885495      15535               X                15535          0          0
KONINKLIJKE PHILIPS ELECTRS              500472204      60525        600   X                              600          0          0
KONINKLIJKE PHILIPS ELECTRS              500472204     399062       3956               X                 3956          0          0
KROGER CO COM                            501044101    2228447      79764   X                            79764          0          0
KROGER CO COM                            501044101     769971      27560               X                27560          0          0
LG & E ENERGY CORP COM                   501917108   18045455     859307   X                           852406          0       6901
LG & E ENERGY CORP COM                   501917108    4652550     221550               X               221150          0        400
LEXMARK INTL GROUP INC                   529771107     551772       8424   X                             8424          0          0
LEXMARK INTL GROUP INC                   529771107      42575        650               X                  650          0          0
LILLY ELI & CO COM                       532457108    5187942      72432   X                            72321          0        111
LILLY ELI & CO COM                       532457108    2004784      27990               X                23990          0       4000
LINCOLN NATL CORP IND COM                534187109     359181       6866   X                             6866          0          0
LONE STAR LIQUIDATING TRUST              54229R102      16645      16645   X                            16645          0          0
LONGLEAF PARTNERS FDS TR                 543069207     455258      18750   X                            18750          0          0
LONGVIEW FIBRE CO COM                    543213102     853125      54600   X                            54600          0          0
LONGVIEW FIBRE CO COM                    543213102     101563       6500               X                 6500          0          0
LORD ABBETT AFFILIATED FD INC COM        544001100     357355      21424   X                            21424          0          0
LORD ABBETT AFFILIATED FD INC COM        544001100      48811       2926               X                 2926          0          0
LOWES COS INC COM                        548661107     709564      12517   X                            10517          0       2000
LOWES COS INC COM                        548661107      45350        800               X                    0          0        800
LUCENT TECHNOLOGIES INC COM              549463107   33522991     497094   X                           493678          0       3416
LUCENT TECHNOLOGIES INC COM              549463107    8512496     126227               X               119713       1200       5314
MBIA INC                                 55262C100     129500       2000   X                             2000          0          0
MBIA INC                                 55262C100     116550       1800               X                 1800          0          0
MCI WORLDCOM INC                         55268B106   12002174     139458   X                           138733          0        725
MCI WORLDCOM INC                         55268B106    1632013      18963               X                17528        435       1000
MDU RES GROUP INC                        552690109     349039      15300   X                            15300          0          0
MFS SER TR IV                            552987505     407787      38763   X                            38763          0          0
MARSH & MCLENNAN COS INC                 571748102    3932824      51961   X                            51361          0        600
MARSH & MCLENNAN COS INC                 571748102     505217       6675               X                 6675          0          0
MASCO CORP                               574599106     344623      11935   X                            11935          0          0
MASCO CORP                               574599106     119831       4150               X                 4150          0          0
MAXIM INTEGRATED PRODS INC               57772K101    1096918      16495   X                            16495          0          0
MAXIM INTEGRATED PRODS INC               57772K101     111388       1675               X                 1675          0          0
MAY DEPT STORES CO                       577778103     317067       7757   X                             7757          0          0
MAY DEPT STORES CO                       577778103     104517       2557               X                 2100          0        457
MCDONALDS CORP                           580135101   11878792     288846   X                           288846          0          0
MCDONALDS CORP                           580135101    3992826      97090               X                97090          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             122080992    2893788                              2866429       1635      25724
</TABLE>
<PAGE>   170
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   188

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>

            COMMON STOCK
MCGRAW-HILL COS INC                      580645109    2281146      42292   X                            42292          0          0
MCGRAW-HILL COS INC                      580645109     388138       7196               X                 7196          0          0
MCKESSON HBOC INC                        58155Q103     323103      10038   X                             9742          0        296
MEDIAONE GROUP INC                       58440J104    2397850      32240   X                            32240          0          0
MEDIAONE GROUP INC                       58440J104     691093       9292               X                 9292          0          0
MANSBACH REALTY CO                       5849999A6          3     500000   X                           500000          0          0
250,000 SHARES MANSBACH REALTY CTF       5849999B4          1     250000   X                           250000          0          0
MEDTRONIC INC                            585055106    4483965      57579   X                            57579          0          0
MEDTRONIC INC                            585055106     441785       5673               X                 4673          0       1000
MELLON BK CORP                           585509102     780244      21450   X                            20100          0       1350
MELLON BK CORP                           585509102     179547       4936               X                 4936          0          0
MERCK & CO INC                           589331107   47105128     639798   X                           635248          0       4550
MERCK & CO INC                           589331107   12380854     168161               X               166011          0       2150
MERIDIAN FD INC                          589619105     269710      10263   X                            10263          0          0
MERIDIAN FD INC                          589619105      13621        518               X                  518          0          0
MERRILL LYNCH & CO INC                   590188108     318000       4000   X                             4000          0          0
MERRILL LYNCH MUN BD FD INC              590193108      78741      10108   X                            10108          0          0
MICROSOFT CORP                           594918104   22344348     247753   X                           244745          0       3008
MICROSOFT CORP                           594918104    7057752      78256               X                73656          0       4600
MIDCAP SPDR TR                           595635103     337283       4300               X                 4300          0          0
MID AMER BANCORP COM                     595915109    1702893      69153   X                            69153          0          0
MID AMER BANCORP COM                     595915109     549359      22309               X                22309          0          0
MINNESOTA MNG & MFG CO                   604059105   13447918     154684   X                           153684          0       1000
MINNESOTA MNG & MFG CO                   604059105    4787850      55072               X                55072          0          0
MOBIL CORP                               607059102   15163260     153552   X                           153122          0        430
MOBIL CORP                               607059102    7929329      80297               X                80297          0          0
FEDERATED MASTER TRUST FD NO.18          60934N740      50820      50820   X                            50820          0          0
MONSANTO CO                              611662107    2230958      56390   X                            55390          0       1000
MONSANTO CO                              611662107     376046       9505               X                 9305        200          0
MORGAN J P & CO INC                      616880100   17755126     126371   X                            16371          0     110000
MORGAN J P & CO INC                      616880100     805908       5736               X                 5736          0          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     481927       4696   X                             4696          0          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448    1007983       9822               X                 9822          0          0
MORGAN STANLEY DEAN WITTER               61745P205     109725      20900   X                            20900          0          0
MOTOROLA INC                             620076109    4497025      47462   X                            46912          0        550
MOTOROLA INC                             620076109     622792       6573               X                 6573          0          0
MULTI-COLOR CORP                         625383104      63750      10000   X                            10000          0          0
FRANKLIN MUTUAL SHARES FUND              628380107     434764      19400   X                            19400          0          0
MUTUAL SER FD INC                        628380206   16858799     904442   X                           904442          0          0
FRANKLIN MUTUAL BEACON FUND              628380305    2732695     180495   X                           180495          0          0
FRANKLIN MUTUAL BEACON FUND              628380305      40749       2692               X                 2692          0          0
NATIONAL CITY BANCSHARES INC             635313109     423402      13257   X                            13257          0          0
NATIONAL CITY CORP                       635405103  230260796    3515432   X                          3458320          0      57112
NATIONAL CITY CORP                       635405103  133749952    2041984               X              1992745          0      49239
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             557956138    9664897                              9428412        200     236285
</TABLE>
<PAGE>   171
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   189

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
NESTLE S A                               641069406    1274205      14144   X                            14144          0          0
NESTLE S A                               641069406     952591      10574               X                10574          0          0
NEUBERGER & BERMAN EQUITY FDS            641224407     570852      19807   X                            19807          0          0
NEW CENTY ENERGIES INC                   64352U103     344815       8884   X                             8884          0          0
NEW CENTY ENERGIES INC                   64352U103     210056       5412               X                 5412          0          0
NEW PERSPECTIVE FD INC COM               648018109     227177       8758   X                             8758          0          0
NEWELL RUBBERMAID INC                    651229106    6453313     139155   X                           133155          0       6000
NEWELL RUBBERMAID INC                    651229106    1466007      31612               X                18412          0      13200
NICHOLAS FD INC COM                      653735100    1004629      11892   X                            11892          0          0
NICHOLAS FD INC COM                      653735100      23881        283               X                  283          0          0
NOKIA CORP                               654902204     146501       1600   X                             1600          0          0
NOKIA CORP                               654902204      91563       1000               X                 1000          0          0
100% OWNERSHIP OF 50% OF NORAG           655416907     616000          1               X                    1          0          0
NORFOLK SOUTHN CORP                      655844108    5523118     183340   X                           177040          0       6300
NORFOLK SOUTHN CORP                      655844108    1328211      44090               X                44090          0          0
NORTHERN STS PWR CO MINN                 665772109     277557      11475   X                            11475          0          0
NORTHERN TR CORP                         665859104     251424       2592   X                             2592          0          0
NOVARTIS AG                              66987V109      43806        600   X                              600          0          0
NOVARTIS AG                              66987V109     182525       2500               X                 2500          0          0
NUVEEN FLAGSHIP MULTISTATE I             67065N886     236942      22395               X                22395          0          0
NUVEEN FLAGSHIP MULTISTATE I             67065R507     763292      69327   X                            69327          0          0
NUVEEN FLAGSHIP MULTISTATE I             67065R507     168141      15272               X                15272          0          0
OGE ENERGY CORP                          670837103     171048       7202   X                             7202          0          0
OGE ENERGY CORP                          670837103      47500       2000               X                 2000          0          0
OFFICEMAX INC                            67622M108     129300      10775   X                            10775          0          0
OFFICEMAX INC                            67622M108       9600        800               X                  800          0          0
OLD NATL BANCORP IND                     680033107     460009      15302   X                            15302          0          0
OMNICOM GROUP INC                        681919106     356800       4460   X                             4460          0          0
OPPENHEIMER QUEST FOR VALUE FDS          68380E106     210881       5332   X                             5332          0          0
ORACLE CORP                              68389X105     435513      11731   X                            10531          0       1200
ORACLE CORP                              68389X105     220040       5927               X                 5927          0          0
OWEN FUNERAL HOME COM                    690006184     258884        465   X                              465          0          0
OVERBROOK CORP                           690181904    9487706     413725               X               413725          0          0
PNC BK CORP                              693475105   29645066     514448   X                           513498          0        950
PNC BK CORP                              693475105    6527991     113284               X               113284          0          0
PPG INDS INC                             693506107    3949543      66870   X                            66870          0          0
PPG INDS INC                             693506107    1240441      21002               X                21002          0          0
PENNEY J C CO INC                        708160106     384668       7921   X                             7921          0          0
PENNEY J C CO INC                        708160106      49777       1025               X                 1025          0          0
PEOPLES BANK OF MURRAY KY COM            710006388     332500        190   X                              190          0          0
PEOPLES FLEMING CNTY BANCORP INC         711102103    1196800       2176               X                 2176          0          0
PEP BOYS MANNY MOE & JACK                713278109     158760       7560   X                             7560          0          0
PEP BOYS MANNY MOE & JACK                713278109     105084       5004               X                 5004          0          0
PEPSICO INC                              713448108   14038289     362859   X                           361059          0       1800
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              91572806    2184771                              2155321          0      29450
</TABLE>
<PAGE>   172
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   190

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
PEPSICO INC                              713448108    3694356      95491               X                95491          0          0
PHARMACIA & UPJOHN INC                   716941109     842253      14825   X                            14825          0          0
PHARMACIA & UPJOHN INC                   716941109     109308       1924               X                 1924          0          0
PFIZER INC                               717081103   15052246     138094   X                           137269          0        825
PFIZER INC                               717081103    4400330      40370               X                38536          0       1834
PHILIP MORRIS COS INC                    718154107   35376411     880273   X                           875723          0       4550
PHILIP MORRIS COS INC                    718154107   13920721     346390               X               340291        300       5799
PHILLIPS PETE CO                         718507106    1691674      33623   X                            33323          0        300
PHILLIPS PETE CO                         718507106     194711       3870               X                 3870          0          0
PIONEER GROUP INC                        723684106     130514       7566   X                             7566          0          0
PIONEER GROUP INC                        723684106      86630       5022               X                 5022          0          0
PIONEER HI BRED INTL INC                 723686101     532905      13686   X                            13686          0          0
PITNEY BOWES INC                         724479100    5485023      85370   X                            83570          0       1800
PITNEY BOWES INC                         724479100     824970      12840               X                12840          0          0
PLACER DOME INC                          725906101      78243       6659   X                             6659          0          0
PLACER DOME INC                          725906101      78984       6722               X                 6722          0          0
PREMIER FINL BANCORP INC                 74050M105     231000      16800               X                16800          0          0
T ROWE PRICE                             741479109     221426       6361   X                             6361          0          0
PRISON RLTY CORP                         74264N105     386387      39375   X                            39375          0          0
PROCTER & GAMBLE CO COM                  742718109   65841225     737717   X                           734212          0       3505
PROCTER & GAMBLE CO COM                  742718109   27184390     304587               X               300587          0       4000
PROGRESSIVE CORP OHIO                    743315103     536500       3700   X                             3700          0          0
PROGRESSIVE CORP OHIO                    743315103     108750        750               X                  750          0          0
PROVIDIAN FINL CORP                      74406A102   38508986     412965   X                           412965          0          0
PROVIDIAN FINL CORP                      74406A102   14556045     156097               X               154597          0       1500
PUTNAM FD FOR GROWTH & INCOME            746761105     261501      11664   X                            11664          0          0
QUAKER OATS CO COM                       747402105     724815      10920   X                            10920          0          0
QUAKER OATS CO COM                       747402105     185850       2800               X                 2800          0          0
QWEST COMMUNICATIONS INTL INC COM        749121109     282490       8544   X                             8544          0          0
QWEST COMMUNICATIONS INTL INC COM        749121109       3306        100               X                  100          0          0
RPM INC OHIO COM                         749685103     358843      25292   X                            25292          0          0
RAYTHEON CO                              755111408     485675       6889   X                             6889          0          0
RAYTHEON CO                              755111408     678492       9624               X                 9624          0          0
REPUBLIC BANCORP KY                      760281204     302250      26000   X                            26000          0          0
REPUBLIC BANCORP KY                      760281204      11625       1000               X                 1000          0          0
RES-CARE INC COM                         760943100     201906       8875   X                             8875          0          0
REYNOLDS METALS CO COM                   761763101      55578        942   X                              942          0          0
REYNOLDS METALS CO COM                   761763101     265500       4500               X                 4500          0          0
ROBINSON NUGENT INC COM                  770810109     785691     174598   X                           174598          0          0
ROCKWELL INTL CORP NEW                   773903109     439709       7238   X                             7238          0          0
ROCKWELL INTL CORP NEW                   773903109     184680       3040               X                 3040          0          0
ROHM & HAAS CO COM                       775371107     746773      17417   X                            17417          0          0
ROHM & HAAS CO COM                       775371107     139139       3245               X                 2803          0        443
ROYAL DUTCH PETROLEUM CO                 780257804    8589240     142560   X                           141360          0       1200
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             244777051    3836325                              3810270        300      25756
</TABLE>
<PAGE>   173
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   191

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ROYAL DUTCH PETROLEUM CO                 780257804    1749359      29035               X                27835          0       1200
SBC COMMUNICATIONS INC COM               78387G103    6755728     116478   X                           116478          0          0
SBC COMMUNICATIONS INC COM               78387G103    2878308      49626               X                46950          0       2676
SPDR TR                                  78462F103     758295       5535   X                             5535          0          0
SPX CORP COM                             784635104     334000       4000   X                             4000          0          0
SPX CORP COM                             784635104       8851        106               X                  106          0          0
S Y BANCORP INC COM                      785060104     303000      12120   X                            12120          0          0
S Y BANCORP INC COM                      785060104     495600      19824               X                19824          0          0
SAFECO CORP COM                          786429100      79425       1800   X                             1800          0          0
SAFECO CORP COM                          786429100     125845       2852               X                 2852          0          0
SAFEWAY INC COM NEW                      786514208    2065883      41735   X                            41285          0        450
SAFEWAY INC COM NEW                      786514208     457875       9250               X                 9250          0          0
ST PAUL COS INC COM                      792860108     147994       4652   X                             4652          0          0
ST PAUL COS INC COM                      792860108     116117       3650               X                 3650          0          0
SARA LEE CORP COM                        803111103    2005755      88406   X                            88406          0          0
SARA LEE CORP COM                        803111103     310054      13666               X                 8466          0       5200
SCHERING-PLOUGH CORP COM                 806605101   13375845     254778   X                           253328          0       1450
SCHERING-PLOUGH CORP COM                 806605101    2254560      42944               X                37608          0       5336
SCHLUMBERGER LTD COM                     806857108    6273778      98508   X                            98108          0        400
SCHLUMBERGER LTD COM                     806857108    1070468      16808               X                16058          0        750
SCHRODER CAP FDS DEL                     808088207     105068       6510   X                             6510          0          0
SCHRODER CAP FDS DEL                     808088207     192993      11957               X                11957          0          0
SCOTTS CO CL A COM                       810186106    1145381      24050   X                            24050          0          0
SCOTTS CO CL A COM                       810186106      47625       1000               X                 1000          0          0
SEAGRAM LTD COM                          811850106    6402360     127094   X                           127094          0          0
SEAGRAM LTD COM                          811850106    1246479      24744               X                24744          0          0
SEARS ROEBUCK & CO CAP                   812387108     368001       8258   X                             8258          0          0
SEARS ROEBUCK & CO CAP                   812387108     740904      16626               X                16626          0          0
SEAWAY FOOD TOWN INC COM                 812744100     321811      16398   X                            16398          0          0
SEAWAY FOOD TOWN INC COM                 812744100     267646      13638               X                13638          0          0
SECURITY FIRST TECHNOLOGIES              814279105     451250      10000   X                            10000          0          0
SELIGMAN COMMUNICATIONS &                816333108     375489      10565   X                            10565          0          0
SELIGMAN COMMUNICATIONS &                816333108     158880       4470               X                 4470          0          0
SERVICE CORP INTERNATIONAL COM           817565104     622545      32340   X                            32340          0          0
SERVICE CORP INTERNATIONAL COM           817565104      79888       4150               X                 3750          0        400
SHERWIN WILLIAMS CO COM                  824348106     417638      15050   X                            15050          0          0
SHERWIN WILLIAMS CO COM                  824348106      38850       1400               X                 1400          0          0
SIGMA ALDRICH CORP COM                   826552101     407229      11825   X                            11825          0          0
SIGMA ALDRICH CORP COM                   826552101      16358        475               X                  475          0          0
SMITHKLINE BEECHAM CORP                  832378301    6023162      91173   X                            91173          0          0
SMITHKLINE BEECHAM CORP                  832378301   11756704     177962               X               175562          0       2400
SONAT INC COM                            835415100     228761       6906   X                             6906          0          0
SONAT INC COM                            835415100      75061       2266               X                 2266          0          0
SOUTHERN CO COM                          842587107     509919      19242   X                            19242          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              73566742    1453872                              1433610          0      20262
</TABLE>
<PAGE>   174
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   192

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
SOUTHERN CO COM                          842587107     354650      13383               X                13383          0          0
SOUTHERN PAC PETE N L ADR NEW            843581307      78000      26000   X                            26000          0          0
SOUTHERN PAC PETE N L ADR NEW            843581307       3000       1000               X                 1000          0          0
SOUTHTRUST CORP COM                      844730101     335589       8745   X                             8745          0          0
SOUTHTRUST CORP COM                      844730101     115125       3000               X                 3000          0          0
SPRINT CORP COM                          852061100    1015162      19154   X                            19154          0          0
SPRINT CORP                              852061506     433428       7604   X                             7604          0          0
SPRINT CORP                              852061506      32718        574               X                  574          0          0
STANDARD FOODS INC COM                   8534059A8          3      17595   X                            17595          0          0
STAR ENTERTAINMENT GROUP                 85511R103       9690      10000   X                            10000          0          0
STATE STR CORP                           857477103   16018399     187624   X                           187024          0        600
STATE STR CORP                           857477103   17017116     199322               X               199322          0          0
STEIN ROE INVT TR                        85842C601     399040       8000               X                 8000          0          0
STRONG                                   862918109     438359       7907   X                             7907          0          0
STRYKER CORP COM                         863667101     560064       9315   X                             9315          0          0
STRYKER CORP COM                         863667101     312650       5200               X                 5200          0          0
SUMMIT BANCORP COM                       866005101    1912819      45747               X                45747          0          0
SUN MICROSYSTEMS INC COM                 866810104    3957144      57454   X                            57454          0          0
SUN MICROSYSTEMS INC COM                 866810104     463253       6726               X                 6726          0          0
SUNTRUST BKS INC COM                     867914103   12174842     175334   X                            15334          0     160000
SUNTRUST BKS INC COM                     867914103      69577       1002               X                 1002          0          0
SYSCO CORP COM                           871829107     144429       4845   X                             4845          0          0
SYSCO CORP COM                           871829107    2088967      70069               X                68269          0       1800
TEPPCO PARTNERS L P                      872384102     446634      18000   X                            18000          0          0
TJX COS INC NEW COM                      872540109     351785      10560   X                            10560          0          0
TANDY CORP COM                           875382103     715530      14640   X                            14640          0          0
TAYLOR DRUG STORES INC COM               876007519      39136      11111   X                            11111          0          0
TECHNICAL MICRONICS CONTROL              878007525          2      22200   X                            22200          0          0
TELEFLEX INC COM                         879369106      99560       2292   X                             2292          0          0
TELEFLEX INC COM                         879369106     158896       3658               X                 3658          0          0
TELLABS INC COM                          879664100     153638       2274   X                             2274          0          0
TELLABS INC COM                          879664100      54050        800               X                  800          0          0
TEMPLETON DEVELOPING MKTS TR COM         88018W104     962527      68507   X                            68507          0          0
TEMPLETON FDS INC                        880196100     301804      16393   X                            16393          0          0
TEMPLETON FDS INC                        880196209    2377268     230803   X                           222476          0       8327
TEMPLETON FDS INC                        880196209     354291      34397               X                31774          0       2624
TEMPLETON INSTL FDS INC                  880210505   10530200     534528   X                           534528          0          0
TEMPLETON INSTL FDS INC                  880210505     730086      37060               X                37060          0          0
TEXACO INC COM                           881694103    3744808      60037   X                            60037          0          0
TEXACO INC COM                           881694103     704401      11293               X                11293          0          0
TEXAS INSTRS INC COM                     882508104    1041120       7230   X                             7130          0        100
TEXAS INSTRS INC COM                     882508104     144000       1000               X                 1000          0          0
TEXAS UTILITIES CO COM (HLDG)            882848104     640839      15465   X                            15465          0          0
TEXAS UTILITIES CO COM (HLDG)            882848104      85155       2055               X                 2055          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              81569754    1989903                              1816453          0     173451
</TABLE>
<PAGE>   175
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   193

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
TEXTRON INC COM                          883203101     255829       3108   X                             3108          0          0
THOMAS INDS INC COM                      884425109    2389316     116552   X                           116552          0          0
THOMAS INDS INC COM                      884425109      88048       4295               X                 2945          0       1350
TIME WARNER INC COM                      887315109    2229951      30705   X                            30305          0        400
TIME WARNER INC COM                      887315109     395806       5450               X                 5450          0          0
TRICON GLOBAL RESTAURANTS                895953107     641814      11858   X                            11858          0          0
TRICON GLOBAL RESTAURANTS                895953107     300502       5552               X                 5552          0          0
TYCO INTL LTD NEW                        902124106    9840640     103859   X                           102958          0        901
TYCO INTL LTD NEW                        902124106    1714691      18097               X                16607          0       1490
UST CORP                                 902900109     211750       7000               X                 7000          0          0
UST INC COM                              902911106     306321      10450   X                            10450          0          0
UST INC COM                              902911106     524351      17888               X                17888          0          0
US BANCORP NEW COM                       902973106   19023750     570000   X                                0          0     570000
UNION PAC CORP CO COM                    907818108    1447270      24819   X                            24819          0          0
UNION PAC CORP CO COM                    907818108    1181188      20256               X                20256          0          0
UNION PAC RES GROUP INC COM              907834105     168171      10309   X                            10309          0          0
UNION PAC RES GROUP INC COM              907834105     120162       7366               X                 7366          0          0
UNITED BANKSHARES INC WEST V             909907107     477000      18000   X                            18000          0          0
UNITED HEALTH CARE CORP COM              910581107     543898       8685   X                             8685          0          0
U S WEST INC NEW                         91273H101    2893438      49250   X                            49250          0          0
U S WEST INC NEW                         91273H101     903869      15385               X                15185        200          0
UNITED TECHNOLOGIES CORP COM             913017109    4842360      67255   X                            66905          0        350
UNITED TECHNOLOGIES CORP COM             913017109     894240      12420               X                12420          0          0
VAN KAMPEN                               920914108     181587      18361   X                            18361          0          0
VANGUARD/PRIMECAP FD INC #59             921936100   16500800     297473   X                           297473          0          0
VANGUARD/PRIMECAP FD INC #59             921936100      95260       1717               X                 1717          0          0
VANGUARD TOTAL BOND MARKET               921937108     431092      43944   X                            43944          0          0
VANGUARD                                 922018205   13615984     414616   X                           414616          0          0
VANGUARD                                 922018205      38173       1162               X                 1162          0          0
VANGUARD ASSET ALLOCATION FD             922020102     366117      14686   X                            14686          0          0
VANGUARD                                 922031406     207896      19521   X                            19521          0          0
VANGUARD FIXED INCOME SECS FD            922031885      99894      10560   X                            10560          0          0
VENCOR INC NEW                           92260R102       6418      42785   X                            42785          0          0
VENCOR INC NEW                           92260R102        315       2100               X                 2100          0          0
VENTAS INC                               92276F100    2225234     413997   X                           413997          0          0
VENTAS INC                               92276F100       3225        600               X                  600          0          0
VANGUARD MUN BD FD INC                   922907209     279947      21518   X                            21518          0          0
VANGUARD MUN BD FD INC                   922907605     216453      17800   X                            17800          0          0
VANGUARD                                 922908108   18421534     145246   X                           145246          0          0
VANGUARD                                 922908108     257038       2027               X                 2027          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107    1376735       6989   X                             6989          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     218769       1111               X                  811          0        300
VULCAN MATERIALS CO COM                  929160109     220020       4560   X                             4560          0          0
VULCAN MATERIALS CO COM                  929160109    2498385      51780               X                51780          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             108655241    2671112                              2096121        200     574791
</TABLE>
<PAGE>   176
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   194

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>         <C>          <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
WD 40 CO COM                            929236107      428825      17153   X                            17153          0          0
WD 40 CO COM                            929236107       81800       3272               X                 3272          0          0
WACHOVIA CORP COM                       929771103     4288845      50125   X                            48525          0       1600
WACHOVIA CORP COM                       929771103     2231911      26085               X                26085          0          0
WAL MART STORES INC                     931142103    19278481     399554   X                           398754          0        800
WAL MART STORES INC                     931142103     2389823      49530               X                49130        400          0
WALGREEN CO COM                         931422109    15013504     511098   X                           502498          0       8600
WALGREEN CO COM                         931422109     2859656      97350               X                96350          0       1000
WARNER LAMBERT CO COM                   934488107     8884222     128524   X                           128524          0          0
WARNER LAMBERT CO COM                   934488107      497700       7200               X                 7200          0          0
WASTE MANAGEMENT INC NEW COM            94106L109      649461      12083   X                            12083          0          0
WASTE MANAGEMENT INC NEW COM            94106L109       35959        669               X                  669          0          0
WELLS FARGO & CO NEW                    949746101     7337995     171649   X                           168424          0       3225
WELLS FARGO & CO NEW                    949746101     2603945      60911               X                58186        700       2025
WHAYNE SUPPLY CO CL A VOTING            962008942      273526       9655   X                             9655          0          0
WHAYNE SUPPLY CO CL A VOTING            962008942      113320       4000               X                 4000          0          0
WHAYNE SUPPLY CO CL B NON VTG           962008967      842138      33025   X                            33025          0          0
WEYERHAEUSER CO COM                     962166104      774263      11262   X                            11262          0          0
WEYERHAEUSER CO COM                     962166104      456225       6636               X                 6636          0          0
WILEY JOHN & SONS INC                   968223206      634500      36000   X                            36000          0          0
WILEY JOHN & SONS INC CL B              968223305      447000      24000   X                            24000          0          0
WINN-DIXIE STORES INC COM               974280109     1142197      30922   X                            30922          0          0
WINN-DIXIE STORES INC COM               974280109       98624       2670               X                 2670          0          0
WISCONSIN ENERGY CORP COM               976657106      236144       9422   X                             9422          0          0
WISCONSIN ENERGY CORP COM               976657106       75189       3000               X                 3000          0          0
WRIGLEY WILLIAM JR CO COM               982526105      312515       3504   X                             3504          0          0
WRIGLEY WILLIAM JR CO COM               982526105       97750       1096               X                 1096          0          0
WRIGLEY WM JR CO CL B                   982526204       43269        491   X                              491          0          0
WRIGLEY WM JR CO CL B                   982526204      168231       1909               X                 1909          0          0
XEROX CORP COM                          984121103     3804720      64418   X                            63418          0       1000
XEROX CORP COM                          984121103      522708       8850               X                 8850          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              76624446    1786063                              1766713       1100      18250
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                         4745535807  121736988                             97960823      13166   23763002
</TABLE>
<PAGE>   177
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   195

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
B. PREFERRED STOCK                                                              INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            PREFERRED STOCK
FREEMARKETS ONLINE INC                   3566009A6      12500      10251   X                            10251          0          0
KENTUCKY UTILS CO                        491674206     200940       2364   X                             2364          0          0
KENTUCKY UTILS CO                        491674206      10200        120               X                  120          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                223640      12735                                12735          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                          223640      12735                                12735          0          0
</TABLE>
<PAGE>   178
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   196

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
C. OTHER                                                                        INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            OTHER

OGDEN CORP                               4655978S4       9250      10000   X                            10000          0          0
KERR MCGEE CORP                          492386AL1      47520      48000               X                48000          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                 56770      58000                                58000          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                     56770      58000                                58000          0          0
</TABLE>
<PAGE>   179
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 040             PAGE   197

**SUMMARY PAGE FOR: 40-NATIONAL CITY BANK, KENTUCKY     **


CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                <C>         <C>                                  <C>        <C>        <C>
A. COMMON STOCK                                    4745535807  121736988                             97960823      13166   23763002
B. PREFERRED STOCK                                     223640      12735                                12735          0          0
C. OTHER                                                56770      58000                                58000          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                   4745816217  121807723                             98031558      13166   23763002
</TABLE>
<PAGE>   180
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   198

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
DAIMLERCHRYSLER AG                       D1668R123      24831        279   X                              279          0          0
DAIMLERCHRYSLER AG                       D1668R123     241813       2717               X                 2288        429          0
TRANSOCEAN OFFSHORE INC CAYM             G90076103      26250       1000   X                             1000          0          0
TRANSOCEAN OFFSHORE INC CAYM             G90076103     233625       8900               X                 7900       1000          0
XL CAP LTD                               G98255105     364990       6460   X                             4480          0       1980
XL CAP LTD                               G98255105     573588      10152               X                 6852       1800       1500
AFLAC INC COM                            001055102    2284834      47725   X                            44975          0       2750
AFLAC INC COM                            001055102    2257306      47150               X                21950      23100       2100
AMLI RESIDENTAL PPTYS INC TR SH          001735109     326348      14585   X                            14585          0          0
AMLI RESIDENTAL PPTYS INC TR SH          001735109      90194       4031               X                    0       4031          0
AT&T CORP COM                            001957109    9738885     174491   X                           169198       1450       3843
AT&T CORP COM                            001957109   10694999     191622               X               124377      43266      23979
ABBOTT LABS                              002824100   14141663     311662   X                           297292        700      13670
ABBOTT LABS                              002824100   16249377     358113               X               231226     118177       8710
ADOBE SYS INC COM                        00724F101     205390       2500               X                    0       2500          0
ADVANCED MICRO DEVICES                   007903107     209531      11600   X                            11600          0          0
ADVANCED MICRO DEVICES                   007903107      37932       2100               X                 2100          0          0
AIR PRODS & CHEMS INC COM                009158106    3276028      81392   X                            75792       2000       3600
AIR PRODS & CHEMS INC COM                009158106    2088975      51900               X                34400      12200       5300
ALBERTSONS INC COM                       013104104     297003       5760   X                             5760          0          0
ALBERTSONS INC COM                       013104104     718093      13927               X                10927       2500        500
ALCOA INC                                013817101     205054       3314   X                             3314          0          0
ALCOA INC                                013817101     684338      11060               X                10820        240          0
ALLEGHENY ENERGY INC                     017361106     260544       8126   X                             8126          0          0
ALLEGHENY ENERGY INC                     017361106     444554      13865               X                12970        895          0
ALLEGHENY VY BANCORP INC COM             017427105     210000       4000   X                             4000          0          0
ALLEGHENY VY BANCORP INC COM             017427105     576975      10990               X                    0       9190       1800
ALLIANCE BOND FUND                       018528604      36163       5051   X                             5051          0          0
ALLIANCE BOND FUND                       018528604      51085       7135               X                 5869       1266          0
ALLIANCE FUND                            01859K105     165604      22810   X                            22810          0          0
ALLIANCE FUND                            01859K105     399490      55026               X                55026          0          0
ALLIANCE GROWTH & INCOME FD INC COM      018597104      96701      24420   X                            24420          0          0
ALLIANCE GROWTH & INCOME FD INC COM      018597104      37540       9480               X                 9480          0          0
ALLIANCE MORTAGE SECURITIES              018639104     233555      28413               X                28413          0          0
ALLIANCE MUNI FUND                       018642108     142389      13420               X                13420          0          0
ALLIED SIGNAL INC COM                    019512102      90216       1432   X                             1432          0          0
ALLIED SIGNAL INC COM                    019512102     465696       7392               X                 7392          0          0
ALLSTATE CORP COM                        020002101     714200      19908   X                            19908          0          0
ALLSTATE CORP COM                        020002101     775413      21614               X                15706       3592       2316
ALLTEL CORP COM                          020039103   13831032     193441   X                           188617        950       3874
ALLTEL CORP COM                          020039103    3098381      43334               X                19845      16634       6855
AMERICA ONLINE INC DEL COM               02364J104     207900       1890   X                             1290          0        600
AMERICA ONLINE INC DEL COM               02364J104    1018050       9255               X                 6125       3000        130
AMERICAN EXPRESS CO COM                  025816109   25351864     194827   X                           181927       2200      10700
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             113178399    2058269                              1712942     251120      94207
</TABLE>
<PAGE>   181
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   199

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
AMERICAN EXPRESS CO COM                  025816109   18657973     143385               X                41945      70051      31389
AMERICAN GENERAL CORP                    026351106     621618       8247   X                             8247          0          0
AMERICAN GENERAL CORP                    026351106     199895       2652               X                 1650       1002          0
AMERICAN HOME PRODS CORP COM             026609107   13229011     230571   X                           227006        390       3175
AMERICAN HOME PRODS CORP COM             026609107   13851128     241414               X               130968      78266      32180
AMERICAN INTL GROUP INC COM              026874107   48547949     414055   X                           393762        345      19948
AMERICAN INTL GROUP INC COM              026874107   14745008     125757               X                69892      49543       6322
AMERICAN WTR WKS CO INC                  030411102     206794       6725   X                             6725          0          0
AMERICAN WTR WKS CO INC                  030411102     159900       5200               X                 4700          0        500
AMERITECH CORP NEW COM                   030954101    2467469      33571   X                            31571          0       2000
AMERITECH CORP NEW COM                   030954101    3033566      41273               X                22182      13817       5274
AMGEN INC                                031162100   21645628     355575   X                           350705        250       4620
AMGEN INC                                031162100    2833123      46540               X                24770      17570       4200
ANHEUSER BUSCH                           035229103      53345        752   X                              752          0          0
ANHEUSER BUSCH                           035229103     329862       4650               X                 2650          0       2000
ARCHER DANIELS MIDLAND CO COM            039483102      56349       3650   X                             3650          0          0
ARCHER DANIELS MIDLAND CO COM            039483102     222245      14396               X                14396          0          0
ARDEN RLTY INC COM                       039793104      79416       3225   X                             2975        250          0
ARDEN RLTY INC COM                       039793104     129651       5265               X                 1940       2175       1150
ARMADA NATIONAL TAX EXEMPT FD #297       042086363      97891      10009               X                10009          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579   20492622    1842862   X                          1787536       8082      47244
ARMADA SMALL CAP GROWTH FUND #519        042086579    1857842     167072               X                78143      73020      15909
ARMADA CORE EQUITY FUND #681             042086595     179844      12243   X                            12243          0          0
ARMADA CORE EQUITY FUND #681             042086595      80636       5489               X                 5489          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629   18328124    1577291   X                          1519610       6094      51588
ARMADA INTERNATIONAL EQUITY FD           042086629    2625855     225977               X                84954     115011      26012
ARMADA EQUITY INDEX FUND #42             042086645     477522      39993   X                            36374          0       3620
ARMADA GNMA INSTL CL #666                042086660   51241657    5129295   X                          5005811      18527     104957
ARMADA GNMA INSTL CL #666                042086660    6453931     646039               X               377700     197307      71032
ARMADA BOND FD INSTL CL #630             042086686   98602825   10000286   X                          9748857      36291     215139
ARMADA BOND FD INSTL CL #630             042086686   10261511    1040721               X               587815     349646     103261
ARMADA PA MUN FD INSTL CL #629           042086710   28983651    2841534   X                          2782946      10794      47794
ARMADA PA MUN FD INSTL CL #629           042086710    8006989     784999               X               447463     227142     110394
ARMADA OHIO TAX EXEMPT FUND #612         042086751     604749      55892   X                            55892          0          0
ARMADA OHIO TAX EXEMPT FUND #612         042086751     206174      19055               X                15722       3333          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1942364     196198   X                           174888          0      21310
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     595183      60119               X                27058      27067       5995
ARMADA INTERMEDIATE BD FUND              042086793    2894724     279954   X                           265728       7122       7105
ARMADA INTERMEDIATE BD FUND              042086793     551310      53318               X                23660      23732       5926
ARMADA ENHANCED INCOME FUND              042086827    7034856     708445   X                           649947       9305      49193
ARMADA ENHANCED INCOME FUND              042086827     786657      79220               X                57394      15562       6265
ARMADA SMALL CAP VALUE FUND #616         042086843   28515149    2042632   X                          1987493       7798      47342
ARMADA SMALL CAP VALUE FUND #616         042086843    4648347     332976               X               110628     203293      19055
ARMADA EQUITY INCOME FUND #614           042086868   36450322    1901425   X                          1826191       8025      67209
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             472990665   31739947                             29020037    1580810    1139108
</TABLE>
<PAGE>   182
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   200

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ARMADA EQUITY INCOME FUND #614           042086868    3601352     187864               X               106081      70291      11492
ARMADA EQUITY GROWTH FUND                042086884   70486930    2672997   X                          2601405      12337      59255
ARMADA EQUITY GROWTH FUND                042086884    8995780     341137               X               194166     121434      25536
ARMCO INC COM                            042170100      99375      15000   X                            15000          0          0
ARMSTRONG WORLD INDS INC COM             042476101     608135      10519   X                            10519          0          0
ARMSTRONG WORLD INDS INC COM             042476101    5256647      90925               X                14500       4150      72275
ASHTON TECHNOLOGY GROUP INC              045084100     125000      10000               X                10000          0          0
ASSOCIATES FIRST CAP CORP COM            046008108     294400       6672   X                             6110          0        562
ASSOCIATES FIRST CAP CORP COM            046008108     880867      19963               X                 4560      14133       1270
ATLANTIC RICHFIELD CO COM                048825103    7034584      84183   X                            82653        100       1430
ATLANTIC RICHFIELD CO COM                048825103    9791829     117179               X                52315      43768      21096
AUTOMATIC DATA PROCESSING INC COM        053015103   30696424     697646   X                           681046       4975      11625
AUTOMATIC DATA PROCESSING INC COM        053015103   31473156     715299               X               342129     217180     155990
AVALONBAY CMNTYS INC                     053484101     228845       6185   X                             6185          0          0
AVALONBAY CMNTYS INC                     053484101     841232      22736               X                 9990       7898       4848
BCE INC COM                              05534B109     157802       3200   X                             2200          0       1000
BCE INC COM                              05534B109     246565       5000               X                 5000          0          0
BP AMOCO PLC-SPONS ADR                   055622104   19025475     175350   X                           166429       1588       7333
BP AMOCO PLC-SPONS ADR                   055622104   45454556     418936               X               291252      66059      61625
BANCO SANTANDER CENT HISPANO             05964H105     327538      31008               X                28560       2448          0
BANK OF AMER CORP COM                    060505104    2960232      40378   X                            39574        155        649
BANK OF AMER CORP COM                    060505104    1608634      21942               X                13805       3839       4298
BANK ONE CORP COM                        06423A103    5206819      87417   X                            84766          0       2651
BANK ONE CORP COM                        06423A103    2980116      50033               X                35292      10333       4408
BAXTER INTL INC COM                      071813109     226616       3738   X                             3738          0          0
BAXTER INTL INC COM                      071813109     447898       7388               X                 1838       5150        400
BAYOU STL CORP LA PLACE CL A             073051104      61875      16500               X                16500          0          0
BECTON DICKINSON & CO COM                075887109     361500      12050   X                             9200          0       2850
BECTON DICKINSON & CO COM                075887109     888000      29600               X                22200       6200       1200
BELL ATLANTIC CORP COM                   077853109   19495871     298216   X                           289872        400       7944
BELL ATLANTIC CORP COM                   077853109   26268656     401815               X               198197     131810      71808
BELLSOUTH CORP COM                       079860102    6353073     137736   X                           135736          0       2000
BELLSOUTH CORP COM                       079860102    9528272     206575               X               117452      61497      27626
BERKSHIRE HATHAWAY INC DEL               084670108     275200          4   X                                0          4          0
BERKSHIRE HATHAWAY INC DEL               084670108    5641600         82               X                   43         33          6
BERKSHIRE HATHAWAY INC DEL               084670207    3949120       1763   X                             1660         66         37
BERKSHIRE HATHAWAY INC DEL               084670207   12593280       5622               X                 1963       2434       1225
BEST FOODS                               08658U101   18536562     374476   X                           367416        800       6260
BEST FOODS                               08658U101    6573105     132790               X                74522      53928       4340
BIOCONTROL TECHNOLOGY INC COM            090586108       4320      60000   X                            60000          0          0
BLACKROCK FUNDS                          091927566     195237      10889   X                            10889          0          0
BLACKROCK FDS                            091927806     216522       9723   X                             9723          0          0
BLACKROCK FDS                            091928598     174207      16281               X                16281          0          0
BLACKROCK FDS                            091928622     149866      14006   X                            14006          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             360323073    7570823                              6154773     843010     573039
</TABLE>
<PAGE>   183
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   201

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
BLAIR CORP COM                           092828102     611493      22700   X                            22700          0          0
BLAIR CORP COM                           092828102     374438      13900               X                13900          0          0
BOEING CO                                097023105     697928      15862   X                            15862          0          0
BOEING CO                                097023105     959024      21796               X                13970       7680        146
BRADY CORP CL A                          104674106      48750       1500   X                             1500          0          0
BRADY CORP CL A                          104674106     178750       5500               X                 5500          0          0
BRISTOL MYERS SQUIBB CO COM              110122108    3872963      54984   X                            50784        400       3800
BRISTOL MYERS SQUIBB CO COM              110122108   20581138     292188               X               198890      80320      12978
BURLINGTON RES INC COM                   122014103       4325        100   X                              100          0          0
BURLINGTON RES INC COM                   122014103     203967       4716               X                 1716       3000          0
CBS CORP                                 12490K107    1076124      24703   X                            23903          0        800
CBS CORP                                 12490K107    1850905      42488               X                24990       7000      10498
CMGI INC                                 125750109      34219        300   X                              300          0          0
CMGI INC                                 125750109     182501       1600               X                 1600          0          0
CSX CORP COM                             126408103     377656       8323   X                             8323          0          0
CSX CORP COM                             126408103     599132      13204               X                 6000       6600        604
CUNO INC                                 126583103     210375      11000               X                11000          0          0
CVS CORPORATION (DEL)                    126650100   11551411     227614   X                           218484          0       9130
CVS CORPORATION (DEL)                    126650100    1790460      35280               X                12754      18590       3936
CAMPBELL SOUP CO COM                     134429109     148400       3200   X                             3200          0          0
CAMPBELL SOUP CO COM                     134429109     936775      20200               X                13200       2600       4400
CARDINAL HEALTH INC COM                  14149Y108    8044930     125457   X                           123382        250       1825
CARDINAL HEALTH INC COM                  14149Y108     789892      12318               X                 3705       8514         99
CARLISLE COS INC COM                     142339100     428313       8900   X                             8900          0          0
CARLISLE COS INC COM                     142339100      96250       2000               X                 2000          0          0
CARNIVAL CORP COM                        143658102     788368      16255   X                            15405        475        375
CARNIVAL CORP COM                        143658102     397700       8200               X                 6250        800       1150
CATERPILLAR INC COM                      149123101     109800       1830   X                             1830          0          0
CATERPILLAR INC COM                      149123101     972000      16200               X                 8940       7260          0
CEDAR FAIR LP DEPOSITARY UNITS           150185106     127807       5125   X                             4925        200          0
CEDAR FAIR LP DEPOSITARY UNITS           150185106     244392       9800               X                 3000       5000       1800
CENDANT CORP                             151313103       1312         64   X                               64          0          0
CENDANT CORP                             151313103     205000      10000               X                 1000       9000          0
CERIDIAN CORP COM                        15677T106    8477960     259360   X                           256140          0       3220
CERIDIAN CORP COM                        15677T106     751824      23000               X                 6400      16600          0
CHASE MANHATTAN CORP (NEW) COM           16161A108   19340622     223591   X                           206696        325      16570
CHASE MANHATTAN CORP (NEW) COM           16161A108    4380447      50641               X                17947      27065       5629
CHEVRON CORP COM                         166751107   29948077     315034   X                           311849        800       2385
CHEVRON CORP COM                         166751107   24079268     253298               X               178782      46535      27981
CISCO SYS INC COM                        17275R102   60532542     939392   X                           882290       7300      49802
CISCO SYS INC COM                        17275R102   19872679     308400               X               166656     112036      29708
CINTAS CORP COM                          172908105     790803      11770   X                            11320        150        300
CINTAS CORP COM                          172908105     164275       2445               X                 1600        325        520
CITIGROUP INC COM                        172967101    4506753      94879   X                            94879          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             231341748    3519117                              2962636     368825     187656
</TABLE>
<PAGE>   184
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   202

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
CITIGROUP INC COM                        172967101    1115395      23482               X                 9792      10575       3115
CITIZENS UTILS CO DEL CL B               177342201      33375       3000   X                             3000          0          0
CITIZENS UTILS CO DEL CL B               177342201     132065      11871               X                10546          0       1325
CLOROX CO COM                            189054109    2119063      19839   X                            19114        250        475
CLOROX CO COM                            189054109    1797129      16825               X                11675       3965       1185
COCA-COLA CO COM                         191216100   21132493     340847   X                           335882        475       4490
COCA-COLA CO COM                         191216100    8336272     134456               X                58513      52186      23757
COLGATE-PALMOLIVE CO COM                 194162103     647933       6578   X                             5778          0        800
COLGATE-PALMOLIVE CO COM                 194162103     403850       4100               X                 4100          0          0
COMCAST CORP CL A SPL                    200300200   14699460     382420   X                           374700        650       7070
COMCAST CORP CL A SPL                    200300200    1699728      44220               X                10120      33450        650
COMERICA INC COM                         200340107    4651915      78265   X                            77825        200        240
COMERICA INC COM                         200340107     770019      12955               X                 2615      10240        100
COMMERCIAL INTERTECH CORP                201709102     191256      12000               X                12000          0          0
COMPAQ COMPUTER CORP COM                 204493100    9861883     416324   X                           391459        725      24140
COMPAQ COMPUTER CORP COM                 204493100    3789938     159994               X                77544      67450      15000
COMPUTER ASSOC INTL INC COM              204912109     533375       9742   X                             9742          0          0
COMPUTER ASSOC INTL INC COM              204912109      36956        675               X                    0        675          0
CONEXANT SYSTEMS INC                     207142100    3925639      67610   X                            67610          0          0
CONEXANT SYSTEMS INC                     207142100    2473832      42606               X                38868       1358       2380
CONNEAUT TEL CO COM                      207525106     367198        487   X                              487          0          0
CONOCO INC COMMN                         208251306     138539       4970   X                             3670        300       1000
CONOCO INC COMMN                         208251306      62719       2250               X                 1300        950          0
CONSOLIDATED EDISON INC                  209115104     187697       4148   X                             4148          0          0
CONSOLIDATED EDISON INC                  209115104     276025       6100               X                 5600        500          0
CONSOLIDATED NAT GAS CO COM              209615103    3898085      64166   X                            62666          0       1500
CONSOLIDATED NAT GAS CO COM              209615103    6702305     110326               X                59291      38835      12200
CONSTELLATION ENERGY CORP                210371100     188385       6359   X                             5588          0        771
CONSTELLATION ENERGY CORP                210371100     245532       8288               X                 4013       3875        400
COOPER INDS INC COM                      216669101      40300        775   X                              775          0          0
COOPER INDS INC COM                      216669101     441740       8495               X                 5295       3000        200
CORN PRODS INTL INC                      219023108      53480       1757   X                             1757          0          0
CORN PRODS INTL INC                      219023108     211757       6957               X                 6160        797          0
CORNING INC COM                          219350105     125874       1795   X                             1795          0          0
CORNING INC COM                          219350105     129731       1850               X                  700       1150          0
COSTCO COMPANIES INC                     22160Q102     312246       3900   X                             3900          0          0
CROWN CORK & SEAL INC COM                228255105       8550        300   X                              300          0          0
CROWN CORK & SEAL INC COM                228255105     403275      14150               X                13150       1000          0
DELAWARE GROUP TAX FREE PA CL A          233216100     307985      38354   X                            38354          0          0
DELAWARE GROUP TAX FREE PA CL A          233216100     252908      31495               X                11282      12682       7532
DQE INC COM                              23329J104    1268953      31625   X                            31625          0          0
DQE INC COM                              23329J104     825050      20562               X                 7868       4350       8344
DANA CORP COM                            235811106     381954       8292   X                             8292          0          0
DANA CORP COM                            235811106     203138       4410               X                 3110        300       1000
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              95385002    2169620                              1802009     249938     117674
</TABLE>
<PAGE>   185
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   203

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
DAVIS                                    239080104     358448      12403   X                            12403          0          0
DAVIS TAX-FREE HIGH INCOME F             239107204     145783      16491   X                            16491          0          0
DAYTON HUDSON CORP COM                   239753106   11252150     173110   X                           170320          0       2790
DAYTON HUDSON CORP COM                   239753106    1799330      27682               X                13412      14270          0
DEERE & CO COM                           244199105     218042       5564   X                             5564          0          0
DEERE & CO COM                           244199105     246884       6300               X                  700       5600          0
DELAWARE GROUP DECATUR EQUITY INC A      245907100      18263        967   X                              967          0          0
DELAWARE GROUP DECATUR EQUITY INC A      245907100     218170      11549               X                 2515          0       9034
DELAWARE GROUP TAX FREE FD INC           245909106      89345       8042   X                             8042          0          0
DELAWARE GROUP TAX FREE FD INC           245909106     154457      13903               X                    0      13903          0
DELL COMPUTER CORP COM                   247025109     619565      16745   X                            14245        700       1800
DELL COMPUTER CORP COM                   247025109    2226475      60175               X                56800       2675        700
DELPHI AUTOMOTIVE SYS CORP               247126105     150831       8153   X                             8153          0          0
DELPHI AUTOMOTIVE SYS CORP               247126105     498594      26951               X                19946       6059        946
DEVELOPMENTAL VENTURE CAPITAL CORP       251612107      10000      10000               X                    0          0      10000
DIAMOND OFFSHORE DRILLING INC COM        25271C102      14188        500   X                              500          0          0
DIAMOND OFFSHORE DRILLING INC COM        25271C102     218488       7700               X                 7600        100          0
DIASENSE INC                             252834106          1      25000   X                            25000          0          0
DISNEY WALT CO COM                       254687106   16721630     542681   X                           519297        900      22484
DISNEY WALT CO COM                       254687106    7351396     238581               X               130176      85475      22930
DODGE & COX STOCK FD COM                 256219106     574573       5303   X                             4813          0        490
DODGE & COX STOCK FD COM                 256219106      67068        619               X                  619          0          0
DOMINION RES INC VA                      257470104      87709       2025   X                             1925        100          0
DOMINION RES INC VA                      257470104     357332       8250               X                 1250       5950       1050
DONNELLEY R R & SONS CO COM              257867101     290945       7850   X                             7850          0          0
DONNELLEY R R & SONS CO COM              257867101     550386      14850               X                  750      10600       3500
DOW CHEM CO COM                          260543103    2271189      17901   X                            17377          0        524
DOW CHEM CO COM                          260543103    3123789      24621               X                16414       5057       3150
DU PONT E I DE NEMOURS & CO COM          263534109   27687191     405299   X                           395654       3025       6620
DU PONT E I DE NEMOURS & CO COM          263534109   21573792     315808               X               205759      85333      24716
DUKE ENERGY CORP COM                     264399106     786901      14455   X                            13355          0       1100
DUKE ENERGY CORP COM                     264399106     424616       7800               X                 4300       3500          0
DUKE REALTY INVST CO NEW                 264411505     110559       4900   X                             4900          0          0
DUKE REALTY INVST CO NEW                 264411505     219876       9745               X                 4220       4450       1075
DUN & BRADSTREET CORP DEL                26483B106      54220       1530   X                             1530          0          0
DUN & BRADSTREET CORP DEL                26483B106     427347      12059               X                 8086       2873       1100
E M C CORP MASS COM                      268648102     179850       3270   X                             3070          0        200
E M C CORP MASS COM                      268648102     291500       5300               X                  400       4300        600
EASTMAN CHEMICAL CO COM                  277432100     129530       2503   X                             2503          0          0
EASTMAN CHEMICAL CO COM                  277432100     487019       9411               X                 9051        360          0
EASTMAN KODAK CO COM                     277461109     763204      11265   X                            11265          0          0
EASTMAN KODAK CO COM                     277461109     851482      12568               X                 7934       3909        725
EATON CORP COM                           278058102     737380       8015   X                             8015          0          0
EATON CORP COM                           278058102     375084       4077               X                 3327        550        200
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             104734582    2121921                              1746498     259689     115734
</TABLE>
<PAGE>   186
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   204

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
ELECTRONIC DATA SYS CORP NEW COM         285661104     278595       4920   X                             4920          0          0
ELECTRONIC DATA SYS CORP NEW COM         285661104     371687       6564               X                 3888        544       2132
ELFUN TAX EXEMPT INCOME FD               286279104     290095      25160   X                                0          0      25160
ELFUN TRS UNIT CTF                       286281100     263628       3691   X                             3691          0          0
ELFUN TRS UNIT CTF                       286281100     655211       9173               X                    0       9173          0
EMERSON ELEC CO COM                      291011104   27709336     440264   X                           429289       4800       6175
EMERSON ELEC CO COM                      291011104   15917587     252909               X                88204     144415      20290
ENERGY EAST CORP                         29266M109     140608       5408   X                             2608          0       2800
ENERGY EAST CORP                         29266M109      83200       3200               X                 2400        800          0
ENRON CORP COM                           293561106   11108844     135888   X                           132788       1950       1150
ENRON CORP COM                           293561106    9161069     112062               X                75866      20398      15798
EQUITABLE RESOURCES INC COM              294549100     285390       7560   X                             7560          0          0
EQUITABLE RESOURCES INC COM              294549100     667722      17688               X                12987       3689       1012
EQUITY INCOME FD UNIT                    294700703     331400       1600               X                    0          0       1600
EQUITY INV FD                            294710512       9000      10000   X                            10000          0          0
EQUITY RESIDENTIAL PROPERTIES TRUST      29476L107     262131       5817               X                 5340        477          0
ERICSSON L M TEL CO                      294821400     686757      20850   X                            20250          0        600
ERICSSON L M TEL CO                      294821400     716072      21740               X                14600       4940       2200
ERIE INDTY CO                            29530P102   74658600    2619600   X                          2619600          0          0
ERIE INDTY CO                            29530P102   51989330    1824187               X                    0    1824187          0
EXXON CORP COM                           302290101  143636992    1862392   X                          1824592      22000      15800
EXXON CORP COM                           302290101  294008675    3812106               X              2283194     908351     620561
F N B CORP COM                           302520101     124848       4624   X                             4624          0          0
F N B CORP COM                           302520101     311256      11528               X                  590      10938          0
FPL GROUP INC COM                        302571104      43263        792   X                              400          0        392
FPL GROUP INC COM                        302571104     170867       3128               X                  200       2928          0
FARMERS NATL BANC CORP COM               309627107    1435980      41028   X                            41028          0          0
FREDDIE MAC COM                          313400301   12563960     216620   X                           215410          0       1210
FREDDIE MAC COM                          313400301     511850       8825               X                 7375       1100        350
FANNIE MAE COM                           313586109   44218697     647893   X                           611712       1100      35081
FANNIE MAE COM                           313586109   25803278     378070               X               213535     120350      44185
FEDERATED SHORT TERM MUNI                313907107    3795201     372079   X                           366844          0       5235
FEDERATED SHORT TERM MUNI                313907107    1082343     106112               X                73006      17484      15623
FEDERATED GOVT INCOME SECS INC CL F      313912107     144370      16925   X                            16925          0          0
FEDERATED GOVT INCOME SECS INC CL F      313912107     181912      21326               X                    0      21326          0
FEDERATED                                313915100   28643580    1376433   X                          1346626       8829      20979
FEDERATED                                313915100    3428226     164739               X                78395      71712      14632
FEDERATED ARMS FD INSTL SHS              314082108      86695       9059   X                             9059          0          0
FEDERATED ARMS FD INSTL SHS              314082108      13398       1400               X                    0       1400          0
FEDERATED INCOME TRUST                   314199100   15189152    1508357   X                          1437676      13912      56769
FEDERATED INCOME TRUST                   314199100   11609864    1152916               X               507543     477826     167547
FEDERATED U S GOVT SECURITIES FUND       31428M100   44817465    4309372   X                          4247043      19782      42546
FEDERATED U S GOVT SECURITIES FUND       31428M100    6674359     641765               X               367886     195502      78378
FIDELITY ADVISOR FDS                     315805101   13549622     206549   X                           198054        559       7936
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             847632115   22402319                             17285708    3910472    1206141
</TABLE>
<PAGE>   187
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   205

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
FIDELITY ADVISOR FDS                     315805101    4811939      73353               X                35413      29355       8585
FIDELITY SPARTAN US EQUITY INDX #650     315911206     687140      14063   X                            14063          0          0
FIDELITY SPARTAN US EQUITY INDX #650     315911206       7818        160               X                    0        160          0
FIDELITY FINL TR                         316145101    1095337      34229   X                            34229          0          0
FIDELITY MAGELLAN FUND INC               316184100     781936       6026               X                 6026          0          0
FIDELITY NEW YORK MUN TR                 316337104     345342     345342               X               227606     117736          0
FIRST AMERICAN                           318929817     137305      14828               X                    0      14828          0
FIRST BLANCHESTER BANCSHARES INC COM     319320982     205920       1584   X                             1584          0          0
FIRST COMWLTH FINL CORP PA               319829107     340290      14253   X                            14253          0          0
FIRST COMWLTH FINL CORP PA               319829107      76161       3190               X                    0       3190          0
FIRST INVS MULTI ST INSD TAX FREE        320604705     194676      15209   X                            15209          0          0
FIRST HEALTH GROUP CORP                  320960107      39245       1820   X                             1820          0          0
FIRST HEALTH GROUP CORP                  320960107     323445      15000               X                13200        600       1200
FIRST UNION CORP COM                     337358105    3541962      75161   X                            74567          0        594
FIRST UNION CORP COM                     337358105    3258223      69140               X                35402      25561       8177
FIRST WESTERN BANCORP INC COM            337505101      87636       2616   X                             2616          0          0
FIRST WESTERN BANCORP INC COM            337505101     447895      13370               X                13370          0          0
FIRSTENERGY CORP                         337932107     172045       5550   X                             5550          0          0
FIRSTENERGY CORP                         337932107     160797       5187               X                 4825        262        100
FORD MOTOR CO DEL COM                    345370100    1314272      23287   X                            22287          0       1000
FORD MOTOR CO DEL COM                    345370100    1531784      27141               X                15203      10838       1100
FORTUNE BRANDS INC                       349631101    1228631      29695   X                            28995          0        700
FORTUNE BRANDS INC                       349631101    2337812      56503               X                27168      13560      15775
FRANKLIN RES INC COM                     354613101     844553      20789   X                            18314        375       2100
FRANKLIN RES INC COM                     354613101     165669       4078               X                 2318        800        960
FRANKLIN PENNSYLVANIA TAX-FREE           354723801     199533      19562   X                            19562          0          0
FRANKLIN PENNSYLVANIA TAX-FREE           354723801     116638      11435               X                 3415          0       8020
GTE CORP COM                             362320103   23176235     306970   X                           302810        675       3485
GTE CORP COM                             362320103    4027397      53343               X                37577      11552       4214
GALLAHER GROUP PLC                       363595109     359605      14715   X                            10945       3770          0
GALLAHER GROUP PLC                       363595109     755208      30903               X                15868       6035       9000
GANNETT CO INC COM                       364730101    2049319      28712   X                            27412        400        900
GANNETT CO INC COM                       364730101    2645586      37066               X                15020      19296       2750
GAP INC COM                              364760108     198226       3935   X                             3935          0          0
GAP INC COM                              364760108     204019       4050               X                    0          0       4050
GENERAL ELEC CO COM                      369604103  145075841    1283857   X                          1242902      18750      22205
GENERAL ELEC CO COM                      369604103  161797694    1431838               X               701946     525016     204876
GENERAL MILLS INC COM                    370334104     203992       2538   X                             2538          0          0
GENERAL MILLS INC COM                    370334104     755525       9400               X                 6900       2500          0
GENERAL MTRS CORP COM                    370442105     836169      12669   X                            12269          0        400
GENERAL MTRS CORP COM                    370442105    2452956      37166               X                27528       8682        956
GEORGIA PACIFIC CORP COM                 373298108      37900        800   X                              800          0          0
GEORGIA PACIFIC CORP COM                 373298108     442956       9350               X                  600       8750          0
GILLETTE CO COM                          375766102   11607461     283109   X                           279034        350       3725
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             381080093    4452992                              3325079     823041     304872
</TABLE>
<PAGE>   188
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   206

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
GILLETTE CO COM                          375766102    2564304      62544               X                34616      23888       4040
GLAXO WELLCOME PLC                       37733W105      80917       1429   X                             1429          0          0
GLAXO WELLCOME PLC                       37733W105     271460       4794               X                 3894        600        300
GOLDEN WEST FINL CORP                    381317106     258720       2640   X                             2640          0          0
GOODRICH B F CO COM                      382388106     265625       6250   X                             6250          0          0
GOODRICH B F CO COM                      382388106     847875      19950               X                10900       3550       5500
GOODYEAR TIRE & RUBBER CO COM            382550101     536963       9130               X                 7930       1200          0
HSB GROUP INC                            40428N109     344167       8356   X                             5656          0       2700
HSB GROUP INC                            40428N109    1658394      40264               X                15975      17512       6777
HT INSIGHT FDS INC                       404299778    2523918     144637   X                           144637          0          0
HT INSIGHT FDS INC                       404299778     480370      27528               X                13625      13553        350
HALLIBURTON CO COM                       406216101     120365       2660   X                             2660          0          0
HALLIBURTON CO COM                       406216101     417974       9237               X                  200       8337        700
HARLEY DAVIDSON INC COM                  412822108    2046947      37645   X                            35770        350       1525
HARLEY DAVIDSON INC COM                  412822108     635100      11680               X                 9050        850       1780
HARTFORD FINL SVCS GROUP INC COM         416515104    1416665      24294   X                            24294          0          0
HARTFORD FINL SVCS GROUP INC COM         416515104     591994      10152               X                 7980        572       1600
HEARTLAND VALUE FD INC                   422359109   29756645     909711   X                           895903       1331      12477
HEARTLAND VALUE FD INC                   422359109    5023582     153579               X                52814      86801      13965
HEINZ H J CO COM                         423074103   16988967     338932   X                           334532       1400       3000
HEINZ H J CO COM                         423074103   27899274     556594               X               264985     190133     101476
HERSHEY FOODS CORP                       427866108     213750       3600   X                             3400          0        200
HERSHEY FOODS CORP                       427866108     532475       8968               X                 4468       4500          0
HEWLETT PACKARD CO COM                   428236103   13773626     137051   X                           116501        200      20350
HEWLETT PACKARD CO COM                   428236103   27451475     273149               X               162949      81503      28697
HOME DEPOT INC COM                       437076102   42107462     653457   X                           628612       1740      23105
HOME DEPOT INC COM                       437076102    9012556     139864               X                62210      64329      13325
HONEYWELL INC COM                        438506107      77636        670   X                              670          0          0
HONEYWELL INC COM                        438506107     575667       4968               X                   68       4900          0
HUBBELL INC CL B                         443510201     167888       3700   X                             3600          0        100
HUBBELL INC CL B                         443510201    1339470      29520               X                19840       8180       1500
IDS HIGH YIELD TAX EXEMPT FD             449440205     181357      40212   X                            40212          0          0
IMS HEALTH INC                           449934108      25000        800   X                              800          0          0
IMS HEALTH INC                           449934108     849125      27172               X                16972      10200          0
ILLINOIS TOOL WORKS INC COM              452308109    5086322      62218   X                            37718        200      24300
ILLINOIS TOOL WORKS INC COM              452308109    5823053      71230               X                14350      42650      14230
IMPERIAL OIL LTD COMMON NEW              453038408      56814       3000   X                             3000          0          0
IMPERIAL OIL LTD COMMON NEW              453038408     409061      21600               X                21600          0          0
INCOME FD AMER INC COM                   453320103      92869       5256   X                             5256          0          0
INCOME FD AMER INC COM                   453320103     105189       5953               X                    0       5953          0
INFORMIX CORP COM                        456779107      85310      10000               X                    0      10000          0
INGERSOLL RAND CO COM                    456866102      96938       1500   X                             1500          0          0
INGERSOLL RAND CO COM                    456866102     385424       5964               X                 5964          0          0
INTEL CORP COM                           458140100   42481215     713970   X                           660430       2050      51490
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             245659908    4605828                              3685860     586482     333487
</TABLE>
<PAGE>   189
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   207

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
INTEL CORP COM                           458140100   22882946     384587               X               192375     157454      34758
INTERNATIONAL BUSINESS MACHS CORP        459200101    5167754      39983   X                            38843        140       1000
INTERNATIONAL BUSINESS MACHS CORP        459200101   29474917     228046               X               193521      26989       7536
INTERNATIONAL FLAVORS &                  459506101     235400       5350   X                             5350          0          0
INTERNATIONAL FLAVORS &                  459506101     871200      19800               X                16600       2900        300
INTERNATIONAL PAPER CO COM               460146103    7383635     146938   X                           145008          0       1930
INTERNATIONAL PAPER CO COM               460146103     744002      14806               X                 7602       2530       4674
INVESCO GROWTH FD INC                    46127M102     101976      14444   X                            14444          0          0
INVESCO GROWTH FD INC                    46127M102     267199      37847               X                37847          0          0
INVESTMENT CO OF AMERICA COM             461308108     418110      12186   X                            11715          0        472
JANUS FUND INCORPORATED                  471023101     635365      15805   X                            13810          0       1995
JANUS FUND INCORPORATED                  471023101     240600       5985               X                 4052       1933          0
JOHNSON & JOHNSON COM                    478160104   53502036     545939   X                           501469      20625      23845
JOHNSON & JOHNSON COM                    478160104   67531408     689096               X               269267     307690     112139
JOHNSON CTLS INC COM                     478366107      71739       1035   X                             1035          0          0
JOHNSON CTLS INC COM                     478366107     138626       2000               X                    0       2000          0
KEMPER MUNI BD FD SH BEN INT             488419201     135131      13789   X                            13789          0          0
KEYCORP NEW COM                          493267108     312576       9730   X                             9730          0          0
KEYCORP NEW COM                          493267108     755709      23524               X                14724       8800          0
KEYSTONE FINL INC COM                    493482103     249127       8427               X                  927       7500          0
KIMBERLY-CLARK CORP COM                  494368103    7799994     136842   X                           134642          0       2200
KIMBERLY-CLARK CORP COM                  494368103    6405603     112379               X                49532      52095      10752
LSI LOGIC CORP COM                       502161102     283669       6150               X                 6150          0          0
LEGG MASON VALUE TR FD                   524659109     235677       3362               X                   99       3263          0
LEHMAN BROTHERS HLDGS INC COM            524908100     209237       3368               X                  968       1880        520
LIBERTY ELECTRONICS INC COM              530454107      42220      42220               X                42220          0          0
LIBERTY FDS TR II                        530547405      99954      15569   X                            15569          0          0
LILLY ELI & CO COM                       532457108     592912       8278   X                             7078          0       1200
LILLY ELI & CO COM                       532457108    1229658      17168               X                 6168       7200       3800
LOCKHART COMPANY COM                     539753897    3090100       2377   X                             2346         31          0
LOCKHART COMPANY COM                     539753897    3831750       2948               X                  764        821       1363
LONGLEAF PARTNERS FDS TR SH BEN INT      543069108     204886       6927               X                    0       6927          0
LOWES COS INC COM                        548661107    1210289      21350   X                             7350          0      14000
LOWES COS INC COM                        548661107      56688       1000               X                    0       1000          0
LUCENT TECHNOLOGIES INC COM              549463107   40474239     600170   X                           570092       5783      24295
LUCENT TECHNOLOGIES INC COM              549463107   25076905     371851               X               202613     119183      50055
MBIA INC                                 55262C100     259000       4000               X                    0       4000          0
MCI WORLDCOM INC                         55268B106   28868801     335438   X                           316455        875      18108
MCI WORLDCOM INC                         55268B106    8069181      93759               X                33286      48186      12287
MARSH & MCLENNAN COS INC                 571748102      52982        700   X                              700          0          0
MARSH & MCLENNAN COS INC                 571748102     455036       6012               X                 2900       2712        400
MASCO CORP                               574599106     102506       3550   X                             3550          0          0
MASCO CORP                               574599106     158813       5500               X                 4900        600          0
MFS                                      575736103     235705      11092   X                            11092          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             320165261    4031327                              2910582     793117     327629
</TABLE>
<PAGE>   190
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   208

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
MFS                                      575736103      11613        547               X                  206          0        341
MASTERS SELECT FDS                       576417109     790520      47939               X                    0      47939          0
MAXIM INTEGRATED PRODS INC               57772K101    1707720      25680   X                            17130        400       8150
MAXIM INTEGRATED PRODS INC               57772K101     357438       5375               X                 5100        275          0
MAY DEPT STORES CO                       577778103    3759601      91978   X                            88303          0       3675
MAY DEPT STORES CO                       577778103    4988467     122042               X                55168      32100      34774
MCDONALDS CORP                           580135101    3404122      82775   X                            80865        110       1800
MCDONALDS CORP                           580135101   13039668     317074               X               151104     111550      54420
MEDIAONE GROUP INC                       58440J104     733784       9866   X                             9866          0          0
MEDIAONE GROUP INC                       58440J104     568969       7650               X                 1644       3592       2414
MEDTRONIC INC                            585055106   14428447     185277   X                           171527        300      13450
MEDTRONIC INC                            585055106    3258290      41840               X                18240      19525       4075
MELLON BK CORP                           585509102    1989967      54707   X                            50355        700       3652
MELLON BK CORP                           585509102    1516292      41685               X                31600       5429       4656
MERCK & CO INC                           589331107   61589816     836534   X                           804526       7075      24933
MERCK & CO INC                           589331107   56483048     767172               X               333487     275126     158559
MERITOR AUTOMOTIVE INC                   59000G100    1161407      45545   X                            45545          0          0
MERITOR AUTOMOTIVE INC                   59000G100     579309      22718               X                22266        452          0
MICROSOFT CORP                           594918104   29034042     321928   X                           309823        475      11630
MICROSOFT CORP                           594918104   11455680     127020               X                82185      38105       6730
MINNESOTA MNG & MFG CO                   604059105    6418459      73828   X                            71878        800       1150
MINNESOTA MNG & MFG CO                   604059105   11734978     134981               X                73189      43538      18254
MOBIL CORP                               607059102   17565354     177877   X                           175267          0       2610
MOBIL CORP                               607059102   18215326     184459               X               115239      40462      28758
MODIS PROFESSIONAL SVCS INC              607830106     135630      10000               X                10000          0          0
MONSANTO CO                              611662107   10117842     255740   X                           251530          0       4210
MONSANTO CO                              611662107    2233134      56445               X                34815      16680       4950
MORGAN J P & CO INC                      616880100    2295770      16340   X                            16340          0          0
MORGAN J P & CO INC                      616880100    2259240      16080               X                 9080       6500        500
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     310235       3023   X                             3023          0          0
MORGAN STANLEY DEAN WITTER DISCOVER      617446448     461402       4496               X                 3030        882        584
MOTOROLA INC                             620076109    1554374      16405   X                            16005          0        400
MOTOROLA INC                             620076109    1433757      15132               X                11840       2992        300
MYLAN LABS INC                           628530107     139470       5263   X                             4863          0        400
MYLAN LABS INC                           628530107     358492      13528               X                 5463          0       8065
NSD BANCORP INC COM                      62938D108     127248       5784   X                             5784          0          0
NSD BANCORP INC COM                      62938D108     193600       8800               X                 8800          0          0
NALCO CHEM CO                            629853102     326813       6300               X                    0       6300          0
NATIONAL CITY CORP                       635405103  257197278    3926676   X                          3875267       9834      41575
NATIONAL CITY CORP                       635405103  286502465    4374083               X              3240805     468834     664444
NATIONAL FUEL GAS CO N J                 636180101    1017336      20976   X                            20976          0          0
NATIONAL FUEL GAS CO N J                 636180101    1586338      32708               X                24344       5364       3000
NEWELL RUBBERMAID INC                    651229106    2893244      62388   X                            53855       7883        650
NEWELL RUBBERMAID INC                    651229106    3066872      66132               X                47620       8318      10194
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             839002857   12642796                             10357953    1161540    1123303
</TABLE>
<PAGE>   191
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   209

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
NEXTEL COMMUNICATIONS INC                65332V103     175658       3500   X                             3500          0          0
NEXTEL COMMUNICATIONS INC                65332V103     100376       2000               X                 1000       1000          0
NIKE INC                                 654106103     259838       4100   X                             4100          0          0
NIKE INC                                 654106103     354900       5600               X                 4800        800          0
NORFOLK SOUTHN CORP                      655844108     621750      20639   X                            19139          0       1500
NORFOLK SOUTHN CORP                      655844108    1157403      38420               X                27380       5640       5400
NORTH PITTSBURGH SYSTEMS INC COM         661562108    3328566     195798               X                19960      47798     128040
NORTHERN TR CORP                         665859104    3152500      32500   X                            32500          0          0
NORTHWEST BANCORP INC PA                 667328108     268000      26800   X                            26800          0          0
NORTHWEST BANCORP INC PA                 667328108       8000        800               X                    0        800          0
NUVEEN PA PREMIUM INCOME MUNICIPAL       67061F101     139618      10154   X                            10154          0          0
NUVEEN FLAGSHIP MULTISTATE I             67065L716     186972      18241   X                            18241          0          0
OIL WELL AUTOMATION INC CLASS A COM      677895997          1     450000               X               450000          0          0
OMNICOM GROUP INC                        681919106    9235200     115440   X                           113895          0       1545
OMNICOM GROUP INC                        681919106     221600       2770               X                 2450        320          0
OPPENHEIMER STRATEGIC INC FD CL B        68380K201     212932      47958               X                47958          0          0
ORACLE CORP                              68389X105     160566       4325   X                             4325          0          0
ORACLE CORP                              68389X105     615792      16587               X                10012       4775       1800
PECO ENERGY CO                           693304107     184250       4400   X                             4400          0          0
PECO ENERGY CO                           693304107     190699       4554               X                  757       2347       1450
PIMCO                                    693391633     116578      11932               X                11932          0          0
PNC BK CORP                              693475105    6516005     113076   X                           111717          0       1359
PNC BK CORP                              693475105   10533792     182799               X               116839      31125      34835
P P & L RES INC                          693499105     640803      20839   X                            20839          0          0
P P & L RES INC                          693499105     453409      14745               X                 5421       6878       2446
PPG INDS INC                             693506107   13400627     226887   X                           218637        400       7850
PPG INDS INC                             693506107   19715111     333798               X               196740      66435      70623
PARK OHIO HLDGS CORP                     700666100     169380      10000   X                                0          0      10000
PENNEY J C CO INC                        708160106     755252      15552   X                            15552          0          0
PENNEY J C CO INC                        708160106    6458588     132994               X                23544     104600       4850
PENNZOIL-QUAKER STATE COMPAN             709323109     159510      10634   X                            10634          0          0
PENNZOIL-QUAKER STATE COMPAN             709323109      93000       6200               X                 2137       3813        250
PEOPLES FINANCIAL CORP INC COM           71103G101    2797344      77704               X                    0          0      77704
PEPSICO INC                              713448108   18597353     480701   X                           461271       1200      18230
PEPSICO INC                              713448108   25909895     669714               X               355520     227490      86704
PFIZER INC                               717081103   38468150     352919   X                           337609        375      14935
PFIZER INC                               717081103   16336048     149872               X                65182      68790      15900
PHILIP MORRIS COS INC                    718154107   15773983     392505   X                           365105       2900      24500
PHILIP MORRIS COS INC                    718154107   10202889     253879               X               167044      69065      17770
PHILLIPS PETE CO                         718507106     362908       7213   X                             7213          0          0
PHILLIPS PETE CO                         718507106     428214       8511               X                 5150       2396        965
PHOENIX NETWORK                          718910995          1      69000   X                                0          0      69000
PITT DESMOINES INC                       724508106    2133375      34134   X                            34134          0          0
PITT DESMOINES INC                       724508106   11515500     184248               X                    0     184248          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             222112336    4764442                              3333591     833195     597656
</TABLE>
<PAGE>   192
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   210

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
PITTSBURGH TUBE CO COM                   725378103    1318212       9858   X                             9858          0          0
POTOMAC ELEC PWR CO                      737679100      84664       2876   X                             2876          0          0
POTOMAC ELEC PWR CO                      737679100     275245       9350               X                 4950       4143        257
PREMIER BANCORP INC PA                   74046J109     480700      43700               X                43700          0          0
PROCTER & GAMBLE CO COM                  742718109   33345228     373616   X                           356833        600      16183
PROCTER & GAMBLE CO COM                  742718109   20754552     232544               X               143579      60755      28210
PROGRESSIVE CORP OHIO                    743315103     572750       3950   X                             3800        150          0
PROGRESSIVE CORP OHIO                    743315103      87000        600               X                  400         50        150
PROVIDIAN FINL CORP                      74406A102     230794       2475   X                             2475          0          0
PROVIDIAN FINL CORP                      74406A102      13988        150               X                    0          0        150
PRUDENTIAL HIGH YIELD FD INC CL A        74435F106     170542      22091               X                22091          0          0
PUBLIC SVC ENTERPRISE GROUP INC          744573106     139866       3427   X                             3427          0          0
PUBLIC SVC ENTERPRISE GROUP INC          744573106     177659       4353               X                 2685       1047        621
PUTNAM FD FOR GROWTH & INCOME            746761105      73566       3281   X                             3281          0          0
PUTNAM FD FOR GROWTH & INCOME            746761105     255113      11379               X                  384          0      10995
PUTNAM PA TAX EXEMPT INCOME FD CL A      746852102     115357      12875   X                            12875          0          0
PUTNAM PA TAX EXEMPT INCOME FD CL A      746852102     162695      18158               X                13479          0       4679
QUALCOMM INC COM                         747525103      28700        200   X                              200          0          0
QUALCOMM INC COM                         747525103    3113950      21700               X                19300       2400          0
QUINTILES TRANSNATIONAL CORP COM         748767100     501102      11931               X                11931          0          0
QWEST COMMUNICATIONS INTL INC COM        749121109     215736       6525   X                             6125          0        400
QWEST COMMUNICATIONS INTL INC COM        749121109      79351       2400               X                 2400          0          0
RPM INC OHIO COM                         749685103     185153      13050   X                            12250          0        800
RPM INC OHIO COM                         749685103     849861      59900               X                52225       7475        200
RAYTHEON CO                              755111408    7104144     100768   X                            92068       7500       1200
RAYTHEON CO                              755111408    6450609      91498               X                30520      51778       9200
REX HIDE INC COM                         761576107     584465      50823   X                            50823          0          0
RHONE POULENC ADR                        762426609     277878       6000               X                 6000          0          0
ROCKWELL INTL CORP NEW                   773903109    8387145     138060   X                           138060          0          0
ROCKWELL INTL CORP NEW                   773903109    4938489      81292               X                75261       5131        900
ROWE T PRICE NEW AM GROWTH F             779557107     412296       7776               X                    0          0       7776
T ROWE PRICE INTL STOCK FUNDS INC        77956H203     810918      51915   X                            51915          0          0
T ROWE PRICE INTL STOCK FUNDS INC        77956H203      43270       2770               X                    0          0       2770
T ROWE PRICE NEW HORIZONS FUND           779562107     260700      10395   X                            10395          0          0
ROYAL DUTCH PETROLEUM CO                 780257804    4111761      68245   X                            67245          0       1000
ROYAL DUTCH PETROLEUM CO                 780257804    3994816      66304               X                39504      24400       2400
S & T BANCORP INC COM                    783859101     384709      15236   X                            15236          0          0
S & T BANCORP INC COM                    783859101      27775       1100               X                  600          0        500
SBC COMMUNICATIONS INC COM               78387G103   14320780     246910   X                           242482        200       4228
SBC COMMUNICATIONS INC COM               78387G103    5070650      87425               X                57498      18115      11812
SEI INDEX FUNDS                          783924103    2536045      59088   X                            59088          0          0
SEI INSTL MANAGED TR VALUE PORT          783925100     162171       7628   X                             7628          0          0
SEI INSTL MANAGED TR VALUE PORT          783925100      54875       2581               X                    0       1302       1279
SEI INSTL MANAGED TRUST                  783925308     901518      61495   X                            61495          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             124066798    2027698                              1736942     185046     105710
</TABLE>
<PAGE>   193
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   211

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
SEI INSTL MANAGED TRUST                  783925308     163122      11127               X                 6047       5080          0
SEI INSTL MANAGED TR                     783925407    3764300     266028   X                           257820       1473       6735
SEI INSTL MANAGED TR                     783925407    1303555      92124               X                51827      26369      13928
SEI DAILY INCOME TR                      783965742    8207113     830679   X                           815478       4000      11201
SEI DAILY INCOME TR                      783965742    4504249     455896               X               190460     168986      96450
SEI TAX EXEMPT TR                        784118507   30350355    2921112   X                          2870833      32451      17828
SEI TAX EXEMPT TR                        784118507   31040267    2987514               X              1739348     985793     262373
SAFEWAY INC COM NEW                      786514208   17739315     358370   X                           353720          0       4650
SAFEWAY INC COM NEW                      786514208    1380308      27885               X                 8965      15320       3600
SARA LEE CORP COM                        803111103     255285      11252   X                            11252          0          0
SARA LEE CORP COM                        803111103     754830      33270               X                20930      12340          0
SCHERING-PLOUGH CORP COM                 806605101   17138940     326456   X                           320786        300       5370
SCHERING-PLOUGH CORP COM                 806605101   11468625     218450               X                97135     119765       1550
SCHLUMBERGER LTD COM                     806857108   16540984     259719   X                           246584          0      13135
SCHLUMBERGER LTD COM                     806857108    7561485     118727               X                58397      50680       9650
SCOTTS CO CL A COM                       810186106     260985       5480   X                             5030        350        100
SCOTTS CO CL A COM                       810186106    1083469      22750               X                14600       7150       1000
SCUDDER INTERNATIONAL FD INC COM         811165109     399096       7787               X                 3810       3978          0
SCUDDER TAX FREE FDS MASS FD             811184308     218064      15699               X                    0      15699          0
SEARS ROEBUCK & CO CAP                   812387108     191131       4289   X                             4289          0          0
SEARS ROEBUCK & CO CAP                   812387108     452716      10159               X                 7618       1291       1250
SERVICE CORP INTERNATIONAL COM           817565104     272657      14164   X                            13539        425        200
SERVICE CORP INTERNATIONAL COM           817565104    1377492      71558               X                32904      37254       1400
SERVICEMASTER CO COM                     81760N109     149756       7987   X                             7987          0          0
SERVICEMASTER CO COM                     81760N109      41119       2193               X                 2193          0          0
SHELL TRANS & TRADING PLC                822703609      83475       1800   X                             1800          0          0
SHELL TRANS & TRADING PLC                822703609     245788       5300               X                 5300          0          0
SHERWIN WILLIAMS CO COM                  824348106      88800       3200   X                             3200          0          0
SHERWIN WILLIAMS CO COM                  824348106     166500       6000               X                    0       6000          0
SILICON GRAPHICS INC COM                 827056102     163750      10000               X                    0      10000          0
SIMON PPTY GROUP INC NEW                 828806109       3451        136   X                              136          0          0
SIMON PPTY GROUP INC NEW                 828806109     308053      12140               X                11540        600          0
SMITHKLINE BEECHAM CORP                  832378301     663801      10048   X                             9248          0        800
SMITHKLINE BEECHAM CORP                  832378301    1108273      16776               X                 7300       6200       3276
SONOCO PRODS CO COM                      835495102     759916      25383               X                25383          0          0
SOUTHERN CO COM                          842587107      63070       2380   X                             2380          0          0
SOUTHERN CO COM                          842587107     151050       5700               X                 1200       4500          0
SPIEKER PPTYS INC                        848497103     209925       5400               X                 5150        250          0
SPRINT CORP COM                          852061100   32377231     610891   X                           600401       1050       9440
SPRINT CORP COM                          852061100    4976806      93902               X                70760      14242       8900
SPRINT CORP                              852061506    1150317      20181   X                            19156        325        700
SPRINT CORP                              852061506    1038654      18222               X                12574       2143       3505
STATE STR CORP                           857477103     307350       3600   X                             3600          0          0
STATE STR CORP                           857477103     187825       2200               X                 2200          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             200673253    9933934                              7922880    1534014     477041
</TABLE>
<PAGE>   194
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   212

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
STATE STR RESRCH INVT TR                 857483200     137947      10218   X                            10218          0          0
STATE STR RESH TAX EXEMPT TR             857513105     135969      16541   X                            16541          0          0
STRUTHERS INDS INC                       863583209        100      10000   X                            10000          0          0
SUN MICROSYSTEMS INC COM                 866810104   36797502     534265   X                           529495          0       4770
SUN MICROSYSTEMS INC COM                 866810104    3841848      55780               X                29660      25020       1100
SUNTRUST BKS INC COM                     867914103      77146       1111   X                              311          0        800
SUNTRUST BKS INC COM                     867914103     326359       4700               X                  700       3000       1000
SYMBOL TECHNOLOGIES INC COM              871508107    1136672      30825   X                              450          0      30375
SYMBOL TECHNOLOGIES INC COM              871508107      11063        300               X                  300          0          0
SYSCO CORP COM                           871829107    1780492      59722   X                            57922          0       1800
SYSCO CORP COM                           871829107    5498889     184446               X               106846      63400      14200
TECO ENERGY INC COM                      872375100     160970       7076   X                             7076          0          0
TECO ENERGY INC COM                      872375100     880653      38710               X                24700       2610      11400
TJX COS INC NEW COM                      872540109   11168350     335255   X                           331075          0       4180
TJX COS INC NEW COM                      872540109     199545       5990               X                 5280        710          0
T R W INC COM                            872649108     664427      12108               X                 8300       2960        848
TWP INC COM                              873106108     393094        449   X                              449          0          0
TWP INC COM                              873106108    2859281       3268               X                 2600        536        132
TANDY CORP COM                           875382103   16654645     340760   X                           336740          0       4020
TANDY CORP COM                           875382103     238021       4870               X                 4110        760          0
TELECOM CORP NEW ZEALAND LTD             879278208     209628       6000               X                 6000          0          0
TELEFONOS DE MEXICO S A SPONSORED        879403780     161626       2000   X                             2000          0          0
TELEFONOS DE MEXICO S A SPONSORED        879403780     137382       1700               X                 1500          0        200
TELLABS INC COM                          879664100     188095       2784   X                             2784          0          0
TELLABS INC COM                          879664100     529694       7840               X                 5840       2000          0
TEMPLETON FDS INC                        880196209    7679604     745593   X                           723522       1566      20504
TEMPLETON FDS INC                        880196209    2344004     227573               X                93098     107803      26672
TEMPLETON INSTL FDS INC                  880210208     510794      44417   X                            42702          0       1715
TEMPLETON INSTL FDS INC                  880210208     264164      22971               X                21336       1635          0
TEMPLETON INSTL FDS INC                  880210505   20149656    1022825   X                          1009181          0      13644
TEMPLETON INSTL FDS INC                  880210505     946458      48044               X                37849      10194          0
TEXACO INC COM                           881694103   63837708    1023450   X                          1021450          0       2000
TEXACO INC COM                           881694103   11666807     187043               X                38292      71071      77680
TEXAS INSTRS INC COM                     882508104   13629600      94650   X                            93425        150       1075
TEXAS INSTRS INC COM                     882508104    1376640       9560               X                 5340       4220          0
TEXAS UTILITIES CO COM (HLDG)            882848104   11644078     281000   X                           276085        300       4615
TEXAS UTILITIES CO COM (HLDG)            882848104     327526       7904               X                 5964       1140        800
TEXTRON INC COM                          883203101    5330837      64763   X                            63683          0       1080
TEXTRON INC COM                          883203101    2374730      28850               X                 5600      21450       1800
THERMO ELECTRON CORP COM                 883556102     129406       6450   X                             6450          0          0
THERMO ELECTRON CORP COM                 883556102     271091      13512               X                13512          0          0
THOMAS & BETTS CORP COM                  884315102      29909        633   X                              633          0          0
THOMAS & BETTS CORP COM                  884315102     175392       3712               X                    0       3712          0
3COM CORP COM                            885535104     354950      13300   X                            13300          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             227232752    5522968                              4972319     324237     226410
</TABLE>
<PAGE>   195
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   213

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
3COM CORP COM                            885535104     326768      12244               X                 4822       4022       3400
TIME WARNER INC COM                      887315109   22117871     304549   X                           299824        645       4080
TIME WARNER INC COM                      887315109    2483049      34190               X                 8520      23520       2150
TRICON GLOBAL RESTAURANTS                895953107     481280       8892   X                             8892          0          0
TRICON GLOBAL RESTAURANTS                895953107     764462      14124               X                 5546       7178       1400
TRIBUNE CO NEW COM                       896047107    3188775      36600   X                            36600          0          0
TRIBUNE CO NEW COM                       896047107    1742152      19996               X                12500       7246        250
TRION INC COM                            896726106      47190      10000               X                10000          0          0
TYCO INTL LTD NEW                        902124106   31607179     333585   X                           314885        375      18325
TYCO INTL LTD NEW                        902124106    5479108      57827               X                26733      23107       7987
USX-MARATHON GROUP COM NEW               902905827      80691       2478   X                             2478          0          0
USX-MARATHON GROUP COM NEW               902905827     147185       4520               X                 1390        230       2900
UNILEVER N V                             904784709     805194      11544   X                             9241          0       2303
UNILEVER N V                             904784709    2106311      30198               X                19935       7943       2320
UNION PAC CORP CO COM                    907818108    3475397      59599   X                            59599          0          0
UNION PAC CORP CO COM                    907818108    2845908      48804               X                29824      17880       1100
UNION PAC RES GROUP INC COM              907834105     136833       8388   X                             8388          0          0
UNION PAC RES GROUP INC COM              907834105     149068       9138               X                 5498       3640          0
UNITED DOMINION RLTY TR INC COM          910197102     252038      21450               X                19450       2000          0
U S WEST INC NEW                         91273H101     594394      10117   X                            10117          0          0
U S WEST INC NEW                         91273H101     854205      14540               X                 8378       3645       2517
UNITED TECHNOLOGIES CORP COM             913017109   25920864     360012   X                           353647          0       6365
UNITED TECHNOLOGIES CORP COM             913017109    4957920      68860               X                32630      15680      20550
UNOCAL CORP COM                          915289102      48105       1214   X                             1214          0          0
UNOCAL CORP COM                          915289102     202325       5106               X                 3106       2000          0
V F CORP COM                             918204108     220163       5150               X                 4350        800          0
VAN KAMPEN EQUITY INCOME FUND CL A       92113D102     201379      24649   X                            24649          0          0
VAN KAMPEN EQUITY INCOME FUND CL A       92113D102      41422       5070               X                 5070          0          0
VANGUARD WORLD FD                        921910204     253979      13038   X                            13038          0          0
VANGUARD                                 921935102     260469       8394   X                             8394          0          0
VANGUARD                                 921935102     399434      12872               X                 7995          0       4877
VANGUARD WINDSOR FUND INC                922018106     693546      38170   X                            38170          0          0
VANGUARD WINDSOR FUND INC                922018106    1143607      62939               X                  908          0      62031
VANGUARD                                 922018205     322187       9811   X                             8229          0       1582
VANGUARD                                 922018205      24446        744               X                   97        648          0
VANGUARD NY INSURED TAX FREE FD #76      92204H103     594258      54973               X                    0      54973          0
VANGUARD PA TAX-FREE FUND INSURED        92204L104     715048      65064   X                            65064          0          0
VANGUARD PA TAX-FREE FUND INSURED        92204L104     211487      19244               X                18197          0       1046
VANGUARD MONEY MKT TR                    922906201       6051       6051   X                             6051          0          0
VANGUARD MONEY MKT TR                    922906201       4161       4161               X                    0       4161          0
VANGUARD MUN BD FD INC                   922907308     847023      78283   X                            78283          0          0
VANGUARD MUN BD FD INC                   922907308      91048       8415               X                 8415          0          0
VANGUARD                                 922908108     125572        990   X                              639          0        351
VANGUARD                                 922908108    1152875       9090               X                 8881          0        208
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             118122427    1915083                              1589647     179693     145742
</TABLE>
<PAGE>   196
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   214

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
VANGUARD                                 922908207     526120      16273   X                            16273          0          0
VISTA GROWTH AND INCOME FUND             928374701    5956795     129299   X                           122335          0       6964
VISTA GROWTH AND INCOME FUND             928374701    2765223      60022               X                25020      26774       8228
VODAFONE GROUP PLC SPONSORED ADR         92857T107     591985       3005   X                             3005          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     817846       4152               X                 1447       1661       1044
VULCAN MATERIALS CO COM                  929160109      72375       1500   X                             1500          0          0
VULCAN MATERIALS CO COM                  929160109     405300       8400               X                    0       8400          0
WACHOVIA CORP COM                        929771103     149735       1750   X                             1750          0          0
WACHOVIA CORP COM                        929771103      85563       1000               X                  500          0        500
WAL MART STORES INC                      931142103   42035159     871195   X                           858565       1350      11280
WAL MART STORES INC                      931142103   10420118     215961               X               109711      86050      20200
WALGREEN CO COM                          931422109   12012260     408928   X                           402728        800       5400
WALGREEN CO COM                          931422109    1683188      57300               X                21440      15960      19900
WARNER LAMBERT CO COM                    934488107   11396984     164875   X                           157425        325       7125
WARNER LAMBERT CO COM                    934488107    3711252      53689               X                38144      14595        950
AMERICAN WASHINGTON MUTUAL INVESTORS     939330106      69288       1936   X                             1936          0          0
AMERICAN WASHINGTON MUTUAL INVESTORS     939330106     219534       6136               X                    0       3525       2610
WEIDER NUTRITION INTL INC                948603105      41250      10000   X                                0          0      10000
WELLMAN INC COM                          949702104     239070      15000               X                    0      15000          0
WELLS FARGO & CO NEW                     949746101    8889478     207941   X                           176086         75      31780
WELLS FARGO & CO NEW                     949746101    1948759      45585               X                25225      15300       5060
WESTVACO CORP COM                        961548104     213498       7362               X                 2362       5000          0
WILLAMETTE INDS INC COM                  969133107      15109        328   X                              328          0          0
WILLAMETTE INDS INC COM                  969133107     460630      10000               X                    0          0      10000
WILLIAMS COS INC DEL COM                 969457100     521822      12260   X                            12260          0          0
WILLIAMS COS INC DEL COM                 969457100    1138560      26750               X                 6250          0      20500
WRIGLEY WILLIAM JR CO COM                982526105    1284307      14400   X                            14400          0          0
WRIGLEY WILLIAM JR CO COM                982526105       8919        100               X                    0          0        100
XEROX CORP COM                           984121103   13399623     226870   X                           221660          0       5210
XEROX CORP COM                           984121103    1187757      20110               X                11990       7770        350
YACKTMAN FD INC COM                      984281105      74460       6607   X                             6023         13        571
YACKTMAN FD INC COM                      984281105      87431       7758               X                 2021       4937        800
YAHOO! INC COM                           984332106      25838        150   X                              100          0         50
YAHOO! INC COM                           984332106     444405       2580               X                 2580          0          0
ALLEGHENY BUSINESS TRUST SHS BEN INT     990173262    1686837       2550               X                 2550          0          0
ANDERSON FURNITURE CO COM                990339434     225000        450               X                  450          0          0
BLAIR STRIP STEEL CO COM                 990860264      14375          1   X                                1          0          0
BLAIR STRIP STEEL CO COM                 990860264     215625         19               X                   19          0          0
BLUE DANUBE INCORPORATED COM             990970279      62040      12000   X                            12000          0          0
CHARLES BUILDINGS INC                    991576216     724259        500   X                              500          0          0
DAILY NEWS PUBLISHING CO                 992450213     296660        100               X                  100          0          0
HORIX MFG CO COM                         993896208     293249        414               X                    0        414          0
JEFFERSON MEMORIAL PARK INC              994560266     381370       8640               X                    0       8640          0
LEZZER CASH & CARRY OF CURWENSVILLE      995160009    1553638       2493               X                    0       2493          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                             128352694    2646389                              2258684     219082     168622
</TABLE>
<PAGE>   197
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   215

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>          <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            COMMON STOCK
PHILIPS RESOURCES INC COM               997310990      707438        404   X                              404          0          0
PHILIPS RESOURCES INC COM               997310990     5078063       2902               X                 2300        488        114
PORT VUE SHOPS INC COM                  997355417      220214         50               X                   50          0          0
RCR GROUP INC COM                       997506019     1906294      35625               X                    0      35625          0
SHEFFIELD INC                           997650213      245656         50   X                               50          0          0
SEVEN FIELDS DEVELOPMENT CORP           998225460           2      21220               X                 3535          0      17685
SPANG & CO COM                          998463970      265600       3200               X                 3200          0          0
SPANG & CO COM (RESTRICTED I)           998463988      324000       3000   X                             3000          0          0
STANDARD STEEL SPECIALTY CO COM         998541452      910632      11982               X                10982       1000          0
THE STACKPOLE CORPORATION CLASS A       998769434     5125000      25625               X                    0          0      25625
WEINMAN PUMP & SUPPLY CO COM            999487523      583229         90   X                               90          0          0
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              15366128     104148                                23611      37113      43424
                                                   ----------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                         5047420091  124229621                            102801751   14140424    7287455
</TABLE>
<PAGE>   198
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   216

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
B. PREFERRED STOCK                                                              INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            PREFERRED STOCK

                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                               0          0                                    0          0          0
</TABLE>
<PAGE>   199
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   217

                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-             SOLE     SHARED       NONE
C. OTHER                                                                        INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
            OTHER
CRAY RESEARCH INC SUB DEB CONV           225224AA2      14400      20000               X                    0      20000          0
INTERIM SVCS INC SUB NT CONV             45868PAA8     367113     430000               X               405000      25000          0
JACOBSON STORES INC SUB DEB CONV         469834AC9      15700      20000               X                    0      20000          0
KENT ELECTRS CORP                        490553AA2     120000     150000               X               150000          0          0
KERR MCGEE CORP                          492386AL1      13860      14000               X                    0      14000          0
MICRON TECHNOLOGY INC                    595112AB9     538125     525000               X               500000      25000          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                               1069198    1159000                              1055000     104000          0
                                                    ---------  ---------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                   1069198    1159000                              1055000     104000          0
</TABLE>
<PAGE>   200
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 08/11/99 AS OF 06/30/99                 DEPT ID# 046             PAGE   218
**SUMMARY PAGE FOR: 46-NATIONAL CITY BANK OF PA.        **


CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                <C>         <C>                                  <C>        <C>        <C>
A. COMMON STOCK                                    5047420091  124229621                            102801751   14140424    7287455
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                              1069198    1159000                              1055000     104000          0
                                                   ----------  ---------                            ---------  ---------  ---------
**GRAND TOTALS**                                   5048489289  125388621                            103856751   14244424    7287455
</TABLE>
<PAGE>   201
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   219

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>          <C>       <C>
             COMMON STOCK
             ------------
 DAIMLERCHRYSLER AG                       D1668R123     303401       3409   X                             3409          0          0
 DAIMLERCHRYSLER AG                       D1668R123     291386       3274               X                 3274          0          0
 DAWLEN CORPORATION                       U72150458     317218        569   X                              569          0          0
 MARSILJE SERVICES INCORPORATED           000334995          1      11667               X                11667          0          0
 AARP GROWTH FDS                          00036J106      58438       1058   X                             1058          0          0
 AARP GROWTH FDS                          00036J106     165243       2992               X                 2992          0          0
 CNB CORPORATION                          000405993    1077780      17963   X                            17963          0          0
 INCOME ADVANTAGE FUND, A COLLECTIVE      000504993    1617465    1617465   X                          1617465          0          0
 INCOME ADVANTAGE FUND                    000520999   23210982   23210982   X                         23210982          0          0
 METRO ASSOCIATES COMPANY                 000619999    2332000        250               X                    0          0        250
 CARTER PAPER & PACKAGING                 000677997    1475944        106               X                  106          0          0
 P B & G SAND & GRAVEL & CONTRACTING      000739995     212000      10000   X                            10000          0          0
 JHL PROPERTY MANAGEMENT COMPANY          000752998    1079286        574               X                    0          0        574
 GRANGER ASSOCIATES INCORPORATED          000789990    2428800       4600   X                             4600          0          0
 INTERNATIONAL ENGINEERING &              000814996    1422530      19000   X                            19000          0          0
 ADC TELECOMMUNICATIONS INC COM           000886101    1612930      35400   X                            35200          0        200
 ADC TELECOMMUNICATIONS INC COM           000886101      66066       1450               X                 1350          0        100
 ACM GOVT SECS FD INC COM                 000914101      47712       5964   X                             5964          0          0
 ACM GOVT SECS FD INC COM                 000914101      40000       5000               X                 5000          0          0
 ACM GOVERNMENT SPECTRUM FUND             000917104      17439       3000   X                                0          0       3000
 ACM GOVERNMENT SPECTRUM FUND             000917104     232520      40000               X                40000          0          0
 AFLAC INC COM                            001055102     186234       3890   X                             3890          0          0
 AFLAC INC COM                            001055102      15512        324               X                  324          0          0
 AIM CONSTELLATION FD INC                 001413202     203442       6131   X                             6131          0          0
 AT&T CORP COM                            001957109    6729932     120580   X                           115893          0       4687
 AT&T CORP COM                            001957109    3251051      58249               X                51857          0       6392
 AT&T CORP                                001957208     221970       6040               X                    0          0       6040
 ABBOTT LABS                              002824100    9636017     212364   X                           182075          0      30289
 ABBOTT LABS                              002824100    7196793     158607               X               111496        100      47011
 ACORN FUND                               004851101     341004      18343               X                16653          0       1691
 AEGON N V ORD AMER REG (NLG)             007924103    1007405      13625   X                            13625          0          0
 AEGON N V ORD AMER REG (NLG)             007924103     162738       2201               X                 2201          0          0
 AETNA INC COM NEW                        008117103     274396       3068   X                             3068          0          0
 AETNA INC COM NEW                        008117103      80494        900               X                    0          0        900
 AIM FDS GROUP                            008879744    2247458      76653   X                            76653          0          0
 ALBERTSONS INC COM                       013104104     934179      18117   X                            18117          0          0
 ALBERTSONS INC COM                       013104104     593472      11510               X                11085          0        425
 ALCOA INC                                013817101    1721981      27830   X                            27830          0          0
 ALCOA INC                                013817101     662558      10708               X                 8308          0       2400
 ALLEGHENY ENERGY INC                     017361106     188370       5875   X                             5275          0        600
 ALLEGHENY ENERGY INC                     017361106     236465       7375               X                 6575          0        800
 ALLIANCE BD FD                           018528885     360766      28884   X                            28884          0          0
 ALLIANCE                                 01864D104     103789      16167   X                            16167          0          0
 ALLIANCE                                 01864D104      51042       7950               X                 2259          0       5692
                                                      --------   --------                             --------        ---     ------
 SUBTOTALS FOR THIS PAGE                              74416209   25810114                             25698965        100     111051
</TABLE>
<PAGE>   202
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   220

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 ALLIANCE MUN INCOME FD II                01864E722     113868      11153   X                            11153          0          0
 ALLIANCE PREMIER GROWTH FD               01877C101    6856156     200180   X                           200180          0          0
 ALLIED SIGNAL INC COM                    019512102     273294       4338   X                             4338          0          0
 ALLIED SIGNAL INC COM                    019512102     508284       8068               X                 7718          0        350
 ALLSTATE CORP COM                        020002101     649660      18109   X                            18109          0          0
 ALLSTATE CORP COM                        020002101     492492      13728               X                12932          0        796
 ALLTEL CORP COM                          020039103     622694       8709   X                             8709          0          0
 ALLTEL CORP COM                          020039103      85800       1200               X                 1000          0        200
 ALPHA BETA TECHNOLOGY INCORPORATED       02071K105        300      30000   X                            30000          0          0
 AMEREN CORP                              023608102     136952       3569   X                             3569          0          0
 AMEREN CORP                              023608102     465719      12136               X                10318          0       1818
 AMERICA ONLINE INC DEL COM               02364J104    1034550       9405   X                             9405          0          0
 AMERICA ONLINE INC DEL COM               02364J104     174900       1590               X                  360          0       1230
 AMERICAN CENTURY                         025075201     231272      24293   X                            24293          0          0
 BENHAM CALIF INTERMEDIATE-TERM           025075508     580762      53281   X                            53281          0          0
 AMERICAN CENTURY                         025083882     113194       3013   X                             3013          0          0
 AMERICAN CENTURY                         025083882     389933      10379               X                10379          0          0
 AMERICAN CENTURY                         025086505     271313      23592   X                            23592          0          0
 AMERICAN ELECTRIC POWER CO INC           025537101     497672      13249   X                            13249          0          0
 AMERICAN ELECTRIC POWER CO INC           025537101     192398       5122               X                 4522          0        600
 AMERICAN EXPRESS CO COM                  025816109    1909454      14674   X                            14124          0        550
 AMERICAN EXPRESS CO COM                  025816109     362268       2784               X                 2484          0        300
 AMERICAN GENERAL CORP                    026351106     410794       5450   X                             5450          0          0
 AMERICAN GENERAL CORP                    026351106     146604       1945               X                 1945          0          0
 AMERICAN HOME PRODS CORP COM             026609107   12212384     212852   X                           209352          0       3500
 AMERICAN HOME PRODS CORP COM             026609107    3523743      61416               X                58616          0       2800
 AMERICAN INTL GROUP INC COM              026874107   13797394     117675   X                           115966          0       1709
 AMERICAN INTL GROUP INC COM              026874107    3129989      26695               X                23359         50       3286
 AMERICAN PWR CONVERSION CORP COM         029066107     463881      23050   X                            23050          0          0
 AMERICAN PWR CONVERSION CORP COM         029066107       4025        200               X                    0          0        200
 AMERITECH CORP NEW COM                   030954101    7449446     101353   X                           100969          0        384
 AMERITECH CORP NEW COM                   030954101    3743499      50932               X                41712          0       9220
 AMGEN INC                                031162100    1045406      17173   X                            16173          0       1000
 AMGEN INC                                031162100     714733      11741               X                10741          0       1000
 ANALOG DEVICES INC COM                   032654105     312822       6233               X                 6233          0          0
 ANHEUSER BUSCH                           035229103    1632496      23013   X                            23013          0          0
 ANHEUSER BUSCH                           035229103    1101312      15525               X                10150          0       5375
 AON CORP COM                             037389103     280294       6795   X                             6795          0          0
 APPLIED MATLS INC                        038222105    1440193      19495   X                            19495          0          0
 APPLIED MATLS INC                        038222105      59100        800               X                  500          0        300
 ARCHER DANIELS MIDLAND CO COM            039483102      87039       5638   X                             5638          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     112867       7311               X                 3603          0       3708
 ARDEN RLTY INC COM                       039793104     231475       9400   X                             8775          0        625
 ARDEN RLTY INC COM                       039793104      23394        950               X                  950          0          0
                                                      --------    -------                              -------         --      -----
 SUBTOTALS FOR THIS PAGE                              67885825    1198214                              1159213         50      38951
</TABLE>
<PAGE>   203
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   221

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>          <C>       <C>
             COMMON STOCK
             ------------
 ARMADA MONEY MARKET FUND                 042086108   12574850   12574850   X                         12574850          0          0
 ARMADA FDS                               042086272   12099944    1131894   X                          1131894          0          0
 ARMADA GOVERNMENT MONEY MKT              042086306    1289023    1289023   X                          1289023          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330    1378302     107177   X                           107177          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330     812039      63145               X                56955          0       6190
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     829336      84799   X                            81805          0       2994
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     786113      80380               X                40436          0      39944
 ARMADA TREASURY MONEY MKT FD             042086504     894964     894964   X                           894964          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579    3489893     313839   X                           303447          0      10392
 ARMADA SMALL CAP GROWTH FUND #519        042086579     987123      88770               X                61214          0      27556
 ARMADA CORE EQUITY FUND #681             042086595    2493988     169775   X                           169775          0          0
 ARMADA CORE EQUITY FUND #681             042086595     192321      13092               X                 5868          0       7224
 ARMADA INTERNATIONAL EQUITY FD           042086629    2766166     238052   X                           237630          0        422
 ARMADA INTERNATIONAL EQUITY FD           042086629     283610      24407               X                23970          0        437
 ARMADA EQUITY INDEX FUND #42             042086645   42684721    3574935   X                          3559592          0      15343
 ARMADA EQUITY INDEX FUND #42             042086645     969645      81210               X                69027          0      12183
 ARMADA GNMA INSTL CL #666                042086660    3191536     319473   X                           319232          0        241
 ARMADA GNMA INSTL CL #666                042086660     180243      18042               X                 7146          0      10897
 ARMADA BOND FD INSTL CL #630             042086686    3267340     331373   X                           331373          0          0
 ARMADA BOND FD INSTL CL #630             042086686      78824       7994               X                 7994          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1286409     129940   X                           129940          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777      34894       3525               X                 3525          0          0
 ARMADA INTERMEDIATE BD FUND              042086793    6180003     597679   X                           597448          0        231
 ARMADA INTERMEDIATE BD FUND              042086793     478659      46292               X                45530          0        762
 ARMADA ENHANCED INCOME FUND              042086827    2205841     222139   X                           213812          0       8327
 ARMADA ENHANCED INCOME FUND              042086827      87907       8853               X                 8853          0          0
 ARMADA SMALL CAP VALUE FUND #616         042086843   10445577     748251   X                           737788          0      10462
 ARMADA SMALL CAP VALUE FUND #616         042086843    1126574      80700               X                74802          0       5898
 ARMADA EQUITY INCOME FUND #614           042086868    6082667     317301   X                           316608          0        693
 ARMADA EQUITY INCOME FUND #614           042086868    1210712      63157               X                55540          0       7616
 ARMADA EQUITY GROWTH FUND                042086884   16546817     627486   X                           626710          0        777
 ARMADA EQUITY GROWTH FUND                042086884     418057      15853               X                12795          0       3059
 ASSOCIATES FIRST CAP CORP COM            046008108    1756131      39799   X                            38599          0       1200
 ASSOCIATES FIRST CAP CORP COM            046008108     611584      13860               X                 9920          0       3940
 ATLANTIC RICHFIELD CO COM                048825103    2190604      26215   X                            25046          0       1169
 ATLANTIC RICHFIELD CO COM                048825103     698921       8364               X                 5740          0       2624
 AUTOMATIC DATA PROCESSING INC COM        053015103    6185212     140573   X                           139873          0        700
 AUTOMATIC DATA PROCESSING INC COM        053015103    1136872      25838               X                24138          0       1700
 AVERY DENNISON CORP COM                  053611109     360016       5963   X                             5963          0          0
 AVERY DENNISON CORP COM                  053611109     470321       7790               X                 7790          0          0
 AVON PRODS INC COM                       054303102    1323120      23840   X                            22400          0       1440
 AVON PRODS INC COM                       054303102      33300        600               X                  600          0          0
 BP AMOCO PLC-SPONS ADR                   055622104    9460007      87189   X                            85470          0       1719
 BP AMOCO PLC-SPONS ADR                   055622104    6555389      60418               X                41646          0      18772
                                                     ---------   --------                             --------          -     ------
 SUBTOTALS FOR THIS PAGE                             168135575   24708819                             24503908          0     204912
</TABLE>
<PAGE>   204
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   222

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>           <C>       <C>
             COMMON STOCK
             ------------
 BANK OF AMER CORP COM                    060505104    7592596     103564   X                           102864          0        700
 BANK OF AMER CORP COM                    060505104     488365       6661               X                 4372          0       2289
 BANK ONE CORP COM                        06423A103    8599349     144374   X                           144224          0        150
 BANK ONE CORP COM                        06423A103    2237782      37570               X                29473          0       8097
 BARD C R INC                             067383109     120058       2511   X                             2511          0          0
 BARD C R INC                             067383109     113556       2375               X                    0          0       2375
 BARON ASSET FD                           068278100    3850041      63501   X                            63501          0          0
 BARON ASSET FD                           068278100     284400       4691               X                 2741        508       1441
 BARON ASSET FD                           068278308     148592      11122   X                             9579          0       1543
 BARON ASSET FD                           068278308     277056      20738               X                20738          0          0
 BARRY COUNTY SERVICE COMPANY             068810894     210000       3000   X                             3000          0          0
 BATH NATIONAL CORPORATION                071122105     533600      11600   X                            11600          0          0
 BAXTER INTL INC COM                      071813109    1488283      24549   X                            24549          0          0
 BAXTER INTL INC COM                      071813109     386303       6372               X                 5847          0        525
 BELL ATLANTIC CORP COM                   077853109    3802079      58158   X                            56292          0       1866
 BELL ATLANTIC CORP COM                   077853109    4750801      72670               X                64430          0       8240
 BELLSOUTH CORP COM                       079860102    7232400     156800   X                           154424          0       2376
 BELLSOUTH CORP COM                       079860102    2971050      64413               X                57423          0       6990
 BELO A H CORP SER A                      080555105     575480      29230   X                            29230          0          0
 BERGER OMNI INVT FD TR                   083902106     605628      27170   X                            23470          0       3700
 BERGER OMNI INVT FD TR                   083902106      78135       3505               X                 1532       1383        590
 BERGER SMALL CAP VALUE FUND              083902205     246145      11018   X                            11018          0          0
 BERGER INVT PORTFOLIO TR                 084045103    1312466     290369   X                           290369          0          0
 BERGER ONE HUNDRED FUND INC              084056100      34094       2099   X                             2099          0          0
 BERGER ONE HUNDRED FUND INC              084056100     566340      34873               X                34873          0          0
 BERKSHIRE HATHAWAY INC DEL               084670108      68800          1   X                                1          0          0
 BERKSHIRE HATHAWAY INC DEL               084670108     137600          2               X                    0          0          2
 BERKSHIRE HATHAWAY INC DEL               084670207     465920        208   X                              208          0          0
 BERKSHIRE HATHAWAY INC DEL               084670207     224000        100               X                   87          0         13
 BERNSTEIN SANFORD C FD INC               085568855     259331      13204   X                            13204          0          0
 BEST FOODS                               08658U101    1787396      36109   X                            35109          0       1000
 BEST FOODS                               08658U101     524700      10600               X                 9500          0       1100
 BOEING CO                                097023105     997744      22676   X                            22476          0        200
 BOEING CO                                097023105     164560       3740               X                 1140          0       2600
 BORG WARNER AUTOMOTIVE INC               099724106     308000       5600   X                             5600          0          0
 BORG WARNER AUTOMOTIVE INC               099724106       5500        100               X                    0          0        100
 BOSTON SCIENTIFIC CORP COM               101137107     268022       6100   X                             6100          0          0
 BOSTON SCIENTIFIC CORP COM               101137107      32514        740               X                  740          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108   13402168     190269   X                           187597          0       2672
 BRISTOL MYERS SQUIBB CO COM              110122108    5200367      73829               X                57231          0      16598
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     417725      13475   X                            13475          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     522288      16848               X                11550          0       5298
 BURLINGTON RES INC COM                   122014103     298166       6894   X                             6894          0          0
 BURLINGTON RES INC COM                   122014103     249899       5778               X                 1898          0       3880
                                                      --------    -------                              -------       ----      -----
 SUBTOTALS FOR THIS PAGE                              73839299    1599206                              1522969       1891      74345
</TABLE>
<PAGE>   205
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   223

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 AKVA USA CL "B" COMMON STOCK             1234AKVA3      98438      31250   X                            31250          0          0
 W S BUTTERFIELD THEATRES                 124160995    1478855     107804               X               107804          0          0
 CBS CORP                                 12490K107     336001       7713   X                             7713          0          0
 CBS CORP                                 12490K107      26138        600               X                  600          0          0
 CIGNA CORP COM                           125509109    2517276      28284   X                            28284          0          0
 CIGNA CORP COM                           125509109    1606450      18050               X                18050          0          0
 CSX CORP COM                             126408103     303740       6694   X                             6694          0          0
 CSX CORP COM                             126408103     419583       9247               X                 3085          0       6162
 CVS CORPORATION (DEL)                    126650100    1630344      32125   X                            32025          0        100
 CVS CORPORATION (DEL)                    126650100     162400       3200               X                 3100          0        100
 CAMPBELL SOUP CO COM                     134429109      78838       1700   X                             1700          0          0
 CAMPBELL SOUP CO COM                     134429109     319988       6900               X                 5200          0       1700
 CARDINAL HEALTH INC COM                  14149Y108    1184261      18468   X                            17944          0        524
 CARDINAL HEALTH INC COM                  14149Y108     290807       4535               X                 4236          0        299
 CARNIVAL CORP COM                        143658102    2880900      59400   X                            57700          0       1700
 CARNIVAL CORP COM                        143658102     329800       6800               X                 6600          0        200
 CAROLINA PWR & LT CO COM                 144141108     226267       5285   X                             5285          0          0
 CAROLINA PWR & LT CO COM                 144141108     126898       2964               X                 2964          0          0
 CATERPILLAR INC COM                      149123101    6489253     108154   X                           108154          0          0
 CATERPILLAR INC COM                      149123101    8280632     138011               X               101747          0      36264
 CEDAR FAIR LP DEPOSITARY UNITS           150185106     934327      37466   X                            37041          0        425
 CEDAR FAIR LP DEPOSITARY UNITS           150185106      10374        416               X                  416          0          0
 CENDANT CORP                             151313103      93296       4551   X                             4551          0          0
 CENDANT CORP                             151313103     116051       5661               X                 5161          0        500
 CENTRAL & SOUTHWEST CORP COM             152357109     955009      40856   X                            39356          0       1500
 CENTRAL & SOUTHWEST CORP COM             152357109     376244      16096               X                11596          0       4500
 CENTURY FINANCIAL CORPORATION            15652L102      31605        735   X                              735          0          0
 CENTURY FINANCIAL CORPORATION            15652L102     283456       6592               X                 6592          0          0
 CENTURY INSTRUMENT CORPORATION CLASS     156573107     256500       9500               X                 9500          0          0
 CHARTER ONE FINL INC COM                 160903100       4839        174   X                              174          0          0
 CHARTER ONE FINL INC COM                 160903100     260775       9376               X                 9376          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108    5238527      60561   X                            60461          0        100
 CHASE MANHATTAN CORP (NEW) COM           16161A108    1169307      13518               X                 8777          0       4741
 CHELSEA ST BK CHELSEA MICH               16342N102     532000       1120   X                             1120          0          0
 CHEMICAL FINL CORP                       163731102     163238       4689   X                             4689          0          0
 CHEMICAL FINL CORP                       163731102      56084       1611               X                 1611          0          0
 CHEVRON CORP COM                         166751107    1541827      16219   X                            16219          0          0
 CHEVRON CORP COM                         166751107     708314       7451               X                 6690          0        761
 CHUBB CORP COM                           171232101     393162       5657   X                             5657          0          0
 CHUBB CORP COM                           171232101      62550        900               X                  900          0          0
 CHURCH & DWIGHT INC COM                  171340102     602475      13850   X                            12950          0        900
 CHURCH & DWIGHT INC COM                  171340102      67425       1550               X                 1450          0        100
 CILCORP INC COM                          171794100     308834       4941   X                             4941          0          0
 CILCORP INC COM                          171794100     353125       5650               X                 5449          0        201
                                                      --------     ------                               ------          -      -----
 SUBTOTALS FOR THIS PAGE                              43306213     866324                               805547          0      60777
</TABLE>
<PAGE>   206
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   224

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>          <C>       <C>
             COMMON STOCK
             ------------
 CINDERELLA INCORPORATED CLASS B          172398950     342240       4800   X                             4800          0          0
 CISCO SYS INC COM                        17275R102   17448264     270776   X                           264852          0       5924
 CISCO SYS INC COM                        17275R102    2688869      41728               X                37828        200       3700
 CINTAS CORP COM                          172908105    2462373      36649   X                            36149          0        500
 CINTAS CORP COM                          172908105     277151       4125               X                 3725          0        400
 CITIGROUP INC COM                        172967101    1642598      34581   X                            34581          0          0
 CITIGROUP INC COM                        172967101    2090950      44020               X                41728          0       2292
 CITIZENS BKG CORP MICH COM               174420109     386670      12862   X                            12862          0          0
 CITIZENS BKG CORP MICH COM               174420109      15032        500               X                    0          0        500
 CLEAR CHANNEL COMMUNICATIONS INC COM     184502102    2068140      30000   X                            30000          0          0
 CLIFFORD JACOBS FORGING COMPANY          187995105     421500        281   X                              281          0          0
 CLOROX CO COM                            189054109    3417802      31998   X                            31523          0        475
 CLOROX CO COM                            189054109     464637       4350               X                 3800          0        550
 COASTAL CORP COM                         190441105     613813      15250   X                            14850          0        400
 COASTAL CORP COM                         190441105     185150       4600               X                  600          0       4000
 COCA-COLA CO COM                         191216100   11168432     180136   X                           179836          0        300
 COCA-COLA CO COM                         191216100    4027768      64964               X                50799          0      14165
 COHEN FURNITURE COMPANY                  191995109     673320        186   X                               93          0         93
 COHEN FURNITURE COMPANY                  191995109      14480          4               X                    0          0          4
 COLGATE-PALMOLIVE CO COM                 194162103    1042426      10583   X                            10583          0          0
 COLGATE-PALMOLIVE CO COM                 194162103     591000       6000               X                 5700          0        300
 COMERICA INC COM                         200340107    6379481     107330   X                           107330          0          0
 COMERICA INC COM                         200340107     864169      14539               X                12739          0       1800
 COMMERCE BANCSHARES INC COM              200525103     176738       4391   X                             4391          0          0
 COMMERCE BANCSHARES INC COM              200525103    3949612      98127               X                97127          0       1000
 COMPAQ COMPUTER CORP COM                 204493100    2252160      95076   X                            91501          0       3575
 COMPAQ COMPUTER CORP COM                 204493100     414824      17512               X                13611          0       3901
 COMPARATOR SYSTEM CORPORATION COMMON     204494207        250     250000               X                    0          0     250000
 COMPUTER ASSOC INTL INC COM              204912109     246375       4500   X                             4500          0          0
 COMPUTER ASSOC INTL INC COM              204912109      67069       1225               X                  225          0       1000
 COMPUTER SCIENCES CORP COM               205363104     235239       3400   X                             3400          0          0
 COMPUTER SCIENCES CORP COM               205363104      55350        800               X                  500          0        300
 COMSAT CORP COM                          20564D982     261500       8000   X                             8000          0          0
 CONCORD EFS INC COM                      206197105     245415       5800   X                             5800          0          0
 CONCORD EFS INC COM                      206197105    1178925      27862               X                 4800          0      23062
 CONEXANT SYSTEMS INC                     207142100     249264       4293   X                             4293          0          0
 CONEXANT SYSTEMS INC                     207142100      41341        712               X                  712          0          0
 CONOCO INC COMMN                         208251306     390278      14001   X                            13901          0        100
 CONOCO INC COMMN                         208251306       5575        200               X                    0          0        200
 CONSECO INC COM                          208464107     230811       7583   X                             7583          0          0
 CONSECO INC COM                          208464107      38108       1252               X                 1052          0        200
 CONSOLIDATED EDISON INC                  209115104     234305       5178   X                             5178          0          0
 CONSOLIDATED EDISON INC                  209115104     790925      17479               X                 7979          0       9500
 CONSOLIDATED NAT GAS CO COM              209615103     944663      15550   X                            15550          0          0
                                                      --------    -------                              -------        ---     ------
 SUBTOTALS FOR THIS PAGE                              71294992    1503203                              1174762        200     328241
</TABLE>
<PAGE>   207
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   225

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 CONSOLIDATED NAT GAS CO COM              209615103     441896       7274               X                 5688          0       1586
 CONSTELLATION ENERGY CORP                210371100     225150       7600   X                             5500          0       2100
 CONSTELLATION ENERGY CORP                210371100      97911       3305               X                 1030        525       1750
 COOPER INDS INC COM                      216669101     270192       5196   X                             5196          0          0
 COOPER INDS INC COM                      216669101      36400        700               X                  700          0          0
 CORNING INC COM                          219350105    1205870      17196   X                            17196          0          0
 CORNING INC COM                          219350105     333795       4760               X                 4760          0          0
 COSTCO COMPANIES INC                     22160Q102     350276       4375   X                             4375          0          0
 COSTCO COMPANIES INC                     22160Q102      24019        300               X                  300          0          0
 DTE ENERGY INC COM                       233331107     820787      20142   X                            20142          0          0
 DTE ENERGY INC COM                       233331107     473160      11611               X                10168          0       1443
 DAKOTA MNG CORP                          23423G105         10      10000   X                            10000          0          0
 DAKOTA MNG CORP                          23423G105          0        419               X                  419          0          0
 DANAHER CORPORATION COM                  235851102    1057875      18200   X                            17500          0        700
 DANAHER CORPORATION COM                  235851102     261563       4500               X                 4200          0        300
 DARDEN RESTAURANTS INC COM               237194105     151797       6959   X                             6959          0          0
 DARDEN RESTAURANTS INC COM               237194105     270045      12380               X                 7500          0       4880
 DAYTON HUDSON CORP COM                   239753106    1028690      15826   X                            15826          0          0
 DAYTON HUDSON CORP COM                   239753106      94250       1450               X                 1450          0          0
 DEAN WITTER SELECT EQUITY TR             24241X262      23582      21245   X                            21245          0          0
 DEERE & CO COM                           244199105     358570       9150   X                             9150          0          0
 DEERE & CO COM                           244199105     355631       9075               X                 9075          0          0
 DELAWARE GROUP DECATUR EQUITY INC A      245907100     299902      15876   X                            15876          0          0
 DELL COMPUTER CORP COM                   247025109    2360859      63807   X                            62257          0       1550
 DELL COMPUTER CORP COM                   247025109     348725       9425               X                 8450          0        975
 DELPHI AUTOMOTIVE SYS CORP               247126105    1550078      83788   X                            81412          0       2376
 DELPHI AUTOMOTIVE SYS CORP               247126105     200781      10853               X                 8829          0       2024
 DISNEY WALT CO COM                       254687106    2383170      77343   X                            74343          0       3000
 DISNEY WALT CO COM                       254687106     786225      25516               X                13100          0      12416
 DODGE & COX STOCK FD COM                 256219106     774490       7149   X                             7149          0          0
 DODGE & COX STOCK FD COM                 256219106     170712       1576               X                 1576          0          0
 DOMINION RES INC VA                      257470104     183994       4248   X                             3048          0       1200
 DOMINION RES INC VA                      257470104     246234       5685               X                 3327          0       2358
 DOW CHEM CO COM                          260543103   88703144     699138   X                           699138          0          0
 DOW CHEM CO COM                          260543103    4981239      39261               X                36399          0       2862
 DREYFUS                                  261967103     144547      12365               X                 1665          0      10700
 DREYFUS MUN BD FD INC COM                26201Q104      44252       3669   X                             3669          0          0
 DREYFUS MUN BD FD INC COM                26201Q104     175855      14582               X                14582          0          0
 DREYFUS PREMIER STATE MUNICIPAL BOND     26202D813     405144      26795   X                            26795          0          0
 DREYFUS PREMIER STATE MUNICIPAL BOND     26202D813      42986       2843               X                 2843          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    3782832      55375   X                            55375          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    2251460      32958               X                21028          0      11930
 DUKE ENERGY CORP COM                     264399106     199787       3670   X                             3520          0        150
 DUKE ENERGY CORP COM                     264399106     184599       3391               X                 1791          0       1600
                                                     ---------    -------                              -------        ---      -----
 SUBTOTALS FOR THIS PAGE                             118102484    1390976                              1324551        525      65900
</TABLE>
<PAGE>   208
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   226

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 DUKE REALTY INVST CO NEW                 264411505     142147       6300   X                             6300          0          0
 DUKE REALTY INVST CO NEW                 264411505      80099       3550               X                 3550          0          0
 DUN & BRADSTREET CORP DEL                26483B106     142638       4025   X                             4025          0          0
 DUN & BRADSTREET CORP DEL                26483B106      58473       1650               X                 1650          0          0
 E M C CORP MASS COM                      268648102    2645830      48106   X                            48106          0          0
 E M C CORP MASS COM                      268648102     480425       8735               X                 8460          0        275
 EASTMAN KODAK CO COM                     277461109     805480      11889   X                            11564          0        325
 EASTMAN KODAK CO COM                     277461109     582176       8593               X                 7765          0        828
 EATON VANCE GROWTH FD INC                277902813     209646      12629   X                            12629          0          0
 EATON VANCE ADVISOR SENIOR FLT RATE      277921102     759586      76111   X                            71702          0       4409
 EATON CORP COM                           278058102    3235456      35168   X                            35168          0          0
 EATON CORP COM                           278058102      41400        450               X                  450          0          0
 EDISON INTL COM                          281020107     528259      19748   X                            19148          0        600
 EDISON INTL COM                          281020107     149316       5582               X                 4410          0       1172
 ELAN PLC ADR                             284131208     146409       5276   X                             5276          0          0
 ELAN PLC ADR                             284131208      55500       2000               X                 2000          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     369195       6520   X                             5648          0        872
 ELECTRONIC DATA SYS CORP NEW COM         285661104     183692       3244               X                 2312          0        932
 EMERSON ELEC CO COM                      291011104    3303930      52495   X                            51795          0        700
 EMERSON ELEC CO COM                      291011104     572736       9100               X                 8500          0        600
 ENESCO GROUP INC                         292973104     314500      13600   X                            13600          0          0
 ENRON CORP COM                           293561106    1786565      21854   X                            21789          0         65
 ENRON CORP COM                           293561106     252608       3090               X                 2490          0        600
 EQUITY INCOME FD UNIT                    294700703     111226        537   X                              537          0          0
 EQUITY INCOME FD UNIT                    294700703     118061        570               X                    0          0        570
 EQUITY INCOME FD                         294701222      39795      15074   X                            15074          0          0
 EQUITY INVESTMENT FUND                   294710173      32139      31509               X                    0          0      31509
 EQUITY INV FD                            294710512      46142      51269   X                            51269          0          0
 AMERICAN FUNDS                           298706102     110818       3421   X                             3421          0          0
 AMERICAN FUNDS                           298706102      93878       2898               X                 2400          0        498
 EVERGREEN MUN TR                         300258746     242307      33238   X                            33238          0          0
 EVERGREEN MUN TR                         300258746      45971       6306               X                 6306          0          0
 EXXON CORP COM                           302290101   20857762     270441   X                           265463          0       4978
 EXXON CORP COM                           302290101   19762741     256243               X               139744          0     116499
 FPL GROUP INC COM                        302571104     809816      14825   X                            14825          0          0
 FPL GROUP INC COM                        302571104     467044       8550               X                 8150          0        400
 FREDDIE MAC COM                          313400301    1715350      29575   X                            27375          0       2200
 FREDDIE MAC COM                          313400301     400200       6900               X                 6700          0        200
 FANNIE MAE COM                           313586109    6185429      90629   X                            89904          0        725
 FANNIE MAE COM                           313586109    1466761      21491               X                19841          0       1650
 FEDERATED SHORT TERM MUNI                313907107     211118      20698               X                20698          0          0
 FEDERATED FD U S GOVT SECS INC CL A      314182106     132945      17447   X                            17447          0          0
 FEDERATED                                314184102     219550      19977   X                            19977          0          0
 FEDERATED                                314184102     139290      12674               X                12674          0          0
                                                      --------    -------                              -------          -     ------
 SUBTOTALS FOR THIS PAGE                              70054409    1273987                              1103380          0     170607
</TABLE>
<PAGE>   209
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   227

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>     <C>          <C>       <C>
             COMMON STOCK
             ------------
 FEDERATED INCOME TRUST                   314199100     238904      23724               X                23724          0          0
 FIDELITY ADVISOR SER I                   315805200    8669374     134785   X                           134785          0          0
 FIDELITY ADVISOR SER II                  315807206   11792125     220290   X                           220290          0          0
 FIDELITY ADVISOR SER II                  315807305    1349653     115355   X                           115355          0          0
 FIDELITY ADVISOR SER II                  315807404     335575      17360   X                            17360          0          0
 FIDELITY ADVISORS SER III                315808204    1688836      55517   X                            55517          0          0
 FIDELITY ADVISOR SER VII                 315918300     243317       8653   X                             8653          0          0
 FIDELITY ADVISOR SER VIII                315920504     272056      25984   X                            25984          0          0
 FIDELITY SPARTAN MUNICIPAL INCOME        316089507     311693      25218   X                            25218          0          0
 FIDELITY SPARTAN MUNICIPAL INCOME        316089507     564917      45705               X                21191          0      24514
 FIDELITY EQUITY INCOME FD INC            316138106     123504       2004   X                             2004          0          0
 FIDELITY EQUITY INCOME FD INC            316138106     993493      16120               X                16120          0          0
 FIDELITY FINL TR                         316145101     111438       3482   X                             3482          0          0
 FIDELITY FINL TR                         316145101     181844       5683               X                    0          0       5683
 FIDELITY FUND                            316153105     452664      11207               X                 1796          0       9411
 FIDELITY MAGELLAN FUND INC               316184100     447861       3451   X                             3451          0          0
 FIDELITY MAGELLAN FUND INC               316184100     285204       2198               X                  377          0       1821
 FIDELITY                                 316345107      49978       2418   X                             2418          0          0
 FIDELITY                                 316345107     201738       9760               X                 8350          0       1410
 FIDELITY SCH STR TR                      31638R204     958321      99308               X                77682          0      21626
 FIDELITY                                 316389204     241983       4965   X                             4965          0          0
 FIDELITY SECS FD                         316389303     266557       4878   X                             4878          0          0
 FIDELITY SECS FD                         316389303     144154       2638               X                    0          0       2638
 FIDELITY SECS FD                         316389402     348338      10831   X                            10319          0        512
 FIDELITY SECS FD                         316389402     196292       6104               X                 2521          0       3583
 FIDELITY SELECT PORTFOLIOS UTILITY       316390509     253505       3750   X                             3750          0          0
 FIDELITY SPARTAN MICHIGAN                316412204     300708      26659   X                            26659          0          0
 FIDELITY SPARTAN MUNICIPAL MONEY         316448406      65996      65996               X                    0          0      65996
 FIFTH THIRD BANCORP                      316773100     336875       5061   X                             5061          0          0
 FIFTH THIRD BANCORP                      316773100     199689       3000               X                 3000          0          0
 FIRST AMER BK CORP                       318906104     945878      10935   X                            10935          0          0
 FIRST DATA CORP COM                      319963104     604384      12350   X                            12350          0          0
 FIRST DATA CORP COM                      319963104     616619      12600               X                12400          0        200
 FIRST INVESTORS INSURED TAX EXEMPT       32060M101     128897      12787   X                            12787          0          0
 FIRST INVESTORS INSURED TAX EXEMPT       32060M101      32998       3274               X                 3274          0          0
 FIRST UNION CORP COM                     337358105    1566906      33250   X                            33050          0        200
 FIRST UNION CORP COM                     337358105     820776      17417               X                13604          0       3813
 FIRSTAR CORP NEW WIS                     33763V109     761404      27193   X                            27193          0          0
 FIRSTAR CORP NEW WIS                     33763V109      72800       2600               X                 2000          0        600
 FLEET FINL GROUP INC NEW COM             338915101    5353533     120643   X                           120043          0        600
 FLEET FINL GROUP INC NEW COM             338915101     449031      10119               X                10019          0        100
 FLORIDA PROGRESS CORP COM                341109106     123815       2997   X                             2997          0          0
 FLORIDA PROGRESS CORP COM                341109106     105348       2550               X                 1750          0        800
 FLOWSERVE CORP                           34354P105   12151416     641642   X                           168679          0     472963
                                                      --------    -------                              -------          -     ------
 SUBTOTALS FOR THIS PAGE                              55360397    1872461                              1255991          0     616470
</TABLE>
<PAGE>   210
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   228

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>   <C>             <C>    <C>
             COMMON STOCK
             ------------
 FLOWSERVE CORP                           34354P105    1853083      97850               X                    0          0      97850
 FORD MOTOR CO DEL COM                    345370100    2963465      52508   X                            52308          0        200
 FORD MOTOR CO DEL COM                    345370100    1787599      31674               X                24900          0       6774
 FORTUNE BRANDS INC                       349631101     639658      15460   X                            15460          0          0
 FORTUNE BRANDS INC                       349631101     297486       7190               X                 3190          0       4000
 FOUNDERS FUNDS INCORPORATED BLUE         350553103      95767      12684   X                            12684          0          0
 FRANKLIN                                 352423107    2740338      82194   X                            82194          0          0
 FRANKLIN CUSTODIAN FDS INC               353496300     229936      98685   X                            98685          0          0
 FRANKLIN CUSTODIAN FDS INC               353496300      45229      19412               X                19412          0          0
 FRANKLIN CUSTODIAN FDS INC               353496607     345955      51867   X                            51867          0          0
 FRANKLIN CUSTODIAN FDS INC               353496607      74526      11173               X                    0          0      11173
 FRANKLIN FED TAX FREE INCOME FD          353519101     464937      38777   X                            38777          0          0
 FRANKLIN FED TAX FREE INCOME FD          353519101     257837      21504               X                 4655          0      16850
 FRANKLIN                                 353538101      71087      26624   X                            26624          0          0
 FRANKLIN                                 353538101      44824      16788               X                    0          0      16788
 FRANKLIN                                 353612302     378436      40692   X                            40692          0          0
 FRANKLIN RES INC COM                     354613101     587153      14453   X                            14453          0          0
 FRANKLIN RES INC COM                     354613101      50781       1250               X                  750          0        500
 FRANKLIN TAX FREE TR                     354723108     382416      32217   X                            28925          0       3292
 FRANKLIN TAX FREE TR                     354723108      68843       5800               X                 2513          0       3287
 FRANKLIN TAX FREE TR                     354723306    1724151     144644   X                           144644          0          0
 FRANKLIN TAX FREE TR                     354723306     191545      16069               X                 7030          0       9040
 FRANKLIN TAX FREE TR                     354723645     283551      23629   X                            23629          0          0
 FRANKLIN TAX FREE TR                     354723702      66266       5927   X                             5927          0          0
 FRANKLIN TAX FREE TR                     354723702     241970      21643               X                21643          0          0
 GE GOVERNMENT SECURITIES FUND            36158B455      86004      10349               X                10349          0          0
 GPU INC COM                              36225X100      63282       1500   X                             1500          0          0
 GPU INC COM                              36225X100     213851       5069               X                 4900          0        169
 GTE CORP COM                             362320103    8194242     108533   X                           107233          0       1300
 GTE CORP COM                             362320103    4055030      53709               X                41991          0      11718
 GABELLI                                  362395105    2567971      62058   X                            62058          0          0
 GABELLI                                  362395105      57737       1395               X                  448          0        947
 GABELLI                                  362398109    1439498      34787   X                            34787          0          0
 GABELLI                                  362398109      64825       1567               X                 1567          0          0
 GABELLI VALUE FUND INC COM               36240H106    3159533     161365   X                           161365          0          0
 GALLAHER GROUP PLC                       363595109     363662      14881   X                            14881          0          0
 GALLAHER GROUP PLC                       363595109     114370       4680               X                 4680          0          0
 GANNETT CO INC COM                       364730101    7910634     110832   X                           110632          0        200
 GANNETT CO INC COM                       364730101       5353         75               X                    0          0         75
 GAP INC COM                              364760108     397560       7892   X                             7892          0          0
 GAP INC COM                              364760108      22669        450               X                  300          0        150
 GENERAL ELEC CO COM                      369604103   41373707     366139   X                           358489          0       7650
 GENERAL ELEC CO COM                      369604103   16393662     145077               X                89564          0      55513
 GENERAL MILLS INC COM                    370334104    1076190      13390   X                            13390          0          0
                                                     ---------    -------                              -------          -     ------
 SUBTOTALS FOR THIS PAGE                             103446619    1994462                              1746988          0     247476
</TABLE>
<PAGE>   211
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   229

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>   <C>             <C>       <C>
             COMMON STOCK
             ------------
 GENERAL MILLS INC COM                    370334104     734145       9134               X                 7634          0       1500
 GENERAL MTRS CORP COM                    370442105    6901950     104575   X                           100751          0       3824
 GENERAL MTRS CORP COM                    370442105     799590      12115               X                11080          0       1035
 GENUINE PARTS CO COM                     372460105     217140       6204   X                             6204          0          0
 GENUINE PARTS CO COM                     372460105     378420      10812               X                10812          0          0
 GEORGIA PACIFIC CORP COM                 373298108     387243       8174   X                             8174          0          0
 GEORGIA PACIFIC CORP COM                 373298108     457169       9650               X                 8400          0       1250
 GILLETTE CO COM                          375766102    4650384     113424   X                           110945          0       2479
 GILLETTE CO COM                          375766102     975513      23793               X                18133          0       5660
 GLAXO WELLCOME PLC                       37733W105    1220269      21550   X                            21550          0          0
 GLAXO WELLCOME PLC                       37733W105     118913       2100               X                 2000          0        100
 ILA - PRIME OBLIGATIONS PORTFOLIO        38142B831    1800000    1800000   X                          1800000          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101     210903       3586   X                             3586          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101      29407        500               X                  400          0        100
 GOVERNMENT SECURITIES INCOME FUND        383743234       1553      18267   X                            18267          0          0
 GOVERNMENT SECS INCOME FD                383743267       1675      18823   X                            18823          0          0
 GOVERNMENT SECS INCOME FD                383743580       1334      29654               X                29654          0          0
 GOVERNMENT SECURITIES INCOME FUND        383744612      12324      21659   X                            21659          0          0
 GUIDANT CORP COM                         401698105    1703229      33315   X                            33215          0        100
 GUIDANT CORP COM                         401698105     148263       2900               X                 2700          0        200
 HALLIBURTON CO COM                       406216101    1764750      39000   X                            39000          0          0
 HALLIBURTON CO COM                       406216101     520828      11510               X                11210          0        300
 HARBOR BOND FUND                         411511108     305195      28025   X                            28025          0          0
 HARBOR BOND FUND                         411511108     258515      23739               X                23739          0          0
 HARBOR FD CAPITAL APPRECIATION           411511504     417089       9341   X                             9341          0          0
 HARBOR FD CAPITAL APPRECIATION           411511504      98918       2215               X                 2215          0          0
 HARLEY DAVIDSON INC COM                  412822108    2718261      49991   X                            49341          0        650
 HARLEY DAVIDSON INC COM                  412822108     274594       5050               X                 4150          0        900
 HARRIS CORP COM                          413875105     227290       5800   X                             5800          0          0
 HARTFORD FINL SVCS GROUP INC COM         416515104     233135       3998   X                             3998          0          0
 HARTFORD FINL SVCS GROUP INC COM         416515104     143217       2456               X                 2056          0        400
 HASBRO INC COM                           418056107     519200      18584   X                            18584          0          0
 HASBRO INC COM                           418056107      62861       2250               X                 2250          0          0
 HEALTHSOUTH CORP COM                     421924101     355736      23915   X                            23315          0        600
 HEALTHSOUTH CORP COM                     421924101     105613       7100               X                 7100          0          0
 HEINZ H J CO COM                         423074103    1395731      27845   X                            26345          0       1500
 HEINZ H J CO COM                         423074103    1572923      31380               X                23030          0       8350
 HENRY STATE BANK HENRY ILLINOIS          425995107      18400          8   X                                8          0          0
 HENRY STATE BANK HENRY ILLINOIS          425995107     361100        157               X                    0          0        157
 HERSHEY FOODS CORP                       427866108     120541       2030   X                             2030          0          0
 HERSHEY FOODS CORP                       427866108     219688       3700               X                 3000          0        700
 HEWLETT PACKARD CO COM                   428236103    6571695      65390   X                            65140          0        250
 HEWLETT PACKARD CO COM                   428236103    1334138      13275               X                10925          0       2350
 HOME DEPOT INC COM                       437076102    6836292     106091   X                           100494          0       5597
                                                      --------    -------                              -------          -      -----
 SUBTOTALS FOR THIS PAGE                              47185134    2733085                              2695083          0      38002
</TABLE>
<PAGE>   212
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   230

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 HOME DEPOT INC COM                       437076102    1905625      29573               X                27872        100       1601
 HON INDUSTRIES INC COM                   438092108     891985      30560   X                            30560          0          0
 HON INDUSTRIES INC COM                   438092108       8756        300               X                    0          0        300
 HONEYWELL INC COM                        438506107     785864       6782   X                             6782          0          0
 HOTCHKIS AND WILEY                       441346608     100959      10188   X                            10188          0          0
 HOUSEHOLD INTL CORP COM                  441815107    1531539      32328   X                            32328          0          0
 HOUSEHOLD INTL CORP COM                  441815107     477919      10088               X                10088          0          0
 HUMPHREY PRODUCTS                        445485998    6689566      34876   X                            34876          0          0
 HUNTINGTON BANCSHARES INC COM            446150104    1342600      38360   X                            38360          0          0
 HUNTINGTON BANCSHARES INC COM            446150104     260575       7445               X                 7445          0          0
 HUTTON TEL TR                            447900101      74466      12600               X                12600          0          0
 HUTTON E F INVESTMENT TRUST GNMA         448903799       9860      46950   X                            46950          0          0
 ICAP FDS INC                             448926204     508725      11338   X                            11338          0          0
 ICNB FINANCIAL CORPORATION               449286103     953355      29334               X                29334          0          0
 IDS BOND FUND, INC                       449427103     119706      24380               X                 5324          0      19056
 IDS HIGH YIELD TAX EXEMPT FD INC         449440106     224416      49760   X                            49760          0          0
 IDS NEW DIMENSIONS FUND                  449444108     249808       7722   X                             7722          0          0
 IDS-SELECTIVE FUND INCORPORATED          449478106     180262      20277   X                            20277          0          0
 IDS-SELECTIVE FUND INCORPORATED          449478106      15305       1722               X                 1722          0          0
 IDS STK FD INC CL A                      449479104     294192      10462   X                            10462          0          0
 IDS STK FD INC CL A                      449479104      24789        882               X                  882          0          0
 IMS HEALTH INC                           449934108     453125      14500   X                            12300          0       2200
 IMS HEALTH INC                           449934108      69625       2228               X                 1928          0        300
 ILLINOIS TOOL WORKS INC COM              452308109   44656019     546251   X                           546126          0        125
 ILLINOIS TOOL WORKS INC COM              452308109    2107106      25775               X                23575          0       2200
 INCOME FD AMER INC COM                   453320103     366761      20756   X                            20756          0          0
 INCOME FD AMER INC COM                   453320103     190848      10801               X                 6501          0       4299
 T.ROWE PRICE INSTITUTIONAL               457759108    4882034     260236   X                           258662          0       1575
 T.ROWE PRICE INSTITUTIONAL               457759108     385925      20572               X                19221          0       1351
 INTEL CORP COM                           458140100    9656553     162295   X                           156520          0       5775
 INTEL CORP COM                           458140100    2744854      46132               X                36730        100       9302
 AMERICAN                                 458809100     483089      36737   X                            36737          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101   63616721     492199   X                           490949          0       1250
 INTERNATIONAL BUSINESS MACHS CORP        459200101    7146750      55294               X                51612          0       3682
 INTERNATIONAL FLAVORS &                  459506101     149600       3400   X                             3400          0          0
 INTERNATIONAL FLAVORS &                  459506101     305800       6950               X                 6400          0        550
 INTERNATIONAL PAPER CO COM               460146103    1522123      30291   X                            30291          0          0
 INTERNATIONAL PAPER CO COM               460146103     626015      12458               X                 6012          0       6446
 INTERNATIONAL RESEARCH AND               460263106          1      41200   X                            41200          0          0
 INVESCO MULTIPLE ASSET FDS               460922206    2540595     145011   X                           145011          0          0
 INVESCO STRATEGIC PORTFOLIOS             46127P303     269993       4661   X                             4661          0          0
 INVESTMENT CO OF AMERICA COM             461308108    2253601      65683   X                            65683          0          0
 INVESTMENT CO OF AMERICA COM             461308108      84800       2472               X                 2472          0          0
 INVESTORS TRUST                          461809873      87008      10200               X                10200          0          0
                                                     ---------    -------                              -------        ---      -----
 SUBTOTALS FOR THIS PAGE                             161249218    2432029                              2371817        200      60012
</TABLE>
<PAGE>   213
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   231

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>   <C>             <C>       <C>
             COMMON STOCK
             ------------
 JANUS FUND INCORPORATED                  471023101    9203862     228952   X                           228952          0          0
 JANUS FUND INCORPORATED                  471023101     108560       2700               X                  420          0       2280
 JANUS INVT FD                            471023200     386418      11345   X                            11127          0        218
 JANUS INVT FD WORLDWIDE FD               471023309   20954243     392181   X                           392007          0        175
 JANUS INVT FD WORLDWIDE FD               471023309     223190       4177               X                 3759          0        418
 JANUS                                    471023408    4126026      65712   X                            65364          0        347
 JANUS                                    471023408     120563       1920               X                 1920          0          0
 JANUS INVT FUND                          471023853     558939      17434   X                            17434          0          0
 JOHNSON & JOHNSON COM                    478160104   11502162     117369   X                           116909          0        460
 JOHNSON & JOHNSON COM                    478160104    2771930      28285               X                23680          0       4605
 JOHNSON CTLS INC COM                     478366107    1827091      26360   X                            26360          0          0
 JOHNSON CTLS INC COM                     478366107     517075       7460               X                 7460          0          0
 K MART CORP COM                          482584109     193545      11730   X                            11730          0          0
 K MART CORP COM                          482584109      18150       1100               X                  300          0        800
 KAYDON CORP COM                          486587108      67250       2000   X                             2000          0          0
 KAYDON CORP COM                          486587108     181575       5400               X                    0          0       5400
 KELLOGG CO COM                           487836108    1607067      48699   X                            48699          0          0
 KELLOGG CO COM                           487836108     361680      10960               X                10760          0        200
 KEMPER                                   487902843       8936       1312   X                             1312          0          0
 KEMPER                                   487902843     137076      20129               X                20129          0          0
 KEMPER                                   488412107     361432      44185   X                            44185          0          0
 KEMPER                                   488412107       5818        711               X                  711          0          0
 KEMPER MUNI BD FD SH BEN INT             488419201     215409      21981   X                            21981          0          0
 KEMPER MUNI BD FD SH BEN INT             488419201     109600      11184               X                11184          0          0
 KEMPER MUN INCOME TR                     48842C104     195777      15900   X                            15900          0          0
 KEMPER MUN INCOME TR                     48842C104      82497       6700               X                 3500          0       3200
 KEMPER                                   488436106     244609      21476               X                21476          0          0
 KEYCORP NEW COM                          493267108    1074710      33454   X                            33454          0          0
 KIMBERLY-CLARK CORP COM                  494368103    1138632      19976   X                            18976          0       1000
 KIMBERLY-CLARK CORP COM                  494368103    1011123      17739               X                 3539          0      14200
 KOHLS CORP COM                           500255104     197953       2575   X                             2575          0          0
 KOHLS CORP COM                           500255104      30750        400               X                  400          0          0
 KROGER CO COM                            501044101      75433       2700   X                             1900          0        800
 KROGER CO COM                            501044101     198695       7112               X                 6312          0        800
 LG & E ENERGY CORP COM                   501917108     322455      15355   X                            15355          0          0
 LG & E ENERGY CORP COM                   501917108      27657       1317               X                 1317          0          0
 LA-Z-BOY INC COM                         505336107    2124556      92372   X                            92372          0          0
 LA-Z-BOY INC COM                         505336107      13800        600               X                  600          0          0
 LEGG MASON VALUE TR FD                   524659109     283146       4039   X                             3789          0        250
 LILLY ELI & CO COM                       532457108    5018621      70068   X                            69218          0        850
 LILLY ELI & CO COM                       532457108     314219       4387               X                 3512          0        875
 THORNBURG LIMITED TERM MUNICIPAL         532723806     331019      24964               X                24964          0          0
 LINCOLN NATL CORP IND COM                534187109     439499       8401   X                             8401          0          0
 LINCOLN NATL CORP IND COM                534187109     821349      15701               X                15700          0          1
                                                      --------    -------                              -------          -      -----
 SUBTOTALS FOR THIS PAGE                              69514097    1448522                              1411643          0      36879
</TABLE>
<PAGE>   214
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   232

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>   <C>             <C>       <C>
             COMMON STOCK
             ------------
 LINEAR TECHNOLOGY CORP COM               535678106     484200       7200   X                             7200          0          0
 LIZ CLAIBORNE INC COM                    539320101     290175       7950   X                             7950          0          0
 LOCKHEED MARTIN CORP COM                 539830109     110707       2972   X                             2972          0          0
 LOCKHEED MARTIN CORP COM                 539830109     223649       6004               X                 5204          0        800
 LORD ABBETT TAX-FREE INCOME              543912307     151746      30532   X                            30532          0          0
 LORD ABBETT                              544004104     241455      26188   X                            26188          0          0
 LORD ABBETT BD DEB FD INC                544004203     371885      40335   X                            31410          0       8925
 LORD ABBETT DEV GROWTH FD IN             544006109    1156758      67253   X                            67253          0          0
 LOWES COS INC COM                        548661107    1043059      18400   X                            18200          0        200
 LOWES COS INC COM                        548661107      87866       1550               X                  400          0       1150
 LUCENT TECHNOLOGIES INC COM              549463107   16546453     245358   X                           240108          0       5250
 LUCENT TECHNOLOGIES INC COM              549463107    5219524      77397               X                60610        330      16457
 MBIA INC                                 55262C100     346413       5350   X                             5350          0          0
 MBNA CORP COM                            55262L100    1275225      41640   X                            39776          0       1864
 MBNA CORP COM                            55262L100    1229900      40160               X                39655          0        505
 MCN ENERGY GROUP INC COM                 55267J100     824916      39755   X                            39230          0        525
 MCN ENERGY GROUP INC COM                 55267J100      67313       3244               X                  944          0       2300
 MCI WORLDCOM INC                         55268B106    6691484      77751   X                            76101          0       1650
 MCI WORLDCOM INC                         55268B106    1939774      22539               X                17939        100       4500
 MDU RES GROUP INC                        552690109     136216       5971   X                             5971          0          0
 MDU RES GROUP INC                        552690109    1812128      79434               X                79434          0          0
 MFS GROWTH OPPORTUNITY                   552723108     185388      11002               X                11002          0          0
 MFS RESEARCH FUND                        552981706    1364529      49475   X                            49475          0          0
 MFS HIGH INCOME FUND A                   552984106      53419      10373   X                            10373          0          0
 MFS SER TR II                            552985202     565661      11601               X                11601          0          0
 MFS SER TR IV                            552987505     298722      28396   X                            28396          0          0
 MFS SER TR VII                           552988305    2584040     131170   X                           131170          0          0
 MFS SER TR VII                           552988883   10552398     534840   X                           533751          0       1089
 MFS SER TR VII                           552988883    1346910      68267               X                63996          0       4271
 MANITOWOC INC                            563571108     224775       5400   X                             5400          0          0
 MANITOWOC INC                            563571108     380869       9150               X                 9150          0          0
 MARSH & MCLENNAN COS INC                 571748102     357626       4725   X                             4125          0        600
 MARSH & MCLENNAN COS INC                 571748102     130562       1725               X                 1575          0        150
 MASCO CORP                               574599106     487988      16900   X                            16150          0        750
 MASCO CORP                               574599106     122892       4256               X                 2700          0       1556
 MASSACHUSETTS INVESTORS GROWTH STK       575719109   12807043     717884   X                           717884          0          0
 MASSACHUSETTS INVS TR                    575736400     756076      35547   X                            35547          0          0
 MASSACHUSETTS INVS TR                    575736400       1514         71               X                   71          0          0
 MAXIM INTEGRATED PRODS INC               57772K101     786695      11830   X                            11730          0        100
 MAY DEPT STORES CO                       577778103     524222      12825   X                            12225          0        600
 MAY DEPT STORES CO                       577778103      93808       2295               X                 2295          0          0
 MAYTAG CORP                              578592107     166155       2380   X                             2380          0          0
 MAYTAG CORP                              578592107      83776       1200               X                  500          0        700
 MCDONALDS CORP                           580135101    2970832      72239   X                            71839          0        400
                                                      --------    -------                              -------        ---      -----
 SUBTOTALS FOR THIS PAGE                              77096746    2590534                              2535762        430      54342
</TABLE>
<PAGE>   215
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   233

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>     <C>          <C>       <C>
             COMMON STOCK
             ------------
 MCDONALDS CORP                           580135101     446564      10859               X                 6895          0       3964
 MCLOUTH STEEL PRODUCTS CORPORATION       580200004          5    5083758               X              5083758          0          0
 MCLOUTH STEEL PRODUCTS CORPORATION       580201002          1     814220               X               814220          0          0
 MEAD CORP                                582834107     747325      17900   X                            17900          0          0
 MEAD CORP                                582834107      33901        812               X                  812          0          0
 MEDIAONE GROUP INC                       58440J104    2154793      28972   X                            28972          0          0
 MEDIAONE GROUP INC                       58440J104     876658      11787               X                 9699          0       2088
 MEDTRONIC INC                            585055106    5123318      65789   X                            64389          0       1400
 MEDTRONIC INC                            585055106     423640       5440               X                 4380          0       1060
 MELLON BK CORP                           585509102     181875       5000   X                             5000          0          0
 MELLON BK CORP                           585509102     127313       3500               X                 3500          0          0
 MERCANTILE BANCORPORATION INC            587342106     237526       4158   X                             4158          0          0
 MERCANTILE BANCORPORATION INC            587342106     216047       3782               X                 3782          0          0
 MERCK & CO INC                           589331107   19840539     269481   X                           268131          0       1350
 MERCK & CO INC                           589331107    5127924      69649               X                58572          0      11077
 MERRILL LYNCH                            59019M502     104939      11023   X                            11023          0          0
 MERRILL LYNCH                            59019M502      26151       2747               X                 2747          0          0
 MERRILL LYNCH MUN BD FD INC              590193108      22801       2927   X                             2927          0          0
 MERRILL LYNCH MUN BD FD INC              590193108     391852      50302               X                50302          0          0
 MERRILL LYNCH                            590193405     159192      20462               X                20462          0          0
 MESA OFFSHORE TRUST                      590650107        564      12000               X                    0          0      12000
 MICROSOFT CORP                           594918104   17041293     188953   X                           185853          0       3100
 MICROSOFT CORP                           594918104    6793682      75328               X                59386        200      15742
 METROCORP INCORPORATED                   595990904     280776       1709   X                             1709          0          0
 MILLER HERMAN INC                        600544100     243600      11600   X                             9000          0       2600
 MILLER HERMAN INC                        600544100       6300        300               X                  300          0          0
 MINNESOTA MNG & MFG CO                   604059105    3622620      41669   X                            41169          0        500
 MINNESOTA MNG & MFG CO                   604059105    2818721      32422               X                25895          0       6527
 MINNESOTA PWR & LT CO                    604110106     330124      16610   X                            16610          0          0
 MINNESOTA PWR & LT CO                    604110106      85463       4300               X                 4300          0          0
 MOBIL CORP                               607059102    5756039      58289   X                            57709          0        580
 MOBIL CORP                               607059102    2249031      22775               X                11992          0      10783
 MONSANTO CO                              611662107    1913741      48372   X                            48372          0          0
 MONSANTO CO                              611662107     807995      20423               X                17820          0       2603
 MORGAN J P & CO INC                      616880100    1731382      12323   X                            11923          0        400
 MORGAN J P & CO INC                      616880100     296174       2108               X                 1900          0        208
 MSDW DIVERSIFIED INCOME TR               616961207      98356      11531               X                11531          0          0
 MORGAN STANLEY DEAN WITTER DISCOVER      617446448     757578       7382   X                             7382          0          0
 MORGAN STANLEY DEAN WITTER DISCOVER      617446448     271751       2648               X                 2326          0        322
 MORGAN STANLEY DEAN WITTER               61745P734     160875      11000   X                            11000          0          0
 MORGAN STANLEY DEAN WITTER               61745P734     106763       7300               X                    0          0       7300
 MOTOROLA INC                             620076109    4116982      43451   X                            42851          0        600
 MOTOROLA INC                             620076109    1020647      10772               X                 8802          0       1970
 MUNICIPAL INVT TR FD                     62624V396      36605      39788   X                            39788          0          0
                                                      --------    -------                              -------        ---      -----
 SUBTOTALS FOR THIS PAGE                              86789426    7165621                              7079247        200      86174
</TABLE>
<PAGE>   216
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   234

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>     <C>          <C>       <C>
             COMMON STOCK
             ------------
 MUNIYIELD MICHIGAN FUND INC COM          626300107     629689      42871   X                            42871          0          0
 MUNIYIELD MICHIGAN FUND INC COM          626300107     591809      40292               X                35115          0       5177
 NATIONAL CITY CORP                       635405103   91426014    1395817   X                          1026065          0     369752
 NATIONAL CITY CORP                       635405103   96160354    1468097               X              1051803          0     416294
 NATIONAL CANTON BANCSHARES               637995101    1423800      40680   X                            40680          0          0
 NATIONWIDE FINL SVCS INC                 638612101     230775       5100   X                             5100          0          0
 NATIONWIDE FINL SVCS INC                 638612101      61088       1350               X                 1350          0          0
 NETWORKS ASSOCS INC                      640938106      83163       5662   X                             5662          0          0
 NETWORKS ASSOCS INC                      640938106      66096       4500               X                 4500          0          0
 NEW ENGLAND FDS                          644036204     135268      11329               X                11329          0          0
 NEWELL RUBBERMAID INC                    651229106     314979       6792   X                             6792          0          0
 NEWELL RUBBERMAID INC                    651229106     122801       2648               X                 2648          0          0
 NOKIA CORP                               654902204     242642       2650   X                             2650          0          0
 NOKIA CORP                               654902204       4578         50               X                    0          0         50
 NORFOLK SOUTHN CORP                      655844108    1535291      50964   X                            50964          0          0
 NORFOLK SOUTHN CORP                      655844108     441753      14664               X                12864          0       1800
 NORTHEAST INVESTORS TRUST                664210101     123660      11766   X                             9431          0       2334
 NORTHEAST INVESTORS TRUST                664210101     158334      15065               X                15065          0          0
 NORTHERN STS PWR CO MINN                 665772109     539102      22288   X                            22288          0          0
 NORTHERN STS PWR CO MINN                 665772109     159955       6613               X                 6613          0          0
 NORTHERN TR CORP                         665859104    1299800      13400   X                            13400          0          0
 NORTHERN TR CORP                         665859104    2977900      30700               X                29200          0       1500
 NUVEEN FLAGSHIP MUN TR                   67065Q400     106658      11444   X                            11444          0          0
 NUVEEN FLAGSHIP MUN TR                   67065Q400     137471      14750               X                14750          0          0
 OGE ENERGY CORP                          670837103     174230       7336   X                             7336          0          0
 OGE ENERGY CORP                          670837103      37810       1592               X                 1592          0          0
 NUVEEN TAX EXEMPT UNIT TRUST INSURED     67095D155     200366       1985   X                             1985          0          0
 NUVEEN MICH QUALITY INCOME MUN FD        670979103     231035      14109   X                            14109          0          0
 OFFICE DEPOT INC                         676220106     521503      23637   X                            23037          0        600
 OFFICE DEPOT INC                         676220106     101490       4600               X                 4500          0        100
 OHIO CAS CORP                            677240103     335385       9284   X                             9284          0          0
 OLD KENT FINL CORP                       679833103    4768784     113881   X                           112869          0       1012
 OLD KENT FINL CORP                       679833103     319548       7631               X                 6380          0       1251
 OLD REP INTL CORP                        680223104    5711230     329881   X                           329881          0          0
 OMNICOM GROUP INC                        681919106     248800       3110   X                             3110          0          0
 OPPENHEIMER MAIN STREET FUNDS,INC.       68380D108     175129       3992   X                             3992          0          0
 OPPENHEIMER MAIN STREET FUNDS,INC.       68380D108      70957       1617               X                 1617          0          0
 ORACLE CORP                              68389X105    1445388      38933   X                            38933          0          0
 ORACLE CORP                              68389X105     747586      20137               X                17287          0       2850
 OPPENHEIMER                              683977102     192639      19187   X                            19187          0          0
 PIMCO FDS PAC INVT MGMT SER              693390700     676326      66765   X                            66765          0          0
 PIMCO FDS                                693390726    3633933     358730   X                           358730          0          0
 PPG INDS INC                             693506107     448879       7600   X                             7600          0          0
 PPG INDS INC                             693506107      57586        975               X                  975          0          0
                                                     ---------    -------                              -------          -     ------
 SUBTOTALS FOR THIS PAGE                             219071584    4254474                              3451753          0     802720
</TABLE>
<PAGE>   217
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   235

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4      ITEM 5         ITEM 6        ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET      SH/PV      INVEST  AUTH      MNGR       VOTING AUTH(SHARES)
                                                                            SOLE  SHRD-  SHRD-          SOLE       SHARED    NONE
 A. COMMON STOCK                                                                  INSTR  OTHER
<S>                                    <C>           <C>         <C>        <C>   <C>    <C>    <C>   <C>          <C>      <C>
             COMMON STOCK
             ------------
 PARKSTONE GROUP FDS                      701475105   151876293   15771162   X                         15378163        0     392999
 PARKSTONE GROUP FDS                      701475105    11704250    1215395               X               865448        0     349947
 PARKSTONE EQUITY INCOME FUND             701475204   147987273    8051538   X                          7941784        0     109754
 PARKSTONE EQUITY INCOME FUND             701475204    26936152    1465514               X              1197024        0     268490
 PARKSTONE AGGRESSIVE ALLOCATION FUND     701475279     5914423     490823   X                           490823        0          0
 PARKSTONE MUNICIPAL BOND FUND #393       701475303    60996731    5985940   X                          5974676        0      11264
 PARKSTONE MUNICIPAL BOND FUND #393       701475303    15634141    1534263               X              1362291        0     171972
 PARKSTONE LARGE CAPITALIZATION FD        701475329   170286512    8089621   X                          7941114        0     148507
 PARKSTONE LARGE CAPITALIZATION FD        701475329    21025463     998834               X               870663        0     128171
 PARKSTONE MID CAPITALIZATION FUND        701475402    89634115    5939968   X                          5882555        0      57413
 PARKSTONE MID CAPITALIZATION FUND        701475402    16776946    1111792               X               914295        0     197497
 PARKSTONE LTD MATURITY BOND FD           701475600    81533478    8673774   X                          8618840        0      54934
 PARKSTONE LTD MATURITY BOND FD           701475600     9147502     973139               X               785449        0     187690
 PARKSTONE SMALL CAPITALIZATION FUND      701475709    59247299    2858046   X                          2831865        0      26182
 PARKSTONE SMALL CAPITALIZATION FUND      701475709    14363442     692882               X               609648        0      83234
 PARKSTONE INTERMEDIATE GOVT OBLIG FD     701475808    73133082    7523980   X                          7454419        0      69561
 PARKSTONE INTERMEDIATE GOVT OBLIG FD     701475808    12052541    1239973               X              1047283        0     192691
 PARKSTONE INTERNATIONAL DISCOVERY        701475824    96970066    6060629   X                          5969710        0      90920
 PARKSTONE INTERNATIONAL DISCOVERY        701475824    21075331    1317208               X              1124494        0     192714
 PARKSTONE U S GOVT INCOME FD             701475832    98901752   10892263   X                         10790478        0     101785
 PARKSTONE U S GOVT INCOME FD             701475832    20168371    2221186               X              1715570        0     505616
 PARKSTONE BALANCED ALLOCATION FD         701475840    37274238    2637950   X                          2544075        0      93875
 PARKSTONE BALANCED ALLOCATION FD         701475840     1773617     125521               X               124042        0       1480
 PARKSTONE PRIME OBLIGATIONS MONEY        701475857     2417500    2417500   X                          2417500        0          0
 PARKSTONE U S GOVERNMENT OBLIGATIONS     701475865       67300      67300               X                67300        0          0
 PARKSTONE MICHIGAN MUNICIPAL FUND        701475881   132417427   12363905   X                         12247363        0     116542
 PARKSTONE MICHIGAN MUNICIPAL FUND        701475881    35255437    3291824               X              2893909        0     397915
 PAYCHEX INC                              704326107      106622       3345   X                             3345        0          0
 PAYCHEX INC                              704326107      220511       6918               X                 6918        0          0
 PENNEY J C CO INC                        708160106      670072      13798   X                            13798        0          0
 PENNEY J C CO INC                        708160106      388504       8000               X                 7600        0        400
 PEPSICO INC                              713448108     3042811      78650   X                            77050        0       1600
 PEPSICO INC                              713448108     1271288      32860               X                28252        0       4608
 PHARMACIA & UPJOHN INC                   716941109   250910126    4416421   X                          4260629        0     155792
 PHARMACIA & UPJOHN INC                   716941109    36304871     639024               X               639024        0          0
 PFIZER INC                               717081103    10433371      95719   X                            91644        0       4075
 PFIZER INC                               717081103     2704835      24815               X                19415      100       5300
 PHILIP MORRIS COS INC                    718154107     3423776      85194   X                            79844        0       5350
 PHILIP MORRIS COS INC                    718154107     3545225      88216               X                82158        0       6058
 PHILLIPS PETE CO                         718507106      259816       5164   X                             5164        0          0
 PHILLIPS PETE CO                         718507106       31949        635               X                  485        0        150
 PHOENIX MULTI PORTFOLIO FD               718912850        9631       1289   X                             1289        0          0
 PHOENIX MULTI PORTFOLIO FD               718912850       65149       8721               X                    0        0       8721
 PHOENIX ENGEMANN FDS                     71902M200      240880       8269   X                             8269        0          0
                                                     ----------  ---------                            ---------      ---    -------
 SUBTOTALS FOR THIS PAGE                             1728200119  119528968                            115385665      100    4143207
</TABLE>
<PAGE>   218
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   236

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 PIONEER RAILCORP CLASS A WARRANT         723839114          1      16386   X                            16386          0          0
 PIONEER RAILCORP CLASS A WARRANT         723839114          2       4000               X                 4000          0          0
 PITNEY BOWES INC                         724479100     391925       6100   X                             6100          0          0
 POTOMAC ELEC PWR CO                      737679100     101797       3458   X                             2750          0        708
 POTOMAC ELEC PWR CO                      737679100     138359       4700               X                 2000          0       2700
 T ROWE PRICE                             741479109     293057       8419   X                             8419          0          0
 PRINCIPAL PRESERVATION PORTFOLIOS        74252B105      22445       2551   X                             2551          0          0
 PRINCIPAL PRESERVATION PORTFOLIOS        74252B105     182849      20778               X                20778          0          0
 PROCTER & GAMBLE CO COM                  742718109    8760959      98162   X                            96762          0       1400
 PROCTER & GAMBLE CO COM                  742718109    4337639      48601               X                43498          0       5103
 PROFIT TECHNOLOGY INCORPORATED           743169104          0      23000               X                    0          0      23000
 PROGRESSIVE CORP OHIO                    743315103     369895       2551   X                             2551          0          0
 PROGRESSIVE CORP OHIO                    743315103      72500        500               X                  500          0          0
 PRUDENTIAL UTILITY FUND INC CL A         743911208      35144       2814   X                             2814          0          0
 PRUDENTIAL UTILITY FUND INC CL A         743911208     129161      10341               X                10341          0          0
 PROVIDIAN FINL CORP                      74406A102    2749756      29488   X                            29488          0          0
 PROVIDIAN FINL CORP                      74406A102     419532       4499               X                 4499          0          0
 PRUDENTIAL MUNI BD FD                    74435L103     197904      18090   X                            18090          0          0
 PRUDENTIAL MUN BD FD                     74435L301      74917       6969   X                             6969          0          0
 PRUDENTIAL MUN BD FD                     74435L301     117814      10959               X                    0          0      10959
 PUBLIC SVC ENTERPRISE GROUP INC          744573106     385479       9445   X                             9445          0          0
 PUBLIC SVC ENTERPRISE GROUP INC          744573106     192188       4709               X                 4709          0          0
 PUTNAM ASSET ALLOCATION FD               746444835     578158      46327   X                            46327          0          0
 PUTNAM DIVERSIFIED INCOME TR             746704105    1524301     137448   X                           137448          0          0
 PUTNAM DIVERSIFIED INCOME TR             746704204      54908       4974   X                             4974          0          0
 PUTNAM DIVERSIFIED INCOME TR             746704204      79102       7165               X                 7165          0          0
 PUTNAM DIVERSIFIED INCOME TR             746704402     220022      19912   X                            19912          0          0
 PUTNAM GEORGE FD BOSTON                  746758101      26814       1415   X                             1415          0          0
 PUTNAM GEORGE FD BOSTON                  746758101     295342      15585               X                15585          0          0
 PUTNAM GEORGE FD BOSTON                  746758507    1538657      81843   X                            81843          0          0
 PUTNAM FD FOR GROWTH & INCOME            746761105     571116      25474   X                            25474          0          0
 PUTNAM FD FOR GROWTH & INCOME            746761105      52820       2356               X                 2356          0          0
 PUTNAM FD FOR GROWTH & INCOME            746761204     114508       5174   X                             5174          0          0
 PUTNAM FD FOR GROWTH & INCOME            746761204     316230      14290               X                14290          0          0
 PUTNAM FUND FOR GROWTH & INCOME          746761501    1388008      62270   X                            62270          0          0
 PUTNAM HEALTH SCIENCES TR                746778109     279117       4700               X                 4700          0          0
 PUTNAM MICH TAX EXEMPT INCOME FD         74683L201          1      33282   X                            33282          0          0
 PUTNAM MICHIGAN TAX EXEMPT INCOME        74683L300     547333      60950   X                            60950          0          0
 PUTNAM MICHIGAN TAX EXEMPT INCOME        74683L300     112688      12549               X                12549          0          0
 PUTNAM TAX EXEMPT INCOME FD              746870104     117806      13326   X                            13326          0          0
 PUTNAM TAX FREE INCOME TR                746872407     221497      15631   X                            15631          0          0
 PUTNAM TAX FREE INCOME TR                746872407      13012        918               X                  918          0          0
 PUTNAM NEW OPPORTUNITIES FD              746916105    1605754      24478   X                            24478          0          0
 PUTNAM NEW OPPORTUNITIES FD              746916105     381002       5808               X                    0          0       5808
                                                      --------     ------                               ------          -      -----
 SUBTOTALS FOR THIS PAGE                              29011519     932395                               882717          0      49678
</TABLE>
<PAGE>   219
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   237

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 PUTNAM NEW OPPORTUNITIES FD              746916501    3219454      50265   X                            50265          0          0
 PUTNAM INTL GROWTH FD                    746932300     373745      17416   X                            17416          0          0
 PUTNAM VISTA FUND                        747011104     264342      17982   X                            17982          0          0
 PUTNAM VISTA FD INC                      747011401     833131      58220   X                            58220          0          0
 PUTNAM VOYAGER FD INC CL M               747012508    2153597      88335   X                            88335          0          0
 QUAKER OATS CO COM                       747402105     708885      10680   X                             8944          0       1736
 QUAKER OATS CO COM                       747402105     146025       2200               X                 2200          0          0
 QUESTAR CORP COM                         748356102     421706      22050   X                            21650          0        400
 QUESTAR CORP COM                         748356102       7650        400               X                  400          0          0
 QWEST COMMUNICATIONS INTL INC COM        749121109     273233       8264   X                             8264          0          0
 QWEST COMMUNICATIONS INTL INC COM        749121109      19838        600               X                  200          0        400
 RPM INC OHIO COM                         749685103     168483      11875   X                             9975          0       1900
 RPM INC OHIO COM                         749685103      34051       2400               X                 2400          0          0
 RAYTHEON CO                              755111309     401059       5823   X                             5484          0        339
 RAYTHEON CO                              755111309     106687       1549               X                 1510          0         39
 REPUBLIC BANCORP INC COM                 760282103     553922      36471   X                            36471          0          0
 REPUBLIC BANCORP INC COM                 760282103      17238       1135               X                    0          0       1135
 REX HIDE INC COM                         761576107     274068      23832               X                23832          0          0
 ROCKWELL INTL CORP NEW                   773903109     521600       8586   X                             8586          0          0
 ROCKWELL INTL CORP NEW                   773903109      72900       1200               X                 1200          0          0
 T ROWE PRICE EQUITY INCOME FD            779547108    4143288     142430   X                           140231          0       2199
 T ROWE PRICE EQUITY INCOME FD            779547108     786670      27043               X                24703          0       2340
 T ROWE PRICE                             779556109     708364      18680   X                            18680          0          0
 T ROWE PRICE                             779556109    1454219      38350               X                38350          0          0
 T ROWE PRICE INTL STOCK FUNDS INC        77956H203       9933        636   X                              636          0          0
 T ROWE PRICE INTL STOCK FUNDS INC        77956H203     206973      13251               X                 9687          0       3563
 T ROWE PRICE SCIENCE & TECHNOLOGY        77957M102     227590       4618   X                             4618          0          0
 T ROWE PRICE MARYLAND TAX FREE BOND      77957R101     867001      83930   X                            83930          0          0
 T ROWE PRICE                             779572106    5332043     245377   X                           243876          0       1502
 T ROWE PRICE                             779572106     524979      24159               X                22981          0       1178
 T ROWE PRICE                             779576107     155508      16267   X                            16267          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804    3748635      62218   X                            62218          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804    1277722      21207               X                18919          0       2288
 SBC COMMUNICATIONS INC COM               78387G103    7072056     121932   X                           121062          0        870
 SBC COMMUNICATIONS INC COM               78387G103    3144296      54212               X                37730          0      16482
 SEI INST MGD CORE FXD INC -A             783925506    2625517     260210   X                           260210          0          0
 SEI INST MGD CORE FXD INC -A             783925506     531460      52672               X                52672          0          0
 SEI INSTL MANAGED TR                     783925837     707132      34128   X                            34128          0          0
 SEI DAILY INCOME TR GNMA PORT            783965643     202816      21282   X                            21282          0          0
 SEI DAILY INCOME TR                      783965742    1326123     134223   X                           134223          0          0
 SEI DAILY INCOME TR                      783965742     419845      42494               X                42494          0          0
 SEI INTL FIXED INC PORT                  78411R307     200086      19110   X                            19110          0          0
 SPDR TR                                  78462F103    8322750      60750   X                            60750          0          0
 SPX CORP COM                             784635104     606628       7265   X                             6965          0        300
                                                      --------    -------                              -------          -      -----
 SUBTOTALS FOR THIS PAGE                              55173248    1875727                              1839056          0      36671
</TABLE>
<PAGE>   220
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   238

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 SPX CORP COM                             784635104     121075       1450               X                 1450          0          0
 SAFEWAY INC COM NEW                      786514208     320513       6475   X                             5775          0        700
 SAFEWAY INC COM NEW                      786514208       9900        200               X                    0          0        200
 SARA LEE CORP COM                        803111103    4061197     179002   X                           179002          0          0
 SARA LEE CORP COM                        803111103      68064       3000               X                 2600          0        400
 SCHERING-PLOUGH CORP COM                 806605101    3007778      57291   X                            55691          0       1600
 SCHERING-PLOUGH CORP COM                 806605101    2600955      49542               X                25420          0      24122
 SCHLUMBERGER LTD COM                     806857108    3971456      62358   X                            62008          0        350
 SCHLUMBERGER LTD COM                     806857108     414163       6503               X                 4953          0       1550
 SCOTTS CO CL A COM                       810186106     202406       4250   X                             4250          0          0
 SCOTTS CO CL A COM                       810186106      33338        700               X                  500        200          0
 SCUDDER INTERNATIONAL FD INC COM         811165109     330751       6454   X                             6454          0          0
 SCUDDER GREATER EURO GROWTH FD           811165406      32033       1212   X                              796          0        416
 SCUDDER GREATER EURO GROWTH FD           811165406     232264       8791               X                    0          0       8791
 SCUDDER TAX FREE FDS MASS FD             811184308     582661      41948               X                41948          0          0
 SEARS ROEBUCK & CO CAP                   812387108     432350       9702   X                             9702          0          0
 SEARS ROEBUCK & CO CAP                   812387108     381188       8554               X                 8092          0        462
 SELIGMAN TAX EXEMPT FUND MICHIGAN        816346605      86120      10388   X                            10388          0          0
 SELIGMAN TAX EXEMPT FUND MICHIGAN        816346605      47571       5738               X                 5738          0          0
 SEMPRA ENERGY                            816851109     121508       5371   X                             5371          0          0
 SEMPRA ENERGY                            816851109      98147       4338               X                 3938          0        400
 SERVICE CORP INTERNATIONAL COM           817565104     189343       9836   X                             9836          0          0
 SERVICE CORP INTERNATIONAL COM           817565104     107800       5600               X                 5600          0          0
 SERVICEMASTER CO COM                     81760N109     169913       9062   X                             8062          0       1000
 SERVICEMASTER CO COM                     81760N109     449625      23980               X                 4770          0      19210
 SHARED MED SYS CORP                      819486101      65250       1000   X                             1000          0          0
 SHARED MED SYS CORP                      819486101     156600       2400               X                 2400          0          0
 SHELL TRANS & TRADING PLC                822703609     417375       9000   X                             9000          0          0
 SHERWIN WILLIAMS CO COM                  824348106     152625       5500   X                             5500          0          0
 SHERWIN WILLIAMS CO COM                  824348106     478688      17250               X                  250          0      17000
 SHORELINE FINANCIAL CORPORATION          825190101      82132       2732   X                             2732          0          0
 SHORELINE FINANCIAL CORPORATION          825190101     120252       4000               X                 4000          0          0
 SMITHKLINE BEECHAM CORP                  832378301     216819       3282   X                             3282          0          0
 SMITHKLINE BEECHAM CORP                  832378301     198189       3000               X                 3000          0          0
 SOUND SHORE FD INC COM                   836083105     152050       4839   X                             4839          0          0
 SOUND SHORE FD INC COM                   836083105      51807       1649               X                 1649          0          0
 SOUTHERN CO COM                          842587107    1231217      46461   X                            46461          0          0
 SOUTHERN CO COM                          842587107     451030      17020               X                14132          0       2888
 SCB BANCORP INCORPORATED                 845996107     200000       2000   X                             2000          0          0
 SPARTAN STORES INCORPORATED              846837995     158760      10800   X                            10800          0          0
 SPRINT CORP COM                          852061100    4281552      80784   X                            80784          0          0
 SPRINT CORP COM                          852061100     634834      11978               X                11528          0        450
 SPRINT CORP                              852061506    1599477      28061   X                            28061          0          0
 SPRINT CORP                              852061506      96558       1694               X                 1144          0        550
                                                      --------     ------                               ------        ---      -----
 SUBTOTALS FOR THIS PAGE                              28817334     775195                               694906        200      80089
</TABLE>
<PAGE>   221
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   239

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>       <C>
             COMMON STOCK
             ------------
 STAPLES INC COM                          855030102    1419652      45887   X                            44337          0       1550
 STAPLES INC COM                          855030102     204191       6600               X                 6500          0        100
 STAR OF THE WEST MILLING COMPANY         85515P103    1030750      10850   X                            10850          0          0
 STARBUCKS CORP COM                       855244109      15025        400   X                              400          0          0
 STARBUCKS CORP COM                       855244109     345580       9200               X                 9200          0          0
 STATE STR CORP                           857477103     774778       9075   X                             7975          0       1100
 STATE STR CORP                           857477103     200631       2350               X                 2150          0        200
 STATE STR RESH FINL TR                   857918106     203446      16460   X                            16460          0          0
 STATE STR RESH INCOME TR                 857920102      83348      15045   X                            15045          0          0
 STEIN ROE INCOME TR                      858420102     116066      12334   X                            12334          0          0
 STRONG                                   862912102     125688      11670               X                11670          0          0
 STRONG                                   862918109     383074       6910   X                             6910          0          0
 STRONG                                   862918109     389485       7025               X                 7025          0          0
 STRONG HIGH YIELD MUNICIPAL BOND         863345104     669319      66798   X                            66798          0          0
 STRONG HIGH YIELD MUNICIPAL BOND         863345104    1179711     117736               X                78254          0      39482
 STRYKER CORP COM                         863667101    3503183      58265   X                            58265          0          0
 STRYKER CORP COM                         863667101      84175       1400               X                 1400          0          0
 SUN MICROSYSTEMS INC COM                 866810104     728147      10572   X                             9572          0       1000
 SUN MICROSYSTEMS INC COM                 866810104     158413       2300               X                 1500          0        800
 SUNTRUST BKS INC COM                     867914103     319415       4600   X                             4600          0          0
 SUNTRUST BKS INC COM                     867914103     194426       2800               X                 2300          0        500
 SYSCO CORP COM                           871829107    1332283      44688   X                            44688          0          0
 SYSCO CORP COM                           871829107     607887      20390               X                19890          0        500
 TCW/DW TERM TR 2003 SBI                  87234U108      92500      10000   X                            10000          0          0
 TECO ENERGY INC COM                      872375100     458504      20154   X                            20154          0          0
 TECO ENERGY INC COM                      872375100     348257      15308               X                14040          0       1268
 TANDY CORP COM                           875382103     241443       4940   X                             4940          0          0
 TANDY CORP COM                           875382103      19550        400               X                  400          0          0
 TEMPLETON DEVELOPING MKTS TR COM         88018W104     530090      37729   X                            37729          0          0
 TEMPLETON FDS INC                        880196100     232636      12636   X                            12636          0          0
 TEMPLETON FDS INC                        880196100     178400       9690               X                 9690          0          0
 TEMPLETON GROWTH FD INC                  880199104     885718      45259   X                            45259          0          0
 TEMPLETON GROWTH FD INC                  880199104     174655       8925               X                 2382          0       6543
 TENET HEALTHCARE CORP COM                88033G100     198624      10700   X                            10700          0          0
 TENET HEALTHCARE CORP COM                88033G100       7425        400               X                  400          0          0
 TENNECO INC (NEW)                        88037E101     215496       9026   X                             9026          0          0
 TENNECO INC (NEW)                        88037E101      25690       1076               X                  976          0        100
 TEXACO INC COM                           881694103    1179886      18916   X                            18591          0        325
 TEXACO INC COM                           881694103     767088      12298               X                11498          0        800
 TEXAS INSTRS INC COM                     882508104    1236096       8584   X                             8584          0          0
 TEXAS INSTRS INC COM                     882508104     158400       1100               X                  800          0        300
 TEXAS UTILITIES CO COM (HLDG)            882848104     615511      14854   X                            14854          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     211334       5100               X                 5100          0          0
 TEXTRON INC COM                          883203101     310485       3772   X                             3772          0          0
                                                      --------     ------                               ------          -      -----
 SUBTOTALS FOR THIS PAGE                              22156461     734222                               679654          0      54568
</TABLE>
<PAGE>   222
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   240

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>       <C>
             COMMON STOCK
             ------------
 TEXTRON INC COM                          883203101      21731        264               X                    0          0        264
 THOMAS & BETTS CORP COM                  884315102     177188       3750   X                             3500          0        250
 THOMAS & BETTS CORP COM                  884315102      37800        800               X                  800          0          0
 3COM CORP COM                            885535104     690685      25880   X                            25880          0          0
 3COM CORP COM                            885535104      24019        900               X                  800          0        100
 TIME WARNER INC COM                      887315109    3995247      55012   X                            54812          0        200
 TIME WARNER INC COM                      887315109     432700       5958               X                 5683          0        275
 TORRAY FD                                891402109     309098       7038   X                             7038          0          0
 TORRAY FD                                891402109      97447       2219               X                 2219          0          0
 TOTAL RETURN U S TREAS FD IN             89151D101    1034481     107983   X                           107983          0          0
 TRI-CONTINENTAL CORP COM                 895436103     110868       3673   X                             3673          0          0
 TRI-CONTINENTAL CORP COM                 895436103     494164      16370               X                 4941          0      11428
 TRICON GLOBAL RESTAURANTS                895953107     161563       2985   X                             2985          0          0
 TRICON GLOBAL RESTAURANTS                895953107     101051       1867               X                 1727          0        140
 TWEEDY BROWNE                            901165100     438536      21134   X                            18023          0       3111
 TYCO INTL LTD NEW                        902124106    4437995      46839   X                            46039          0        800
 TYCO INTL LTD NEW                        902124106     573901       6057               X                 3957        100       2000
 UST INC COM                              902911106     386932      13200   X                            12800          0        400
 UST INC COM                              902911106     323909      11050               X                11050          0          0
 US BANCORP NEW COM                       902973106     561735      16831   X                            16831          0          0
 US BANCORP NEW COM                       902973106     156095       4677               X                 4677          0          0
 UNUM CORP COM                            903192102     405150       7400   X                             7400          0          0
 UNUM CORP COM                            903192102      24638        450               X                  350          0        100
 USAA TAX EXEMPT FD INC                   903289502    1706292     157117   X                           157117          0          0
 UNICOM CORP COM                          904911104     408498      10593   X                            10593          0          0
 UNICOM CORP COM                          904911104     162774       4221               X                 4221          0          0
 UNION PAC CORP CO COM                    907818108     636311      10912   X                            10912          0          0
 UNION PAC CORP CO COM                    907818108     314657       5396               X                 3014          0       2382
 UNION PAC RES GROUP INC COM              907834105      84436       5176   X                             5176          0          0
 UNION PAC RES GROUP INC COM              907834105     100162       6140               X                 1794          0       4346
 UNION PLANTERS CORP COM                  908068109       2234         50   X                               50          0          0
 UNION PLANTERS CORP COM                  908068109     230456       5157               X                 5157          0          0
 UNITED FUNDS                             910450402     192373      15781   X                            15781          0          0
 U S WEST INC NEW                         91273H101    1190158      20258   X                            20258          0          0
 U S WEST INC NEW                         91273H101     963970      16408               X                13385          0       3023
 UNITED TECHNOLOGIES CORP COM             913017109    6981264      96962   X                            96262          0        700
 UNITED TECHNOLOGIES CORP COM             913017109    1433952      19916               X                18976          0        940
 VALUE LINE ASSET ALLOCATION FD INC       920395100    9895926     514341   X                           514341          0          0
 VAN KAMPEN                               920914108     100568      10169               X                    0          0      10169
 VAN KAMPEN U S GOVT FUND                 921129102     126194       9072   X                             9072          0          0
 VAN KAMPEN U S GOVT FUND                 921129102      32689       2350               X                 2350          0          0
 VANGUARD SPECIALIZED PORTFOLIO           921908307     446868       4486   X                             4486          0          0
 VANGUARD SPECIALIZED PORTFOLIO           921908307     635083       6376               X                  292          0       6084
 VANGUARD                                 921909602     165509      13920   X                            13920          0          0
                                                      --------    -------                              -------        ---      -----
 SUBTOTALS FOR THIS PAGE                              40807307    1297138                              1250325        100      46712
</TABLE>
<PAGE>   223
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   241

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4    ITEM 5         ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET     SH/PV      INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-            SOLE       SHARED     NONE
 A. COMMON STOCK                                                                 INSTR  OTHER
<S>                                   <C>            <C>        <C>        <C>   <C>    <C>    <C>      <C>          <C>     <C>
             COMMON STOCK
             ------------
 VANGUARD                                 921909602      73056       6144               X                 6144          0          0
 VANGUARD WORLD FD - US GROWTH            921910105    1058045      26405   X                             8200          0      18205
 VANGUARD WORLD FD - US GROWTH            921910105      52181       1302               X                 1302          0          0
 VANGUARD WORLD FD                        921910204       9740        500   X                              500          0          0
 VANGUARD WORLD FD                        921910204     247315      12696               X                 3492          0       9204
 VANGUARD QUANTITATIVE PORTFOLIOS INC     921913109     222054       6381   X                             6381          0          0
 VANGUARD QUANTITATIVE PORTFOLIOS INC     921913109     152016       4368               X                 2348          0       2021
 VANGUARD                                 921935102      11004        355   X                              355          0          0
 VANGUARD                                 921935102     208861       6731               X                 1996          0       4735
 VANGUARD TOTAL BOND MARKET               921937108     363620      37066   X                            37066          0          0
 VANGUARD BD INDEX FD INC                 921937405     161314      15662   X                            15662          0          0
 VANGUARD BOND INDEX FUND                 921937504     268073      27326   X                            27326          0          0
 VANGUARD                                 921943106     597592      20141   X                             1540          0      18601
 VANGUARD WINDSOR FUND INC                922018106      68274       3758   X                             3758          0          0
 VANGUARD WINDSOR FUND INC                922018106     365315      20105               X                    0          0      20105
 VANGUARD                                 922018205     143346       4365   X                             4365          0          0
 VANGUARD                                 922018205     186405       5676               X                 4784          0        892
 VANGUARD CALIF TAX EXEMPT FD             922021308     217363      20506   X                            20506          0          0
 VANGUARD FIXED INCOME SECS               922031109      25007       2942   X                             2942          0          0
 VANGUARD FIXED INCOME SECS               922031109     294899      34694               X                34694          0          0
 VANGUARD FIXED INCOME SECS FD            922031208     115343      15197   X                            15197          0          0
 VANGUARD FIXED INCOME SECS FD            922031208     247725      32638               X                15993          0      16645
 VANGUARD FIXED INCOME SECS FD            922031307      65958       6550   X                             6550          0          0
 VANGUARD FIXED INCOME SECS FD            922031307     654355      64981               X                64981          0          0
 VANGUARD                                 922031406     111705      10489               X                10489          0          0
 VANGUARD HORIZON                         922038302     320011      19742   X                            19742          0          0
 VANGUARD                                 92204P204      65294       6609   X                             6609          0          0
 VANGUARD                                 92204P204      74056       7496               X                 7496          0          0
 VANGUARD INTL EQUITY INDEX FD            922042106     120480      12695   X                            12695          0          0
 VANGUARD INTL EQUITY INDEX FUND INC      922042205     176421       7111   X                             7111          0          0
 VANGUARD INTL EQUITY INDEX FUND INC      922042205      25057       1010               X                 1010          0          0
 VANGUARD MONEY MKT TR                    922906201      14586      14586               X                14586          0          0
 VANGUARD MUN BD FD INC                   922907209     748110      57503   X                            57503          0          0
 VANGUARD MUN BD FD INC                   922907209     387655      29797               X                15460          0      14337
 VANGUARD MUN BD FD INC                   922907308      19356       1789   X                             1789          0          0
 VANGUARD MUN BD FD INC                   922907308     119584      11052               X                11052          0          0
 VANGUARD MUNI BOND HIGH YIELD FUND       922907407     870106      82241   X                            82241          0          0
 VANGUARD MUNI BOND HIGH YIELD FUND       922907407     120118      11353               X                11353          0          0
 VANGUARD                                 922908108   13757385     108471   X                           108361          0        110
 VANGUARD                                 922908108    9901033      78065               X                45582          0      32484
 VANGUARD                                 922908207     783387      24231   X                            24231          0          0
 VANGUARD                                 922908306     398764      13139   X                            13139          0          0
 VANGUARD                                 922908405     895995      36334   X                            36334          0          0
 VANGUARD                                 922908405    1046214      42426               X                42426          0          0
                                                      --------     ------                               ------          -     ------
 SUBTOTALS FOR THIS PAGE                              35764178     952628                               815291          0     137339
</TABLE>
<PAGE>   224
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   242

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
ITEM 1                 ITEM 2             ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET     SH/PV       INVEST  AUTH      MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED     NONE
A. COMMON STOCK                                                                  INSTR  OTHER
<S>                                   <C>           <C>         <C>        <C>   <C>    <C>    <C>     <C>         <C>     <C>
            COMMON STOCK
            ------------
VANGUARD                                922908504       275670       7901   X                               1633       0       6268
VANGUARD                                922908504        16019        459               X                    459       0          0
VANGUARD                                922908702       671137      28903   X                              28903       0          0
VANGUARD                                922908702       157771       6795               X                   6795       0          0
VIRGINIA ENTERPRISES INCORPORATED       927832998       289248         51   X                                 51       0          0
VODAFONE GROUP PLC SPONSORED ADR        92857T107      2139775      10862   X                              10300       0        562
VODAFONE GROUP PLC SPONSORED ADR        92857T107      1573636       7988               X                   7284      75        629
WPS RESOURCES CORP COM                  92931B106       207210       6907   X                               6007       0        900
WPS RESOURCES CORP COM                  92931B106        13500        450               X                      0       0        450
WACHOVIA CORP COM                       929771103       595518       6960   X                               6960       0          0
WACHOVIA CORP COM                       929771103       184816       2160               X                   2160       0          0
WAL MART STORES INC                     931142103      6141453     127284   X                             127209       0         75
WAL MART STORES INC                     931142103      1567257      32482               X                  20380     200      11902
WALGREEN CO COM                         931422109      8579938     292083   X                             282558       0       9525
WALGREEN CO COM                         931422109      1582461      53871               X                  45421       0       8450
WARBURG PINCUS                          933907107       232424      22392   X                              22392       0          0
WARNER LAMBERT CO COM                   934488107      4119504      59595   X                              58845       0        750
WARNER LAMBERT CO COM                   934488107      1390449      20115               X                  16237       0       3878
WASHINGTON MUTUAL INC                   939322103       242042       6806   X                               6806       0          0
WASHINGTON MUTUAL INC                   939322103         7468        210               X                    210       0          0
AMERICAN WASHINGTON MUTUAL INVESTORS    939330106      1246670      34843   X                              34843       0          0
AMERICAN WASHINGTON MUTUAL INVESTORS    939330106        79471       2221               X                   2221       0          0
WASHINGTON TRUST BANCORP                940610108        30222       1679   X                               1679       0          0
WASHINGTON TRUST BANCORP                940610108       355500      19750               X                  19750       0          0
WASTE MANAGEMENT INC NEW COM            94106L109       628284      11689   X                              11289       0        400
WASTE MANAGEMENT INC NEW COM            94106L109        26875        500               X                     33       0        467
WEITZ SERIES                            949045108       311155       9398   X                               9398       0          0
WELLS FARGO & CO NEW                    949746101      3527645      82518   X                              82418       0        100
WELLS FARGO & CO NEW                    949746101      1566788      36650               X                  36150       0        500
WEYERHAEUSER CO COM                     962166104       492938       7170   X                               7170       0          0
WEYERHAEUSER CO COM                     962166104       324981       4727               X                   3990       0        737
WHIRLPOOL CORP COM                      963320106        96200       1300   X                               1300       0          0
WHIRLPOOL CORP COM                      963320106       185000       2500               X                   2500       0          0
WILLIAMS COS INC DEL COM                969457100       300410       7058   X                               7058       0          0
WILLIAMS COS INC DEL COM                969457100      1030025      24200               X                  23900       0        300
WISCONSIN ENERGY CORP COM               976657106      1070767      42723   X                              41823       0        900
WISCONSIN ENERGY CORP COM               976657106       312335      12462               X                  10575       0       1887
XEROX CORP COM                          984121103      3013040      51014   X                              50414       0        600
XEROX CORP COM                          984121103       829717      14048               X                  13948       0        100
ZEPHYR ASSOCIATES INCORPORATED          98943F100          400      20000   X                              20000       0          0
ZURICH YIELDWISE                        989823307      4200000    4200000   X                            4200000       0          0
SEI STABLE ASSET FUND                   999901SG7       347451     347451   X                             347451       0          0
                                                    ----------  ---------                              ---------    ----    -------
SUBTOTALS FOR THIS PAGE                               49963170    5628175                                5578520     275      49380
                                                    ----------  ---------                              ---------    ----    -------
SUBTOTALS FOR COMMON STOCK                          3496641563  214566479                              206967713    4271    7594503
</TABLE>
<PAGE>   225
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   243

                                                                              SEC USE ONLY
                                                                                           ----------------------------------------
ITEM 1                 ITEM 2             ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET     SH/PV       INVEST  AUTH      MNGR          VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED     NONE
B. PREFERRED STOCK                                                               INSTR  OTHER
<S>                                   <C>             <C>         <C>      <C>   <C>    <C>    <C>      <C>       <C>        <C>
             PREFERRED STOCK
             ---------------
ARMSTRONG INTERNATIONAL INCORPORATED    000567990     5801000     58010                    X               0           0      58010
                                                      -------     -----                                    -           -      -----
SUBTOTALS FOR THIS PAGE                               5801000     58010                                    0           0      58010
                                                      -------     -----                                    -           -      -----
SUBTOTALS FOR PREFERRED STOCK                         5801000     58010                                    0           0      58010
</TABLE>
<PAGE>   226
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL         ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   244
                                                                            SEC USE ONLY
                                                                                          -----------------------------------------
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5        ITEM 6          ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET     SH/PV      INVEST AUTH         MNGR          VOTING AUTH(SHARES)
                                                                          SOLE   SHRD-   SHRD-            SOLE    SHARED      NONE
C. OTHER                                                                        INSTR   OTHER
<S>                                   <C>             <C>         <C>     <C>   <C>     <C>     <C>      <C>       <C>        <C>
            OTHER
            -----
 ATRIX LABS INC SUB NT CONV              04962LAC5     30000      30000                   X              30000        0          0
                                                       -----      -----                                  -----        -          -
 SUBTOTALS FOR THIS PAGE                               30000      30000                                  30000        0          0
                                                       -----      -----                                  -----        -          -
 SUBTOTALS FOR OTHER                                   30000      30000                                  30000        0          0
</TABLE>
<PAGE>   227
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 056             PAGE   245
**SUMMARY PAGE FOR: 56-NATIONAL CITY BANK OF MI/IL       **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- --------                                            ----------  ---------                            ---------    ------     ------
<S>                                                 <C>         <C>                                  <C>          <C>        <C>
A. COMMON STOCK                                     3496641563  214566479                            206967713       4271    7594503
B. PREFERRED STOCK                                     5801000      58010                                    0          0      58010
C. OTHER                                                 30000      30000                                30000          0          0
                                                    ----------  ---------                            ---------       ----    -------
 **GRAND TOTALS**                                   3502472563  214654489                            206997713       4271    7652513
</TABLE>
<PAGE>   228
<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 60-NATIONAL CITY BANK, SOUTHERN IND     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 060             PAGE   246
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

AT&T CORP COM                            001957109     959537      17192   X                            17192          0          0
ARMADA BOND FD INSTL CL #630             042086686    1553545     157560   X                           157560          0          0
ARMADA PA MUN FD INSTL CL #629           042086710     105719      10365   X                            10365          0          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     710424      71760   X                            71760          0          0
ARMADA ENHANCED INCOME FUND              042086827     158475      15959   X                            15959          0          0
ARMADA EQUITY INCOME FUND #614           042086868    1019259      53169   X                            53169          0          0
ARMADA EQUITY GROWTH FUND                042086884    1725573      65437   X                            65437          0          0
BP AMOCO PLC-SPONS ADR                   055622104    1270427      11709   X                            11709          0          0
BP AMOCO PLC-SPONS ADR                   055622104      15407        142               X                  142          0          0
CITIGROUP INC COM                        172967101     798000      16800   X                            16800          0          0
EXXON CORP COM                           302290101     709550       9200   X                             9200          0          0
EXXON CORP COM                           302290101      37791        490               X                  490          0          0
GENERAL ELEC CO COM                      369604103     209050       1850   X                             1850          0          0
GENERAL ELEC CO COM                      369604103      29380        260               X                  260          0          0
HEINZ H J CO COM                         423074103     212029       4230   X                             4230          0          0
INTERNATIONAL BUSINESS MACHS CORP        459200101     444620       3440   X                             3440          0          0
NATIONAL CITY CORP                       635405103     294095       4490   X                             4490          0          0
NATIONAL CITY CORP                       635405103     614325       9379               X                 9379          0          0
PNC BK CORP                              693475105     295155       5122   X                             5122          0          0
PNC BK CORP                              693475105        576         10               X                   10          0          0
VANGUARD                                 922908108     281175       2217               X                 2217          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              11444112     460781                               460781          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                           11444112     460781                               460781          0          0
</TABLE>


<PAGE>   229

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 60-NATIONAL CITY BANK, SOUTHERN IND     ON 08/11/99 AS OF 06/30/99                 DEPT ID# 060             PAGE   247

**SUMMARY PAGE FOR: 60-NATIONAL CITY BANK, SOUTHERN IND **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                 <C>        <C>                                  <C>         <C>       <C>
A. COMMON STOCK                                      11444112     460781                               460781          0          0
                                                    ---------   --------                            ---------  ---------  ---------
**GRAND TOTALS**                                     11444112     460781                               460781          0          0
</TABLE>
<PAGE>   230
<TABLE>
<CAPTION>


INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   248
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

DAIMLERCHRYSLER AG                       D1668R123      42987        483   X                              483          0          0
DAIMLERCHRYSLER AG                       D1668R123     166430       1870               X                    0          0       1870
AT&T CORP COM                            001957109     144221       2584   X                             2584          0          0
AT&T CORP COM                            001957109     656082      11755               X                 8755          0       3000
ABBOTT LABS                              002824100     904778      19940   X                            17940          0       2000
ABBOTT LABS                              002824100    2769509      61036               X                61036          0          0
AEGON N V ORD AMER REG (NLG)             007924103     179226       2424   X                             2424          0          0
AEGON N V ORD AMER REG (NLG)             007924103     168135       2274               X                 2274          0          0
ALBERTSONS INC COM                       013104104      36094        700   X                              700          0          0
ALBERTSONS INC COM                       013104104     267096       5180               X                 5180          0          0
ALCOA INC                                013817101     331031       5350   X                             3950          0       1400
ALCOA INC                                013817101     446366       7214               X                 7214          0          0
ALLSTATE CORP COM                        020002101      40359       1125   X                             1125          0          0
ALLSTATE CORP COM                        020002101     195806       5458               X                 3458          0       2000
ALLTEL CORP COM                          020039103     143000       2000   X                             2000          0          0
ALLTEL CORP COM                          020039103     637780       8920               X                 4150          0       4770
AMERICAN EXPRESS CO COM                  025816109     340928       2620               X                 2620          0          0
AMERICAN HOME PRODS CORP COM             026609107     183084       3191   X                             3191          0          0
AMERICAN HOME PRODS CORP COM             026609107    4305879      75048               X                44053          0      30995
AMERICAN INTL GROUP INC COM              026874107     673953       5748   X                             5098          0        650
AMERICAN INTL GROUP INC COM              026874107    1335126      11387               X                11387          0          0
AMERICAN WTR WKS CO INC                  030411102     276750       9000               X                 5000          0       4000
AMERITECH CORP NEW COM                   030954101     252473       3435   X                             3435          0          0
AMERITECH CORP NEW COM                   030954101    1060605      14430               X                13230          0       1200
AMETEK INC NEW                           031100100    2277000      99000               X                99000          0          0
AMGEN INC                                031162100     256893       4220   X                             1620          0       2600
AMGEN INC                                031162100      85225       1400               X                 1400          0          0
AMSOUTH BANCORPORATION COM               032165102    3165440     136512               X                    0          0     136512
ARDEN RLTY INC COM                       039793104     319509      12975   X                            12975          0          0
ARDEN RLTY INC COM                       039793104     324434      13175               X                 8175          0       5000
ARMADA TAX MANAGED EQUITY FD #233        042086330    1466048     114001   X                           114001          0          0
ARMADA TAX MANAGED EQUITY FD #233        042086330    1773872     137937               X               137937          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363     470598      48118   X                            48118          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363    2848332     291241               X                17147          0     274094
ARMADA SMALL CAP GROWTH FUND #519        042086579    1191336     107135   X                           107135          0          0
ARMADA SMALL CAP GROWTH FUND #519        042086579      89924       8087               X                 8087          0          0
ARMADA CORE EQUITY FUND #681             042086595     328092      22334               X                22334          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629    1748369     150462   X                           150462          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629     243908      20990               X                20990          0          0
ARMADA EQUITY INDEX FUND #42             042086645     414014      34675   X                            34675          0          0
ARMADA EQUITY INDEX FUND #42             042086645     207005      17337               X                17337          0          0
ARMADA GNMA INSTL CL #666                042086660     672179      67285   X                            67285          0          0
ARMADA GNMA INSTL CL #666                042086660    1716276     171799               X               171799          0          0
ARMADA BOND FD INSTL CL #630             042086686     215580      21864   X                            21864          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              35371732    1743719                              1273628          0     470091
</TABLE>


<PAGE>   231

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   249
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

ARMADA BOND FD INSTL CL #630             042086686     966563      98029               X                88656          0       9372
ARMADA OHIO TAX EXEMPT FUND #612         042086751    9241867     854147   X                           845218          0       8929
ARMADA OHIO TAX EXEMPT FUND #612         042086751    2817408     260389               X               148380          0     112008
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1154452     116611   X                           116611          0          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     743094      75060               X                66736          0       8324
ARMADA INTERMEDIATE BD FUND              042086793      28828       2788   X                             2788          0          0
ARMADA INTERMEDIATE BD FUND              042086793     239580      23170               X                18554          0       4616
ARMADA SMALL CAP VALUE FUND #616         042086843     985780      70615   X                            70615          0          0
ARMADA SMALL CAP VALUE FUND #616         042086843     168486      12069               X                12069          0          0
ARMADA EQUITY INCOME FUND #614           042086868     713476      37218   X                            37218          0          0
ARMADA EQUITY INCOME FUND #614           042086868     399055      20817               X                20817          0          0
ARMADA EQUITY GROWTH FUND                042086884    4967254     188368   X                           188368          0          0
ARMADA EQUITY GROWTH FUND                042086884    2749896     104281               X               103012          0       1269
ASSOCIATES FIRST CAP CORP COM            046008108      69276       1570   X                             1570          0          0
ASSOCIATES FIRST CAP CORP COM            046008108     141465       3206               X                  586          0       2620
ATLANTIC RICHFIELD CO COM                048825103     392746       4700               X                 2500          0       2200
AUSTRALIA & NEW ZEALAND BKG GROUP        052528304     278438       7500               X                    0          0       7500
AUTOMATIC DATA PROCESSING INC COM        053015103     468600      10650   X                             9450          0       1200
AUTOMATIC DATA PROCESSING INC COM        053015103    1113904      25316               X                25316          0          0
AVALONBAY CMNTYS INC                     053484101     266326       7198   X                             7198          0          0
AVALONBAY CMNTYS INC                     053484101     641839      17347               X                11969          0       5378
BP AMOCO PLC-SPONS ADR                   055622104     400908       3695   X                             3695          0          0
BP AMOCO PLC-SPONS ADR                   055622104    1892457      17442               X                 8570          0       8872
BANK OF AMER CORP COM                    060505104     183649       2505   X                             1305          0       1200
BANK OF AMER CORP COM                    060505104     195086       2661               X                 2661          0          0
BANK ONE CORP COM                        06423A103     613380      10298   X                            10298          0          0
BANK ONE CORP COM                        06423A103    2871354      48207               X                10411          0      37796
BELL ATLANTIC CORP COM                   077853109      83680       1280   X                             1280          0          0
BELL ATLANTIC CORP COM                   077853109    1169820      17894               X                10052          0       7842
BELLSOUTH CORP COM                       079860102     266603       5780   X                             5780          0          0
BELLSOUTH CORP COM                       079860102    2176454      47186               X                41786          0       5400
BORDERS GROUP INC COM                    099709107     129667       8200   X                             8200          0          0
BORDERS GROUP INC COM                    099709107     156549       9900               X                 9900          0          0
BRISTOL MYERS SQUIBB CO COM              110122108    1784758      25338   X                            23938          0       1400
BRISTOL MYERS SQUIBB CO COM              110122108    5843818      82964               X                74964          0       8000
CSX CORP COM                             126408103      54269       1196   X                             1196          0          0
CSX CORP COM                             126408103     245025       5400               X                 1400          0       4000
CVS CORPORATION (DEL)                    126650100     182700       3600   X                             1400          0       2200
CVS CORPORATION (DEL)                    126650100      27913        550               X                  550          0          0
CARNIVAL CORP COM                        143658102     241288       4975   X                             2675          0       2300
CARNIVAL CORP COM                        143658102     179644       3704               X                 3704          0          0
CATERPILLAR INC COM                      149123101      78000       1300   X                             1300          0          0
CATERPILLAR INC COM                      149123101     142380       2373               X                 2373          0          0
CHASE MANHATTAN CORP (NEW) COM           16161A108     322299       3726   X                             2526          0       1200
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              47790034    2251223                              2007595          0     243626
</TABLE>


<PAGE>   232

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   250
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

CHASE MANHATTAN CORP (NEW) COM           16161A108    1103567      12758               X                 3398          0       9360
CHEVRON CORP COM                         166751107     108752       1144   X                             1144          0          0
CHEVRON CORP COM                         166751107    1399993      14727               X                14727          0          0
CHUBB CORP COM                           171232101     487890       7020               X                 7020          0          0
CISCO SYS INC COM                        17275R102    2813105      43656   X                            40846          0       2810
CISCO SYS INC COM                        17275R102    3136971      48682               X                48682          0          0
CITIGROUP INC COM                        172967101     680628      14329               X                14329          0          0
COCA-COLA CO COM                         191216100      62000       1000   X                             1000          0          0
COCA-COLA CO COM                         191216100    2060074      33227               X                27227          0       6000
COMCAST CORP CL A SPL                    200300200     405521      10550   X                             5750          0       4800
COMCAST CORP CL A SPL                    200300200     128806       3351               X                 3351          0          0
COMPAQ COMPUTER CORP COM                 204493100     194834       8225   X                             8225          0          0
COMPAQ COMPUTER CORP COM                 204493100      59812       2525               X                 1525          0       1000
CONSOLIDATED EDISON INC                  209115104     166294       3675   X                             3675          0          0
CONSOLIDATED EDISON INC                  209115104     344579       7615               X                 1315          0       6300
COSTCO COMPANIES INC                     22160Q102     782616       9775   X                             8575          0       1200
COSTCO COMPANIES INC                     22160Q102     206563       2580               X                 2580          0          0
DELL COMPUTER CORP COM                   247025109     161024       4352   X                             4352          0          0
DELL COMPUTER CORP COM                   247025109     343989       9297               X                 9297          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103     212625      12600   X                            12600          0          0
DEVELOPERS DIVERSIFIED REALTY CORP       251591103     544843      32287               X                27287          0       5000
DISNEY WALT CO COM                       254687106     381311      12375   X                            12375          0          0
DISNEY WALT CO COM                       254687106     907689      29458               X                29458          0          0
DOMINION RES INC VA                      257470104      90394       2087   X                             2087          0          0
DOMINION RES INC VA                      257470104     195948       4524               X                 4524          0          0
DOW CHEM CO COM                          260543103     119897        945   X                              945          0          0
DOW CHEM CO COM                          260543103    1625649      12813               X                11263          0       1550
DREYFUS                                  261967103     135036      11551               X                11551          0          0
DU PONT E I DE NEMOURS & CO COM          263534109     124671       1825   X                             1825          0          0
DU PONT E I DE NEMOURS & CO COM          263534109    1287768      18851               X                12851          0       6000
DUN & BRADSTREET CORP DEL                26483B106      13821        390   X                              390          0          0
DUN & BRADSTREET CORP DEL                26483B106     360121      10162               X                 2662          0       7500
ELF AQUITAINE SPONSORED ADR              286269105     294252       4000               X                    0          0       4000
EMERSON ELEC CO COM                      291011104     169933       2700   X                             2700          0          0
EMERSON ELEC CO COM                      291011104    1239375      19692               X                18276          0       1416
ERICSSON L M TEL CO                      294821400      36232       1100   X                             1100          0          0
ERICSSON L M TEL CO                      294821400     197628       6000               X                 6000          0          0
EXXON CORP COM                           302290101     323617       4196   X                             4196          0          0
EXXON CORP COM                           302290101    6169692      79996               X                58596          0      21400
FPL GROUP INC COM                        302571104      68281       1250   X                             1250          0          0
FPL GROUP INC COM                        302571104     507084       9283               X                 9283          0          0
FANNIE MAE COM                           313586109     346369       5075   X                             3675          0       1400
FANNIE MAE COM                           313586109     824119      12075               X                12075          0          0
FIDELITY CAPITAL & INCOME FD             316062108     169280      16962               X                16962          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              30992653     550685                               470949          0      79736
</TABLE>


<PAGE>   233

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   251
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

FIDELITY                                 316069103     483478      26741               X                16009          0      10732
FIDELITY                                 316389204     286542       5879               X                 5879          0          0
FIRST UNION CORP COM                     337358105     266539       5656               X                 2656          0       3000
FIRSTMERIT CORP COM                      337915102     252567       9000               X                    0          0       9000
FLAG INVS TEL INCOME FD INC COM CL A     338331101    1047586      25982               X                25982          0          0
FLEET FINL GROUP INC NEW COM             338915101     215219       4850               X                 4850          0          0
FORD MOTOR CO DEL COM                    345370100      98767       1750   X                             1750          0          0
FORD MOTOR CO DEL COM                    345370100     509635       9030               X                 4030          0       5000
FORT JAMES CORP                          347471104     374925       9899   X                             9899          0          0
FORT JAMES CORP                          347471104      52078       1375               X                 1375          0          0
FORTUNE BRANDS INC                       349631101     343413       8300               X                 2300          0       6000
FOUNDERS FD INC                          350553202     304543      25024               X                25024          0          0
FRANKLIN RES INC COM                     354613101     365625       9000               X                 9000          0          0
GTE CORP COM                             362320103     269158       3565   X                             3565          0          0
GTE CORP COM                             362320103    1195694      15837               X                11297          0       4540
GAP INC COM                              364760108      56672       1125   X                             1125          0          0
GAP INC COM                              364760108     271874       5397               X                 5397          0          0
GENERAL ELEC CO COM                      369604103     826143       7311   X                             6411          0        900
GENERAL ELEC CO COM                      369604103    8170013      72301               X                64372          0       7929
GENERAL MILLS INC COM                    370334104     128600       1600   X                             1600          0          0
GENERAL MILLS INC COM                    370334104     246349       3065               X                 3065          0          0
GENUINE PARTS CO COM                     372460105     413420      11812               X                11812          0          0
GILLETTE CO COM                          375766102     106682       2602   X                             2602          0          0
GILLETTE CO COM                          375766102     255553       6233               X                 5783          0        450
GOVERNMENT SECS INCOME FD UNIT GNMA      383744166       2027      22780               X                22780          0          0
GOVERNMENT SECS INCOME FD UNIT GNMA      383744240       6619      63040               X                63040          0          0
GOVERNMENT SECS INCOME FD UNIT           383744331       2646      37263               X                37263          0          0
GOVERNMENT SECS INCOME FD UNIT GNMA      383744497       4191      44589               X                44589          0          0
HARLEY DAVIDSON INC COM                  412822108     778106      14310   X                            12310          0       2000
HARLEY DAVIDSON INC COM                  412822108     443156       8150               X                 8150          0          0
HEALTH CARE REIT INC                     42217K106     232500      10000               X                10000          0          0
HEINZ H J CO COM                         423074103    1268914      25315               X                20365          0       4950
HEWLETT PACKARD CO COM                   428236103     171353       1705   X                             1705          0          0
HEWLETT PACKARD CO COM                   428236103     422100       4200               X                 4200          0          0
HOME DEPOT INC COM                       437076102     744259      11550   X                             9100          0       2450
HOME DEPOT INC COM                       437076102    3120346      48424               X                48424          0          0
HUNTINGTON BANCSHARES INC COM            446150104     295680       8448               X                 8448          0          0
INTEL CORP COM                           458140100    1683434      28293   X                            26393          0       1900
INTEL CORP COM                           458140100    1994381      33519               X                33519          0          0
INTERNATIONAL BUSINESS MACHS CORP        459200101     910696       7046   X                             5546          0       1500
INTERNATIONAL BUSINESS MACHS CORP        459200101    1199182       9278               X                 9278          0          0
INTERPUBLIC GROUP COS INC COM            460690100     139640       1612   X                             1612          0          0
INTERPUBLIC GROUP COS INC COM            460690100     311763       3599               X                 3599          0          0
JANUS FUND INCORPORATED                  471023101     537863      13380               X                    0          0      13380
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              30809931     669835                               596104          0      73731
</TABLE>


<PAGE>   234

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   252
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

JOHNSON & JOHNSON COM                    478160104     450800       4600   X                             3100          0       1500
JOHNSON & JOHNSON COM                    478160104     836430       8535               X                 8535          0          0
KELLOGG CO COM                           487836108     502920      15240               X                 9850          0       5390
KEMPER SMALL CAPITALIZTION EQUITY FD     488421108      62125      10102               X                10102          0          0
KEYCORP NEW COM                          493267108    2492418      77585               X                48115          0      29470
KROGER CO COM                            501044101     293349      10500   X                            10500          0          0
KROGER CO COM                            501044101      16819        602               X                  602          0          0
LILLY ELI & CO COM                       532457108     408406       5702   X                             3900          0       1802
LILLY ELI & CO COM                       532457108    1156815      16151               X                16151          0          0
LUBRIZOL CORP COM                        549271104      31338       1150   X                             1150          0          0
LUBRIZOL CORP COM                        549271104     480990      17651               X                17651          0          0
LUCENT TECHNOLOGIES INC COM              549463107     736710      10924   X                             7924          0       3000
LUCENT TECHNOLOGIES INC COM              549463107     909385      13485               X                13485          0          0
MCI WORLDCOM INC                         55268B106     749609       8710   X                             6710          0       2000
MCI WORLDCOM INC                         55268B106     862868      10026               X                10026          0          0
MFS SER TR IV                            552987505     153437      14585               X                14585          0          0
MARSH & MCLENNAN COS INC                 571748102     425745       5625   X                             5625          0          0
MARSH & MCLENNAN COS INC                 571748102    1271785      16803               X                16803          0          0
MASCO CORP                               574599106     261319       9050   X                             9050          0          0
MASCO CORP                               574599106     301744      10450               X                 9050          0       1400
MAXIM INTEGRATED PRODS INC               57772K101     209542       3151   X                              651          0       2500
MCDONALDS CORP                           580135101     329000       8000   X                             5400          0       2600
MCDONALDS CORP                           580135101     785488      19100               X                19100          0          0
MEDIAONE GROUP INC                       58440J104     119000       1600   X                             1600          0          0
MEDIAONE GROUP INC                       58440J104     307913       4140               X                 4140          0          0
MEDTRONIC INC                            585055106     737944       9476   X                             7326          0       2150
MEDTRONIC INC                            585055106     224358       2881               X                 2881          0          0
MERCK & CO INC                           589331107     926203      12580   X                            11080          0       1500
MERCK & CO INC                           589331107    2856208      38794               X                38794          0          0
MICROSOFT CORP                           594918104    2082441      23090   X                            21590          0       1500
MICROSOFT CORP                           594918104    1949865      21620               X                21620          0          0
MINNESOTA MNG & MFG CO                   604059105      69550        800   X                              800          0          0
MINNESOTA MNG & MFG CO                   604059105     524845       6037               X                 4237          0       1800
MOBIL CORP                               607059102     182688       1850   X                             1850          0          0
MOBIL CORP                               607059102    1231906      12475               X                 8475          0       4000
MONSANTO CO                              611662107     160230       4050   X                             4050          0          0
MONSANTO CO                              611662107     248258       6275               X                 5650          0        625
MSDW TAX EXEMPT SECURITIES I             616977401     176704      15299               X                15299          0          0
NATIONAL CITY CORP                       635405103    1486850      22700   X                            22700          0          0
NATIONAL CITY CORP                       635405103   14560519     222298               X                29805          0     192493
NESTLE S A                               641069406     153150       1700   X                             1700          0          0
NESTLE S A                               641069406     569356       6320               X                 6320          0          0
NEWELL RUBBERMAID INC                    651229106      71881       1550   X                             1550          0          0
NEWELL RUBBERMAID INC                    651229106     135693       2926               X                 2926          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              42504604     716188                               462458          0     253730
</TABLE>


<PAGE>   235

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   253
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

NORTHERN TR CORP                         665859104      77600        800   X                              800          0          0
NORTHERN TR CORP                         665859104     630500       6500               X                  500          0       6000
NUVEEN MUNICIPAL VALUE FD                670928100     204433      22250               X                22250          0          0
PNC BK CORP                              693475105     377329       6548               X                 6548          0          0
PPG INDS INC                             693506107      40163        680   X                              680          0          0
PPG INDS INC                             693506107     472504       8000               X                    0          0       8000
PEOPLES BANCORP INC                      709789101     341220      12408               X                    0          0      12408
PEPSICO INC                              713448108     644155      16650   X                            16650          0          0
PEPSICO INC                              713448108    2065011      53376               X                49376          0       4000
PFIZER INC                               717081103     977839       8971   X                             8271          0        700
PFIZER INC                               717081103    3422927      31403               X                28403          0       3000
PHILIP MORRIS COS INC                    718154107      45814       1140   X                             1140          0          0
PHILIP MORRIS COS INC                    718154107     248161       6175               X                 6175          0          0
PITNEY BOWES INC                         724479100     693900      10800   X                            10800          0          0
PITNEY BOWES INC                         724479100    2045720      31840               X                31840          0          0
PROCTER & GAMBLE CO COM                  742718109     582803       6530   X                             5030          0       1500
PROCTER & GAMBLE CO COM                  742718109    4562549      51121               X                51121          0          0
PROGRESSIVE CORP OHIO                    743315103     485750       3350   X                             1750          0       1600
PROGRESSIVE CORP OHIO                    743315103     605375       4175               X                 4175          0          0
PROVIDIAN FINL CORP                      74406A102     527329       5655   X                             5655          0          0
PROVIDIAN FINL CORP                      74406A102     403306       4325               X                 4325          0          0
QUAKER OATS CO COM                       747402105     306984       4625               X                 1250          0       3375
REUTERS GROUP PLC-SPONS ADR              76132M102     145913       1800   X                             1800          0          0
REUTERS GROUP PLC-SPONS ADR              76132M102     359677       4437               X                 4437          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     126525       2100   X                             2100          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     729025      12100               X                12100          0          0
SBC COMMUNICATIONS INC COM               78387G103     287100       4950   X                             4950          0          0
SBC COMMUNICATIONS INC COM               78387G103    2774140      47830               X                44230          0       3600
SAFEWAY INC COM NEW                      786514208     232650       4700   X                             3500          0       1200
SARA LEE CORP COM                        803111103      74870       3300   X                             3300          0          0
SARA LEE CORP COM                        803111103     653755      28815               X                28815          0          0
SCHERING-PLOUGH CORP COM                 806605101      76125       1450   X                             1450          0          0
SCHERING-PLOUGH CORP COM                 806605101    2532495      48238               X                48238          0          0
SCHLUMBERGER LTD COM                     806857108     216539       3400   X                             1950          0       1450
SCHLUMBERGER LTD COM                     806857108     143362       2251               X                 2251          0          0
SERVICEMASTER CO COM                     81760N109     284756      15187               X                15187          0          0
SMUCKER J M CO CL A                      832696108     623000      28000               X                28000          0          0
SOUTHWEST AIRLINES CO COM                844741108     514527      16531               X                16531          0          0
SPRINT CORP COM                          852061100      76850       1450   X                             1450          0          0
SPRINT CORP COM                          852061100     249100       4700               X                  700          0       4000
SPRINT CORP                              852061506     148200       2600   X                              600          0       2000
SPRINT CORP                              852061506      59850       1050               X                   50          0       1000
STRONG                                   862912102     145755      13533               X                13533          0          0
SUN CMMNTYS INC COM                      866674104      72775       2050   X                             2050          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              30288361     547794                               493961          0      53833
</TABLE>


<PAGE>   236

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   254
                                                                           SEC USE ONLY________________________________________
 ITEM 1                 ITEM 2           ITEM 3        ITEM 4     ITEM 5       ITEM 6         ITEM 7                ITEM 8
 NAME OF ISSUER      TITLE OF CLASS   CUSIP/TICKER     MARKET      SH/PV    INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-               SOLE     SHARED      NONE
 A. COMMON STOCK                                                                INSTR  OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
    COMMON STOCK
    ---------------------

SUN CMMNTYS INC COM                      866674104     175725       4950               X                 4950          0          0
SUN MICROSYSTEMS INC COM                 866810104    1711544      24850   X                            21300          0       3550
SUN MICROSYSTEMS INC COM                 866810104     847300      12302               X                12302          0          0
T R W INC COM                            872649108     729838      13300               X                13300          0          0
TANDY CORP COM                           875382103     454538       9300   X                             9300          0          0
TANDY CORP COM                           875382103      83088       1700               X                 1700          0          0
TELLABS INC COM                          879664100     554017       8200   X                             6000          0       2200
TEXAS INSTRS INC COM                     882508104     730800       5075   X                             3675          0       1400
TEXAS INSTRS INC COM                     882508104     432000       3000               X                    0          0       3000
THOMAS REALTY COMPANY                    883996100     949424         60               X                    0          0         60
TIME WARNER INC COM                      887315109     384985       5301   X                             2701          0       2600
TIME WARNER INC COM                      887315109      83519       1150               X                 1150          0          0
TRICON GLOBAL RESTAURANTS                895953107     121890       2252   X                             2252          0          0
TRICON GLOBAL RESTAURANTS                895953107     169953       3140               X                 3140          0          0
TYCO INTL LTD NEW                        902124106     422869       4463   X                             2961          0       1502
TYCO INTL LTD NEW                        902124106     118438       1250               X                 1250          0          0
US BANCORP NEW COM                       902973106     349436      10470               X                10470          0          0
U S WEST INC NEW                         91273H101     432694       7365   X                             7365          0          0
U S WEST INC NEW                         91273H101     699301      11903               X                10703          0       1200
UNITED TECHNOLOGIES CORP COM             913017109     536400       7450   X                             6700          0        750
UNITED TECHNOLOGIES CORP COM             913017109     219672       3051               X                 3051          0          0
VANGUARD WINDSOR FUND INC                922018106     219449      12078               X                12078          0          0
WACHOVIA CORP COM                        929771103     509100       5950   X                             5950          0          0
WACHOVIA CORP COM                        929771103     892679      10433               X                10433          0          0
WAL MART STORES INC                      931142103     322310       6680   X                             4480          0       2200
WAL MART STORES INC                      931142103    2036247      42202               X                42202          0          0
WARNER LAMBERT CO COM                    934488107     133066       1925   X                              425          0       1500
WARNER LAMBERT CO COM                    934488107     932980      13497               X                 5997          0       7500
WELLS FARGO & CO NEW                     949746101    1115348      26090   X                            26090          0          0
WELLS FARGO & CO NEW                     949746101    1588590      37160               X                33160          0       4000
XEROX CORP COM                           984121103     561217       9502   X                             6702          0       2800
XEROX CORP COM                           984121103     630734      10679               X                10679          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                              19149151     316728                               282466          0      34262
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR COMMON STOCK                          236906466    6796172                              5587161          0    1209009
</TABLE>


<PAGE>   237

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   255
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
B. PREFERRED STOCK                                                             INSTR OTHER
            PREFERRED STOCK
            ------------------------------
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>

                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                     0          0                                    0          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR PREFERRED STOCK                               0          0                                    0          0          0

</TABLE>

<PAGE>   238

<TABLE>
<CAPTION>

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   256
                                                                           SEC USE ONLY________________________________________
ITEM 1                 ITEM 2            ITEM 3        ITEM 4     ITEM 5      ITEM 6        ITEM 7                ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER     MARKET      SH/PV   INVEST  AUTH       MNGR          VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-               SOLE     SHARED       NONE
C. OTHER                                                                       INSTR OTHER
<S>                                   <C>           <C>        <C>        <C>   <C>    <C>    <C>    <C>            <C>     <C>
            OTHER
            ------------------------------

MEDITRUST CONV DEB                       58501TAC2      18900      20000               X                20000          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                                 18900      20000                                20000          0          0
                                                    ---------   --------                            ---------  ---------  ---------
SUBTOTALS FOR OTHER                                     18900      20000                                20000          0          0
</TABLE>


<PAGE>   239

<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 08/11/99 AS OF 06/30/99                 DEPT ID# 076             PAGE   257
**SUMMARY PAGE FOR: 76-NATIONAL CITY TRUST COMPANY      **
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                 <C>        <C>                                   <C>            <C>     <C>
A. COMMON STOCK                                     236906466    6796172                              5587161          0    1209009
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                                18900      20000                                20000          0          0
                                                    ---------   --------                            ---------  ---------  ---------
**GRAND TOTALS**                                    236925366    6816172                              5607161          0    1209009
</TABLE>


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