NATIONAL CITY CORP
13F-HR/A, 1999-05-17
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: December 31, 1998

                (Please read instructions before preparing form)

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

<TABLE>
<S>                                                                    <C>
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).
</TABLE>

         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 17th day
of May, 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.:         Name:                                          13F File No.:
<S>                                                              <C>
1.   National City, Cleveland                    28-1479          8.  National City, Pennsylvania                     28-1479
     -----------------------------------------------------------    ---------------------------------------------------------

2.   National City, Columbus                     28-1479          9.  National City, Michigan/Illinois                28-1479
     -----------------------------------------------------------    ---------------------------------------------------------

3.   National City, Dayton                       28-1479         10. National City Southern Indiana                   28-1479
     -----------------------------------------------------------     --------------------------------------------------------

4.   National City, Indiana                      28-1479         11.  National City Trust Company, Florida            28-1479
     -----------------------------------------------------------     --------------------------------------------------------

5.   National City, Kentucky                     28-1479         12.
     -----------------------------------------------------------     --------------------------------------------------------

6.   National City, Northeast                    28-1479         13.
     -----------------------------------------------------------     --------------------------------------------------------

7.   National City, Northwest                    28-1479         14.
     -----------------------------------------------------------     --------------------------------------------------------
</TABLE>

<PAGE>   2



                             Form 13F SUMMARY PAGE


Report Summary:  National City Corporation 12-31-98 Amendment

Number of Other Included Managers:       None
                                         ------
Form 13F Information Table Entry Total:  10,076
                                         ------

Form 13F Information Table Value Total:  $32,178,153,630
                                         ---------------
                                           (thousands)

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.]

   No.     Form 13F File Number            Name

   1       28-1479                         National City
           -------                         -------------

   [Repeat as necessary.]
         
<PAGE>   3
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 1

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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      96928       1009   X                             1009          0          0
 DAIMLERCHRYSLER AG                       D1668R123     645447       6719               X                 6719          0          0
 GRUPO FINANCIERO BANCOMER                P4949K138      10768      20000               X                20000          0          0
 INCOME ADVANTAGE FUND (LASALLE BANK)     000520999     181089     181089   X                           181089          0          0
 ACM GOVT SECS FD INC COM                 000914101      86263      10300               X                10300          0          0
 AFLAC INC COM                            001055102     605212      13794   X                              194          0      13600
 AFLAC INC COM                            001055102     367190       8369               X                 7700          0        669
 AT&T CORP COM                            001957109    4989122      65863   X                            65773          0         90
 AT&T CORP COM                            001957109   10412747     137462               X               130494        662       6306
 ARV ASSISTED LIVING INC                  00204C107      61250      10000               X                10000          0          0
 ABBOTT LABS COM                          002824100   55106429    1124621   X                          1121601          0       3020
 ABBOTT LABS COM                          002824100  164876131    3364819               X              3262189       4020      98610
 A C NIELSON                              004833109     129216       4574   X                             4574          0          0
 A C NIELSON                              004833109     473837      16773               X                16740          0         33
 ACORN INVT TR                            004851101    1737122     103093   X                           103093          0          0
 ADVANCED LTG TECHNOLOGIES                00753C102    2621941     268917               X               268917          0          0
 AEGON N V ORD AMER REG (NLG)             007924103    7578400      61991   X                            61211          0        780
 AEGON N V ORD AMER REG (NLG)             007924103   20782989     170004               X               158672        520      10812
 AETNA INC COM NEW                        008117103     147029       1870   X                             1870          0          0
 AETNA INC COM NEW                        008117103     768717       9777               X                 7577          0       2200
 AIM SPL OPPORTUNITIES FD                 008883100     375510      31985               X                31985          0          0
 AIR PRODS & CHEMS INC COM                009158106     226400       5660   X                             5660          0          0
 AIR PRODS & CHEMS INC COM                009158106     252800       6320               X                 6320          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100    2110554      29136   X                            29136          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100    5440384      75104               X                74188        500        416
 AKZO NOBEL NV ADR                        010199305     267750       6000               X                    0          0       6000
 ALBERTSONS INC COM                       013104104    3160835      49630   X                            47130          0       2500
 ALBERTSONS INC COM                       013104104    4070937      63920               X                62920       1000          0
 ALERT STAMPING & MFG CO                  0144689A2     445081         34               X                   34          0          0
 ALLEGHENY ENERGY INC                     017361106     378189      10962   X                            10962          0          0
 ALLEGHENY ENERGY INC                     017361106     520743      15094               X                15094          0          0
 ALLIANCE CAP MGMT L P                    018548107     515000      20000               X                20000          0          0
 ALLIANCE GROWTH & INCOME FD INC COM      018597104      48398      14028               X                14028          0          0
 ALLIANCE PREMIER GROWTH FD               01877C101     383587      12676   X                            12676          0          0
 ALLIED CAP CORP NEW                      01903Q108     173130      10000               X                10000          0          0
 ALLIED SIGNAL INC COM                    019512102     723543      16328   X                            16328          0          0
 ALLIED SIGNAL INC COM                    019512102    1646848      37164               X                29278          0       7886
 ALLSTATE CORP COM                        020002101     998767      25942   X                            25942          0          0
 ALLSTATE CORP COM                        020002101     678216      17616               X                17616          0          0
 ALLTEL CORP COM                          020039103    1507766      25208   X                            25208          0          0
 ALLTEL CORP COM                          020039103    1951280      32623               X                27651          0       4972
 ALSPAUGH & CO INC                        021299904     672455        350               X                  350          0          0
 ALTERA CORP COM                          021441100     462650       7600   X                                0          0       7600
 ALTERA CORP COM                          021441100     243500       4000               X                 4000          0          0
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             298932150    6098424                              5926228       6702     165494
</TABLE>


<PAGE>   4
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 2

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ALUMINUM CO OF AMERICA COM               022249106     379675       5092   X                              242          0       4850
 ALUMINUM CO OF AMERICA COM               022249106     318906       4277               X                 4277          0          0
 AMERICA ONLINE INC DEL COM               02364J104      93075        600   X                              600          0          0
 AMERICA ONLINE INC DEL COM               02364J104     170638       1100               X                 1000          0        100
 AMERICAN BALANCED FUND                   024071102     188427      11956               X                11956          0          0
 AMERICAN ELEC PWR INC COM                025537101     376504       8000   X                             8000          0          0
 AMERICAN ELEC PWR INC COM                025537101     737430      15669               X                15457         82        130
 AMERICAN EXPRESS CO COM                  025816109    1733070      16908   X                            16908          0          0
 AMERICAN EXPRESS CO COM                  025816109    3924623      38289               X                38289          0          0
 AMERICAN GEN CORP COM                    026351106    3102060      39770   X                            34010          0       5760
 AMERICAN GEN CORP COM                    026351106   12550590     160905               X               158713          0       2192
 AMERICAN GREETINGS CORP CL A             026375105      20532        500   X                              500          0          0
 AMERICAN GREETINGS CORP CL A             026375105     687559      16744               X                15344          0       1400
 AMERICAN HOME PRODS CORP COM             026609107   16744277     297016   X                           294915          0       2101
 AMERICAN HOME PRODS CORP COM             026609107   42059753     746071               X               693173       1600      51298
 AMERICAN INTL GROUP INC COM              026874107   26654973     275860   X                           266905          0       8955
 AMERICAN INTL GROUP INC COM              026874107   90443320     936024               X               916824          0      19200
 AMERICAN MUN TERM TR INC II COM          027653104     942385      81500               X                81500          0          0
 AMERICAN MUNI III                        027654102     645972      57100               X                57100          0          0
 AMERICAN SUPERCONDUCTOR CORP             030111108     246000      24000               X                    0          0      24000
 AMERICAN WTR WKS INC COM                 030411102     148500       4400   X                             4400          0          0
 AMERICAN WTR WKS INC COM                 030411102     143438       4250               X                 4250          0          0
 AMERITECH CORP NEW COM                   030954101   17451954     275376   X                           275376          0          0
 AMERITECH CORP NEW COM                   030954101   29525208     465881               X               452702       2339      10840
 AMGEN INC COM                            031162100     797502       7627   X                             7627          0          0
 AMGEN INC COM                            031162100    2281460      21819               X                21119          0        700
 AMP INC COM                              031897101    5428245     104263   X                           101123          0       3140
 AMP INC COM                              031897101   17196461     330301               X               315059       1745      13497
 AMOCO CORP COM                           031905102   11686343     195179   X                           195179          0          0
 AMOCO CORP COM                           031905102   31387792     524222               X               519992        630       3600
 AMSOUTH BANCORPORATION COM               032165102     366369       8030   X                              450          0       7580
 ANADARKO PETE CORP COM                   032511107     234650       7600   X                             7600          0          0
 ANADARKO PETE CORP COM                   032511107     802750      26000               X                    0          0      26000
 ANHEUSER BUSCH                           035229103    1264003      19261   X                            19261          0          0
 ANHEUSER BUSCH                           035229103    7657322     116683               X               115783          0        900
 APPLIED MATLS INC COM                    038222105     403828       9460   X                              160          0       9300
 APPLIED MATLS INC COM                    038222105     639552      14982               X                14782          0        200
 APPLIED TECHNOLOGY VENTURES INC COM      0382839A7     274000      10960               X                10960          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102      13734        802   X                              802          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102    1559968      91093               X                90843          0        250
 ARDEN RLTY INC COM                       039793104     141447       6100   X                             6100          0          0
 ARDEN RLTY INC COM                       039793104     190721       8225               X                 7225          0       1000
 ARMADA MONEY MARKET FUND                 042086108    1110874    1110874   X                          1110874          0          0
 ARMADA FDS                               042086272   15429407    1469467   X                          1466226          0       3242
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             348155297    7570236                              7363606       6396     200235
</TABLE>


<PAGE>   5
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 3

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 GOVERNMENT MONEY MKT              042086306    2765250    2765250   X                          1816494          0     948756
 ARMADA TAX MANAGED EQUITY FD #233        042086330   44498274    3720591   X                          3701310          0      19282
 ARMADA TAX MANAGED EQUITY FD #233        042086330   25770769    2154747               X              1775836          0     378910
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    9286613     917649   X                           913551          0       4098
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    5202140     514045               X               473503          0      40542
 ARMADA SMALL CAP GROWTH FUND #519        042086579    6280356     552362   X                           546502          0       5860
 ARMADA SMALL CAP GROWTH FUND #519        042086579    1635955     143883               X               142455          0       1429
 ARMADA CORE EQUITY FUND #681             042086595      26668       2050   X                             2050          0          0
 ARMADA CORE EQUITY FUND #681             042086595     120781       9284               X                 9284          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    9449033     852801   X                           839214          0      13587
 ARMADA INTERNATIONAL EQUITY FD           042086629   10927674     986252               X               974647          0      11605
 ARMADA EQUITY INDEX FUND #42             042086645   72182295    6771322   X                          6736769          0      34554
 ARMADA GNMA INSTL CL #666                042086660   11982435    1161089   X                          1161089          0          0
 ARMADA GNMA INSTL CL #666                042086660    1642138     159122               X               159122          0          0
 ARMADA BOND FD INSTL CL #630             042086686  156320768   15088877   X                         15019665          0      69212
 ARMADA BOND FD INSTL CL #630             042086686   14146335    1365476               X              1348492       6547      10438
 ARMADA PA MUN FD INSTL CL #629           042086710     132435      12541   X                            12541          0          0
 ARMADA PA MUN FD INSTL CL #629           042086710      48775       4619               X                 4619          0          0
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   13142737    1172412   X                          1172412          0          0
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   43410479    3872478               X              3806707        427      65345
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777   22092713    2110097   X                          2034946          0      75151
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    6949431     663747               X               613131       1374      49242
 ARMADA INTERMEDIATE BD FUND              042086793   38515393    3589505   X                          3521027          0      68478
 ARMADA INTERMEDIATE BD FUND              042086793   11036703    1028584               X               977052       5733      45798
 ARMADA ENHANCED INCOME FUND              042086827    1968258     195070   X                           188026          0       7044
 ARMADA ENHANCED INCOME FUND              042086827     440747      43682               X                43682          0          0
 ARMADA SMALL CAP VALUE FUND #616         042086843   45769998    3493893   X                          3426968          0      66925
 ARMADA SMALL CAP VALUE FUND #616         042086843   15109657    1153409               X              1111579       3259      38572
 ARMADA EQUITY INCOME FUND #614           042086868   42292142    2430583   X                          2388801          0      41781
 ARMADA EQUITY INCOME FUND #614           042086868    9762367     561056               X               544870       5012      11173
 ARMADA EQUITY GROWTH FUND                042086884  373521965   15428417   X                         15261614          0     166803
 ARMADA EQUITY GROWTH FUND                042086884   24502815    1012095               X               959668      28239      24188
 ARMADA FUNDS MONEY MARKET PORTFOLIO      042086983  115368829  115368829   X                        115368829          0          0
 ARTHUR TREACHERS INC COM                 042901306     100000     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
 ASSOCIATES FIRST CAP CORP COM            046008108    1523975      35964   X                            26124          0       9840
 ASSOCIATES FIRST CAP CORP COM            046008108    1318413      31113               X                29869        196       1048
 ATLANTIC RICHFIELD CO COM                048825103     948591      14510   X                            14510          0          0
 ATLANTIC RICHFIELD CO COM                048825103    5340157      81685               X                74285        500       6900
 AUTOLIV INC                              052800109     210744       5667   X                             5667          0          0
 AUTOLIV INC                              052800109    1841624      49522               X                48347          0       1175
 AUTOMATIC DATA PROCESSING INC COM        053015103   32624087     406845   X                           392035          0      14810
 AUTOMATIC DATA PROCESSING INC COM        053015103   88186192    1099743               X              1074653       1000      24090
                                                    ----------  ---------                            ---------      -----    -------
 SUBTOTALS FOR THIS PAGE                            1272474921  191212322                            188891851      52287    2268186
</TABLE>


<PAGE>   6
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 4

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 AVALONBAY CMNTYS INC                     053484101    1861762      54358   X                            53014          0       1344
 AVALONBAY CMNTYS INC                     053484101    4097944     119648               X               116231          0       3417
 AVERY DENNISON CORP COM                  053611109    3180366      70576   X                            70576          0          0
 AVERY DENNISON CORP COM                  053611109     168986       3750               X                 3750          0          0
 AVON PRODS INC COM                       054303102      21240        480   X                              480          0          0
 AVON PRODS INC COM                       054303102     274350       6200               X                 4200          0       2000
 BT INVT FDS                              055922868     600977      24854               X                24854          0          0
 BAKER HUGHES INC COM                     057224107     270191      15330   X                            15330          0          0
 BAKER HUGHES INC COM                     057224107     384102      21793               X                21193          0        600
 BANK NEW YORK INC COM                    064057102      68425       1700   X                             1700          0          0
 BANK NEW YORK INC COM                    064057102     281750       7000               X                 7000          0          0
 BANK ONE CORP COM                        06423A103    4782459      93658   X                            76357      11446       5855
 BANK ONE CORP COM                        06423A103   11025820     215926               X               208345        121       7460
 BANKAMERICA CORP NEW                     06605F102    2386842      39698   X                            22726      16972          0
 BANKAMERICA CORP NEW                     06605F102    2971077      49415               X                49302          0        113
 BANKBOSTON CORP                          06605R106     175221       4500   X                             4500          0          0
 BANKBOSTON CORP                          06605R106      70244       1804               X                 1362        442          0
 BANKERS TRUST CORP COM                   066365107     732204       8570   X                             8570          0          0
 BANKERS TRUST CORP COM                   066365107     783125       9166               X                 8566          0        600
 BARD C R INC COM                         067383109     222750       4500   X                             4500          0          0
 BARD C R INC COM                         067383109     658350      13300               X                13300          0          0
 BELL ATLANTIC CORP COM                   077853109    2512026      46519   X                            46519          0          0
 BELL ATLANTIC CORP COM                   077853109    9730530     180195               X               171963        670       7562
 BELLSOUTH CORP COM                       079860102   17328969     347448   X                           334508          0      12940
 BELLSOUTH CORP COM                       079860102   28290746     567233               X               553227        958      13048
 BEMIS INC COM                            081437105     456204      12025   X                            12025          0          0
 BEMIS INC COM                            081437105    1122965      29600               X                24800          0       4800
 BERKSHIRE HATHAWAY INC DEL               084670108      68300          1   X                                1          0          0
 BERKSHIRE HATHAWAY INC DEL               084670108     136600          2               X                    2          0          0
 BERKSHIRE RLTY INC COM                   084710102       5700        600   X                              600          0          0
 BERKSHIRE RLTY INC COM                   084710102      94525       9950               X                 9950          0          0
 BEST FOODS                               08658U101    1834143      34444   X                            34444          0          0
 BEST FOODS                               08658U101    3498312      65696               X                64896          0        800
 BILOXI MARSH LANDS CORP CAP              090203100      76736      10770               X                10770          0          0
 BIOMEC INC                               0906099A8     100000      10000               X                10000          0          0
 BIOMET INC COM                           090613100      45080       1120   X                             1120          0          0
 BIOMET INC COM                           090613100     167118       4152               X                 4152          0          0
 BLACKROCK INCOME TR INC COM              09247F100     117946      17000               X                17000          0          0
 BOEING CO COM                            097023105    1065174      32649   X                            29789          0       2860
 BOEING CO COM                            097023105    2062259      63211               X                51929          0      11282
 BORDERS GROUP INC COM                    099709107     547140      21940   X                            21940          0          0
 BORDERS GROUP INC COM                    099709107    1897782      76100               X                76100          0          0
 BOYKIN LODGING CO COM                    103430104     254925      20600               X                  600          0      20000
 BRANDYWINE FD INC COM                    10532D107     172782       5706   X                             5706          0          0
                                                     ---------    -------                              -------      -----      -----
 SUBTOTALS FOR THIS PAGE                             106604147    2323187                              2197897      30609      94681
</TABLE>


<PAGE>   7
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 5

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BRANDYWINE FD INC COM                    10532D107      45204       1493               X                 1493          0          0
 BRIGHTPOINT INC COM                      109473108      88000       6400   X                             5800          0        600
 BRIGHTPOINT INC COM                      109473108     129456       9415               X                 9415          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108   94176251     703790   X                           696834          0       6956
 BRISTOL MYERS SQUIBB CO COM              110122108  275908666    2061897               X              2032931        600      28366
 BRITISH PETROLEUM LTD AMERN SHS          110889409     176963       1950   X                             1950          0          0
 BRITISH PETROLEUM LTD AMERN SHS          110889409    1531134      16872               X                12560          0       4312
 BROWNING FERRIS INDS INC COM             115885105    4394211     154519   X                           148719          0       5800
 BROWNING FERRIS INDS INC COM             115885105   11256244     395817               X               376949          0      18868
 BURLINGTON NORTHERN SANTA FE CORP        12189T104      20550        600   X                              600          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     284104       8295               X                 8295          0          0
 BURLINGTON RES INC COM                   122014103       1003         28   X                               28          0          0
 BURLINGTON RES INC COM                   122014103     239016       6674               X                 6674          0          0
 CBS CORP                                 12490K107      40688       1240   X                             1240          0          0
 CBS CORP                                 12490K107     238583       7271               X                 7271          0          0
 CGM TR MUT FD                            125325100     276193      10478               X                10478          0          0
 CIGNA CORP COM                           125509109    1006847      13023   X                            13023          0          0
 CIGNA CORP COM                           125509109    3392494      43880               X                43292        150        438
 CSX CORP COM                             126408103     215883       5202   X                             5202          0          0
 CSX CORP COM                             126408103    1717851      41394               X                22762          0      18632
 CVS CORPORATION (DEL)                    126650100    3652550      66410   X                            54560          0      11850
 CVS CORPORATION (DEL)                    126650100    1803780      32796               X                32796          0          0
 CV THERAPEUTICS INC                      126667104      49875      10500               X                    0          0      10500
 CAMPBELL SOUP CO COM                     134429109     302500       5500   X                             5500          0          0
 CAMPBELL SOUP CO COM                     134429109    1555125      28275               X                17150          0      11125
 CARDINAL HEALTH INC COM                  14149Y108    1980262      26099   X                            25999          0        100
 CARDINAL HEALTH INC COM                  14149Y108     252891       3333               X                 2958          0        375
 CARNIVAL CORP COM                        143658102     492000      10250   X                             4550       5700          0
 CARNIVAL CORP COM                        143658102     679200      14150               X                14150          0          0
 CAROLINA PWR & LT CO COM                 144141108     259317       5510   X                             5510          0          0
 CAROLINA PWR & LT CO COM                 144141108     275789       5860               X                 5460          0        400
 CATERPILLAR INC COM                      149123101     860154      18699   X                            18699          0          0
 CATERPILLAR INC COM                      149123101     497720      10820               X                10820          0          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106     263432      10132   X                            10132          0          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106    2939378     113053               X                91353          0      21700
 CELL GENESYS INC                         150921104     132000      22000               X                    0          0      22000
 CENDANT CORP                             151313103     276890      14337               X                12337          0       2000
 CENTOCOR INC COM                         152342101      67688       1500   X                             1500          0          0
 CENTOCOR INC COM                         152342101     679131      15050               X                 9450          0       5600
 CENTRAL & SOUTHWEST CORP COM             152357109    1238140      45125   X                            45125          0          0
 CENTRAL & SOUTHWEST CORP COM             152357109    2208649      80496               X                80496          0          0
 CERIDIAN CORP COM                        15677T106    1949179      27920   X                            21010          0       6910
 CERIDIAN CORP COM                        15677T106      41888        600               X                  600          0          0
 CHAMPION INTL CORP COM                   158525105     238140       5880   X                                0          0       5880
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             417835019    4064533                              3875671       6450     182412
</TABLE>


<PAGE>   8
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 6

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CHARTER ONE FINL INC COM                 160903100      35603       1283   X                             1283          0          0
 CHARTER ONE FINL INC COM                 160903100    1274502      45928               X                45928          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108    2754587      38797   X                            31977          0       6820
 CHASE MANHATTAN CORP (NEW) COM           16161A108    2742588      38628               X                37894        232        502
 CHESTNUT STREET EXCHANGE                 166668103    4470369      12864               X                12864          0          0
 CHEVRON CORP COM                         166751107    6270113      75600   X                            75520          0         80
 CHEVRON CORP COM                         166751107   15414110     185851               X               181851        300       3700
 CHUBB CORP COM                           171232101    7720790     119240   X                           117040          0       2200
 CHUBB CORP COM                           171232101   24479515     378062               X               372789         50       5223
 CINCINNATI BELL INC COM                  171870108     544507      14400   X                            14400          0          0
 CINCINNATI BELL INC COM                  171870108      90751       2400               X                 2400          0          0
 CINCINNATI FINL CORP COM                 172062101    4109691     112210   X                           106087          0       6123
 CINCINNATI FINL CORP COM                 172062101    9712621     265191               X               259314          0       5877
 CISCO SYS INC COM                        17275R102   19011351     204835   X                           200905          0       3930
 CISCO SYS INC COM                        17275R102   46792603     504160               X               487318       3375      13467
 CINTAS CORP COM                          172908105    3038061      43131   X                            34491          0       8640
 CINTAS CORP COM                          172908105    3486329      49495               X                46845        650       2000
 CITIGROUP INC COM                        172967101    4343973      87425   X                            57973      22352       7100
 CITIGROUP INC COM                        172967101    2568770      51698               X                35823          0      15875
 CITIZENS BKG CORP MICH COM               174420109     600750      17800               X                17800          0          0
 CITIZENS UTILS CO DEL CL B               177342201      18376       2297   X                             2297          0          0
 CITIZENS UTILS CO DEL CL B               177342201     398960      49870               X                49870          0          0
 CLEVELAND CLIFFS INC COM                 185896107      21890        543   X                              543          0          0
 CLEVELAND CLIFFS INC COM                 185896107     527939      13096               X                 1396          0      11700
 CLEVELAND IGNITION CO COM                1861809A5      85282      10045               X                    0          0      10045
 CLOROX CO COM                            189054109     788488       6750   X                             6350          0        400
 CLOROX CO COM                            189054109    1002840       8585               X                 8585          0          0
 COASTAL CORP COM                         190441105     200213       5700               X                 5700          0          0
 COCA-COLA CO COM                         191216100   22558163     336689   X                           335114          0       1575
 COCA-COLA CO COM                         191216100   84476883    1260849               X              1230827          0      30022
 COLGATE-PALMOLIVE CO COM                 194162103    1311859      14125   X                            14125          0          0
 COLGATE-PALMOLIVE CO COM                 194162103    2520906      27143               X                25743          0       1400
 COMCAST CORP CL A SPL                    200300200    1888697      32182   X                            31982          0        200
 COMCAST CORP CL A SPL                    200300200    1917044      32665               X                32665          0          0
 COMERICA INC COM                         200340107    1770774      25969   X                            22199          0       3770
 COMERICA INC COM                         200340107      91099       1336               X                 1336          0          0
 COMMERCE BANCSHARES INC COM              200525103    2381743      56041               X                56041          0          0
 COMPAQ COMPUTER CORP COM                 204493100    4178538      99489   X                            96789          0       2700
 COMPAQ COMPUTER CORP COM                 204493100    8506848     202544               X               201684          0        860
 COMPUTER SCIENCES CORP COM               205363104      99588       1550   X                             1550          0          0
 COMPUTER SCIENCES CORP COM               205363104     632606       9846               X                 9846          0          0
 CONAGRA INC COM                          205887102      37800       1200   X                             1200          0          0
 CONAGRA INC COM                          205887102     844893      26822               X                26822          0          0
 CONSOLIDATED EDISON INC                  209115104     254012       4804   X                             4804          0          0
                                                     ---------    -------                              -------      -----     ------
 SUBTOTALS FOR THIS PAGE                             295977025    4479138                              4307970      26959     144209
</TABLE>


<PAGE>   9
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 7

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 EDISON INC                  209115104     548737      10378               X                10378          0          0
 CONSOLIDATED NAT GAS CO COM              209615103     783594      14511   X                            14511          0          0
 CONSOLIDATED NAT GAS CO COM              209615103    2924964      54166               X                52566          0       1600
 CONTINENTAL LAND & FUR CO INC COM        2115569A5     333487       5467               X                 5467          0          0
 CONTROLLED HYDRAULICS INC                212396105          0      35326               X                35326          0          0
 COOPER INDS INC COM                      216669101      89034       1867   X                             1867          0          0
 COOPER INDS INC COM                      216669101     198716       4167               X                 4167          0          0
 CORNING INC COM                          219350105      87750       1950   X                             1950          0          0
 CORNING INC COM                          219350105    1930050      42890               X                42890          0          0
 COSTCO COMPANIES INC                     22160Q102    3736812      51765   X                            51090          0        675
 COSTCO COMPANIES INC                     22160Q102     166032       2300               X                 2300          0          0
 COX COMMUNICATION INC NEW                224044107     284035       4109               X                 3450          0        659
 CROWN CORK & SEAL INC COM                228255105     186696       6059   X                             6059          0          0
 CROWN CORK & SEAL INC COM                228255105     113792       3693               X                 3693          0          0
 DPL INC COM                              233293109     110828       5125   X                             5125          0          0
 DPL INC COM                              233293109     179790       8314               X                 4602          0       3712
 DARDEN RESTAURANTS INC COM               237194105     123840       6880   X                             6880          0          0
 DARDEN RESTAURANTS INC COM               237194105    1070496      59472               X                59272          0        200
 DAYTON HUDSON CORP COM                   239753106    4039021      74452   X                            66242          0       8210
 DAYTON HUDSON CORP COM                   239753106    3087639      56915               X                56915          0          0
 DEERE & CO COM                           244199105     231276       7035   X                             7035          0          0
 DEERE & CO COM                           244199105      96817       2945               X                 2245          0        700
 DELAWARE GROUP TAX FREE FD INC           245909106     101613       8677   X                             8677          0          0
 DELAWARE GROUP TAX FREE FD INC           245909106      22808       1948               X                 1948          0          0
 DELL COMPUTER CORP COM                   247025109     618439       8450   X                             8450          0          0
 DELL COMPUTER CORP COM                   247025109    3192461      43620               X                43620          0          0
 DELUXE CORP COM                          248019101      27422        750   X                              750          0          0
 DELUXE CORP COM                          248019101     549908      15040               X                15040          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     289609      16316   X                            16316          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     639036      36002               X                35102          0        900
 DIEBOLD INC COM                          253651103    1669877      46791   X                            43791          0       3000
 DIEBOLD INC COM                          253651103    5782134     162019               X               152294          0       9725
 DILLARD'S INC                            254067101      46138       1626   X                             1626          0          0
 DILLARD'S INC                            254067101    1528079      53853               X                53253          0        600
 DISNEY WALT CO COM                       254687106    9831540     327718   X                           320443          0       7275
 DISNEY WALT CO COM                       254687106   28688310     956277               X               937762       1300      17215
 DOMINION RES INC VA                      257470104     845567      18087   X                            18087          0          0
 DOMINION RES INC VA                      257470104    3338901      71420               X                65525        158       5737
 DONNELLEY R R & SONS CO COM              257867101    2818841      64338   X                            64038          0        300
 DONNELLEY R R & SONS CO COM              257867101   11815008     269669               X               269669          0          0
 DOW CHEM CO COM                          260543103    6125311      67357   X                            67307          0         50
 DOW CHEM CO COM                          260543103   17381162     191132               X               183081        100       7951
 DOW JONES & CO INC COM                   260561105     256843       5337               X                 5337          0          0
 DREYFUS MUN MONEY MKT FD INC             26201S100     271762     271762               X                    0          0     271762
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             116164175    3097975                              2756146       1558     340271
</TABLE>


<PAGE>   10
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 8

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DREYFUS INTER MUNI BD FD INC             262010101     158640      11267   X                            11267          0          0
 DREYFUS PREMIER ST MUN BD FD             26202D672     378100      29356               X                29356          0          0
 THE DROP DIES & FORGING CO               262100902     538544        320               X                  320          0          0
 THE DROP DIES & FORGING CO               262100910     565471        336               X                  336          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    6931301     130624   X                           124734          0       5890
 DU PONT E I DE NEMOURS & CO COM          263534109   14348819     270411               X               240199        750      29462
 DUFF & PHELPS UTILS INCOME INC COM       264324104     122625      10900               X                10900          0          0
 DUKE ENERGY CORP COM                     264399106     266579       4161   X                             4161          0          0
 DUKE ENERGY CORP COM                     264399106    2827549      44137               X                11012          0      33125
 DUKE REALTY INVST CO NEW                 264411505     467325      20100   X                            19100          0       1000
 DUKE REALTY INVST CO NEW                 264411505     630191      27105               X                27105          0          0
 DUN & BRADSTREET CORP DEL                26483B106    1285088      40715   X                            40715          0          0
 DUN & BRADSTREET CORP DEL                26483B106    3138751      99444               X                98760          0        684
 DYCOM INDS INC COM                       267475101     228500       4000   X                             4000          0          0
 E M C CORP MASS COM                      268648102     229500       2700               X                 2700          0          0
 EASTMAN CHEMICAL CO COM                  277432100     245409       5484   X                              424          0       5060
 EASTMAN CHEMICAL CO COM                  277432100      76209       1703               X                 1703          0          0
 EASTMAN KODAK CO COM                     277461109    1024920      14235   X                            14235          0          0
 EASTMAN KODAK CO COM                     277461109    1250352      17366               X                13519          0       3847
 EATON VANCE GROWTH FD INC COM.           277902102     127607      12547               X                12547          0          0
 EATON VANCE MUT FDS TR                   277911822     258530      14066               X                14066          0          0
 EATON CORP COM                           278058102    1874787      26522   X                            26522          0          0
 EATON CORP COM                           278058102    5629380      79637               X                70587          0       9050
 EATON VANCE NATIONAL MUNICIPAL FUND      27826L108     233911      21840               X                21840          0          0
 EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801     235116      21297               X                21297          0          0
 EDISON INTL COM                          281020107     569375      20426   X                            20426          0          0
 EDISON INTL COM                          281020107    1179057      42298               X                41698          0        600
 ELECTRONIC DATA SYS CORP NEW COM         285661104    3931276      78331   X                            71108       4823       2400
 ELECTRONIC DATA SYS CORP NEW COM         285661104   17471196     348115               X               340543          0       7572
 ELECTRONICS FOR IMAGING INC COM          286082102     280000       7000   X                             7000          0          0
 ELECTRONICS FOR IMAGING INC COM          286082102      32000        800               X                  800          0          0
 ELFUN TRS UNIT CTF                       286281100     223278       3568               X                 3568          0          0
 EMERSON ELEC CO COM                      291011104   15915372     263064   X                           252610          0      10454
 EMERSON ELEC CO COM                      291011104   43780160     723639               X               703534        600      19505
 ENERGY EAST CORP                         29266M109     304931       5397               X                 5397          0          0
 ENGELHARD CORP COM                       292845104     146250       7500   X                             7500          0          0
 ENGELHARD CORP COM                       292845104     587750      30141               X                30141          0          0
 ENRON CORP COM                           293561106     228195       3999   X                             3800          0        199
 ENRON CORP COM                           293561106     940741      16486               X                16486          0          0
 EQUITY INCOME FD                         294700620      40019      22868               X                22868          0          0
 EQUITY INCOME FD UNIT                    294700703      84545        457   X                              457          0          0
 EQUITY INCOME FD UNIT                    294700703     333000       1800               X                 1800          0          0
 ERICO HOLDINGS                           2948209B3     678600        936               X                  936          0          0
 ERICSSON L M TEL CO                      294821400    3096859     129370   X                           129370          0          0
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             132895808    2616468                              2481447       6173     128848
</TABLE>


<PAGE>   11
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                              PAGE 9

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ERICSSON L M TEL CO                      294821400    6561741     274114               X               272514          0       1600
 ESAR CORP OHIO COM                       296990252     215908       7711               X                 7711          0          0
 AMERICAN EUROPACIFIC GROWTH FUND COM     298706102      21378        753   X                              753          0          0
 AMERICAN EUROPACIFIC GROWTH FUND COM     298706102    1172101      41271               X                41271          0          0
 EXXON CORP COM                           302290101   60236646     823749   X                           810959          0      12790
 EXXON CORP COM                           302290101  129078056    1765170               X              1707901        800      56469
 FPL GROUP INC COM                        302571104    3305812      53644   X                            53644          0          0
 FPL GROUP INC COM                        302571104    5070628      82282               X                78122         90       4070
 FDX CORP                                 31304N107   80481200     902377   X                                0          0     902377
 FDX CORP                                 31304N107     278088       3118               X                 1928          0       1190
 FREDDIE MAC COM                          313400301    2254235      34983   X                            34683          0        300
 FREDDIE MAC COM                          313400301     405315       6290               X                 6290          0          0
 FANNIE MAE COM                           313586109    8330476     112574   X                           111074          0       1500
 FANNIE MAE COM                           313586109   12764260     172490               X               169840          0       2650
 FEDERATED AMERN LEADERS FD INC CL A      313914103     464055      19019   X                            19019          0          0
 FEDERATED AMERN LEADERS FD INC CL A      313914103     201308       8250               X                 8250          0          0
 FEDERATED GNMA TR SH BEN INT             314184102     359237      31595               X                31595          0          0
 FEDERATED HIGH YIELD TR SBI              314197104     627930      70475               X                70475          0          0
 FEDERATED INCOME TR                      314199100     176482      16986               X                16986          0          0
 FEDERATED INCOME SEC TR                  31420C209     289507      33238               X                33238          0          0
 FEDERATED INCOME SECS TR                 31420C407     211113      20477               X                20477          0          0
 FEDERATED U S GOVT SECURITIES FUND       31428M100     335839      31894               X                31894          0          0
 FIDELITY ADVISOR SER II                  315807206   19046781     379342   X                           379342          0          0
 FIDELITY ADVISOR SER II                  315807206      39846        794               X                  794          0          0
 FIDELITY ADVISOR SER II                  315807305     845688      74642   X                            74642          0          0
 FIDELITY ADVISORS SER III                315808204    2232857      78816   X                            78816          0          0
 FIDELITY ADVISOR SER IV                  315809202    2551420     237341   X                           237341          0          0
 FIDELITY INVT TR                         315910802     428808      24199               X                24199          0          0
 FIDELITY ADVISORS SER VII                315918102     191662      10890   X                            10890          0          0
 FIDELITY CONTRAFUND INC COM              316071109   13397282     236409   X                           236409          0          0
 FIDELITY CONTRAFUND INC COM              316071109      43977        776               X                  776          0          0
 FIDELITY SPARTAN MUNICIPAL INCOME        316089507      91829       7163   X                             7163          0          0
 FIDELITY SPARTAN MUNICIPAL INCOME        316089507     252535      19699               X                19699          0          0
 FIDELITY EXCHANGE FUND                   316141100    1684875       6775   X                             6775          0          0
 FIDELITY EXCHANGE FUND                   316141100    4203090      16901               X                16901          0          0
 FIDELITY MAGELLAN FUND INC               316184100     239132       1985   X                             1985          0          0
 FIDELITY MAGELLAN FUND INC               316184100      99101        823               X                  823          0          0
 FIDELITY PURITAN FD COM                  316345107    7653432     381717   X                           381717          0          0
 FIDELITY PURITAN FD COM                  316345107      46828       2336               X                 2336          0          0
 FIDELITY SELECT BIOTECHNOLOGY            316390772     141214       3551   X                             3551          0          0
 FIDELITY SELECT BIOTECHNOLOGY            316390772     162862       4095               X                 4095          0          0
 FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     547013      46594   X                            46594          0          0
 FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     490244      41758               X                41758          0          0
 FIFTH THIRD BANCORP                      316773100     344941       4837   X                             4837          0          0
                                                     ---------    -------                              -------        ---     ------
 SUBTOTALS FOR THIS PAGE                             367576732    6093903                              5110067        890     982946
</TABLE>


<PAGE>   12
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 10

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 FIFTH THIRD BANCORP                      316773100   39091861     548173               X               543673          0       4500
 FIRST DATA CORP COM                      319963104      31875       1000   X                             1000          0          0
 FIRST DATA CORP COM                      319963104     425021      13334               X                13334          0          0
 FIRST FINL BANCORP COM                   320209109     420180      14520               X                14520          0          0
 FIRST UNION CORP COM                     337358105     173621       2855   X                             2855          0          0
 FIRST UNION CORP COM                     337358105     753351      12388               X                12388          0          0
 FIRST UN REAL ESTATE EQUITY &            337400105       9631       1675   X                             1675          0          0
 FIRST UN REAL ESTATE EQUITY &            337400105      85480      14866               X                12105          0       2761
 FIRSTAR CORP NEW WIS                     33763V109     281325       3025   X                             3025          0          0
 FIRSTAR CORP NEW WIS                     33763V109    1044762      11234               X                11234          0          0
 FIRSTMERIT CORP COM                      337915102    3109975     115720   X                           115720          0          0
 FIRSTMERIT CORP COM                      337915102    6309471     234771               X               223679          0      11092
 FIRSTENERGY CORP                         337932107      24032        738   X                              738          0          0
 FIRSTENERGY CORP                         337932107     353016      10841               X                 8503          0       2338
 FLEET FINL GROUP INC NEW COM             338915101    4597323     102876   X                           102876          0          0
 FLEET FINL GROUP INC NEW COM             338915101   10646469     238240               X               227740          0      10500
 FLORIDA PROGRESS CORP COM                341109106      78557       1753   X                             1753          0          0
 FLORIDA PROGRESS CORP COM                341109106     272329       6077               X                 6077          0          0
 FORD MOTOR CO DEL COM                    345370100    1771908      30192   X                            29292          0        900
 FORD MOTOR CO DEL COM                    345370100    5370363      91507               X                88132        375       3000
 FOREST CITY ENTERPRISES CL A             345550107     562170      21416               X                 8783          0      12633
 FORT JAMES CORP                          347471104     515960      12899   X                            12899          0          0
 FORT JAMES CORP                          347471104    3208720      80218               X                80218          0          0
 FORTUNE BRANDS INC                       349631101     508467      16078   X                            16078          0          0
 FORTUNE BRANDS INC                       349631101     396103      12525               X                12525          0          0
 FRANCHISE FIN CORP AMER COM              351807102     228960       9540               X                 9540          0          0
 FRANKLIN CUSTODIAN FDS INC               353496300      25098      10635   X                            10635          0          0
 FRANKLIN CUSTODIAN FDS INC               353496300      29472      12488               X                12488          0          0
 FRANKLIN US GOVERNMENT FUND              353496607     155505      22504               X                22504          0          0
 FRANKLIN RES INC COM                     354613101    1193408      37294   X                            37294          0          0
 FRANKLIN RES INC COM                     354613101     555040      17345               X                15245          0       2100
 FRANKLIN TAX FREE TR OHIO INSD           354723504      74987       5989   X                             5989          0          0
 FRANKLIN TAX FREE TR OHIO INSD           354723504     789239      63038               X                63038          0          0
 FRONTIER CORP COM                        35906P105     197880       5820   X                             5820          0          0
 FRONTIER CORP COM                        35906P105     827424      24336               X                22336          0       2000
 FUISZ TECHNOLOGIED LTD COM               359536109     154500      12000               X                    0          0      12000
 FULTON FINL CORP PA                      360271100    8351955     371198   X                           371198          0          0
 GATX CORP COM                            361448103     261186       6896               X                    0          0       6896
 GTE CORP COM                             362320103   11169990     171846   X                           170746          0       1100
 GTE CORP COM                             362320103   35009845     538613               X               458360          0      80253
 GALLAHER GROUP PLC                       363595109     388190      14278   X                            14278          0          0
 GALLAHER GROUP PLC                       363595109     212719       7824               X                 7824          0          0
 GANNETT CO INC COM                       364730101     508260       7880   X                             7880          0          0
 GANNETT CO INC COM                       364730101    1744596      27048               X                27048          0          0
                                                     ---------    -------                              -------        ---     ------
 SUBTOTALS FOR THIS PAGE                             141920224    2965493                              2813045        375     152073
</TABLE>


<PAGE>   13
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 11

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 GAP INC COM                              364760108    2110019      37595   X                            37295          0        300
 GAP INC COM                              364760108     447204       7968               X                 7968          0          0
 GENERAL ELEC CO COM                      369604103   98185021     962598   X                           960939          0       1659
 GENERAL ELEC CO COM                      369604103  223423860    2190430               X              2131453       1587      57390
 GENERAL MILLS INC COM                    370334104   10339351     132982   X                           132902          0         80
 GENERAL MILLS INC COM                    370334104   30155960     387858               X               378043          0       9815
 GENERAL MTRS CORP COM                    370442105     485770       6788   X                             6788          0          0
 GENERAL MTRS CORP COM                    370442105    2284219      31919               X                28879          0       3040
 GENERAL RE CORP COM                      370563108   17346173      86636   X                            86386          0        250
 GENERAL RE CORP COM                      370563108   44307063     221293               X               213346          0       7947
 GENUINE PARTS CO COM                     372460105      89915       2689   X                             2689          0          0
 GENUINE PARTS CO COM                     372460105     145255       4344               X                 4344          0          0
 GEORGIA PACIFIC CORP COM                 373298108     414919       7085   X                             2685          0       4400
 GEORGIA PACIFIC CORP COM                 373298108      79704       1361               X                 1361          0          0
 GILLETTE CO COM                          375766102    3879929      81148   X                            80748          0        400
 GILLETTE CO COM                          375766102   13330265     278800               X               266142          0      12658
 GLAXO WELLCOME PLC                       37733W105     274456       3949   X                             3949          0          0
 GLAXO WELLCOME PLC                       37733W105    1334470      19201               X                19201          0          0
 GOLDEN WEST FINL CORP                    381317106    1191027      12990   X                            12990          0          0
 GOLDEN WEST FINL CORP                    381317106      80227        875               X                  875          0          0
 GOODRICH B F CO COM                      382388106       8395        234   X                              234          0          0
 GOODRICH B F CO COM                      382388106     593157      16534               X                16534          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101      20175        400   X                              400          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101    1129408      22392               X                22292          0        100
 GOVERNMENT SECS INCOME FD                383743580        726      14510               X                14510          0          0
 GOVERNMENT SECS INCOME FD                383744208       1496      10684               X                10684          0          0
 GRADISON GROWTH TR ESTABLISHED           384114104     256373       8265               X                 8265          0          0
 GRAINGER W W INC COM                     384802104     384782       9244               X                 9244          0          0
 GREAT LAKES CHEM CORP COM                390568103      42800       1070   X                             1070          0          0
 GREAT LAKES CHEM CORP COM                390568103     584000      14600               X                14400          0        200
 GUIDANT CORP COM                         401698105     600600       5460   X                              150          0       5310
 GUIDANT CORP COM                         401698105     432300       3930               X                 3930          0          0
 HBO & CO COM                             404100109    1764312      61500   X                            61200          0        300
 HBO & CO COM                             404100109     319871      11150               X                10850          0        300
 HRPT PPTYS TR                            40426W101       2800        200   X                              200          0          0
 HRPT PPTYS TR                            40426W101     224000      16000               X                16000          0          0
 HALLIBURTON CO COM                       406216101    1670258      56380   X                            56380          0          0
 HALLIBURTON CO COM                       406216101     346879      11709               X                10543          0       1166
 HANCOCK JOHN BK & THRIFT OPPORTUNITY     409735107     259943      24321               X                24321          0          0
 M A HANNA CO COM                         410522106     424429      34470               X                26670          0       7800
 HARLEY DAVIDSON INC COM                  412822108    4581210      96701   X                            94117          0       2584
 HARLEY DAVIDSON INC COM                  412822108    8244103     174018               X               167818          0       6200
 HARRIS CORP COM                          413875105     377091      10296   X                            10296          0          0
 HARRIS CORP COM                          413875105     171405       4680               X                 4680          0          0
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             472345320    5087257                              4963771       1587     121899
</TABLE>


<PAGE>   14
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 12

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 HARTFORD FINL SVCS GROUP INC COM         416515104     110079       2006   X                             2006          0          0
 HARTFORD FINL SVCS GROUP INC COM         416515104     466438       8500               X                 8294          0        206
 HEALTHSOUTH CORP COM                     421924101     489539      31710   X                            31710          0          0
 HEALTHSOUTH CORP COM                     421924101     104207       6750               X                 6750          0          0
 HEIGHTS BUILDING CO COM                  4228199A2     232497          9               X                    9          0          0
 HEINZ H J CO COM                         423074103   15903584     280858   X                           280258          0        600
 HEINZ H J CO COM                         423074103   36661800     647449               X               603960        187      43302
 HELIX TECHNOLOGY CORP                    423319102     208000      16000               X                16000          0          0
 HEWLETT PACKARD CO COM                   428236103   11245754     164621   X                           162971          0       1650
 HEWLETT PACKARD CO COM                   428236103   28302554     414307               X               398382       1175      14750
 HILLENBRAND INDS INC COM                 431573104     207594       3650               X                 3650          0          0
 HOME DEPOT INC COM                       437076102   37976455     620652   X                           601154          0      19498
 HOME DEPOT INC COM                       437076102   93728390    1531810               X              1491376       3400      37034
 HONEYWELL INC COM                        438506107     898108      11925   X                            11925          0          0
 HONEYWELL INC COM                        438506107    1682492      22340               X                21940          0        400
 HOUSEHOLD INTL CORP COM                  441815107     255740       6454   X                             6454          0          0
 HOUSEHOLD INTL CORP COM                  441815107    7334429     185096               X               184622        474          0
 HOUSTON INDS INC COM                     442161105     364043      11354   X                            11354          0          0
 HOUSTON INDS INC COM                     442161105    1066800      33272               X                32872          0        400
 HOUSTON INDS INC                         442161204     468050       4400               X                 4400          0          0
 HUBBELL INC CL B                         443510201    4933122     129819   X                           129819          0          0
 HUBBELL INC CL B                         443510201   12950286     340797               X               340797          0          0
 HUNTINGTON BANCSHARES INC COM            446150104     215311       7162   X                             7162          0          0
 HUNTINGTON BANCSHARES INC COM            446150104    4449436     148004               X               148004          0          0
 IDS HIGH YIELD TAX EXEMPT FD INC         449440106     102985      22052               X                22052          0          0
 IDS HIGH YIELD TAX EXEMPT FD             449440205      70747      15149               X                15149          0          0
 IMS HEALTH INC                           449934108    3167868      41993   X                            41993          0          0
 IMS HEALTH INC                           449934108   10147618     134516               X               134416          0        100
 IKON OFFICE SOLUTIONS INC                451713101      12416       1450   X                             1450          0          0
 IKON OFFICE SOLUTIONS INC                451713101     698141      81530               X                74234          0       7296
 ILLINOIS TOOL WORKS INC COM              452308109     986000      17000   X                            17000          0          0
 ILLINOIS TOOL WORKS INC COM              452308109    2267800      39100               X                37700          0       1400
 INGERSOLL RAND CO COM                    456866102     340200       7200               X                 7200          0          0
 INTERGRATED DEVICE TECHNOLOGY COM        458118106      66150      10800               X                 1000          0       9800
 INTEL CORP COM                           458140100   24550722     207069   X                           202469          0       4600
 INTEL CORP COM                           458140100   49972763     421487               X               397257        700      23530
 INTERNATIONAL BUSINESS MACHS CORP        459200101   15697503      85139   X                            80619          0       4520
 INTERNATIONAL BUSINESS MACHS CORP        459200101   39130091     212231               X               162514          0      49717
 INTERNATIONAL FLAVORS &                  459506101     129250       2925   X                             2925          0          0
 INTERNATIONAL FLAVORS &                  459506101     447183      10120               X                 9545        575          0
 INTERNATIONAL PAPER CO COM               460146103     168318       3756   X                             3756          0          0
 INTERNATIONAL PAPER CO COM               460146103     315035       7030               X                 7030          0          0
 INTERPUBLIC GROUP COS INC COM            460690100   11473712     143871   X                           143771          0        100
 INTERPUBLIC GROUP COS INC COM            460690100   30561317     383214               X               368366       1500      13348
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             450560527    6476577                              6236315       8011     232251
</TABLE>


<PAGE>   15
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 13

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 INTERSTATE ENERGY CORP WISE              460845100     401384      12446               X                11990          0        456
 INVACARE CORP COM                        461203101     661200      27550               X                27550          0          0
 INVESTMENT CO OF AMERICA COM             461308108    1080755      34785   X                            34785          0          0
 INVESTMENT CO OF AMERICA COM             461308108     319210      10274               X                10274          0          0
 IPALCO ENTERPRISES INC COM               462613100     182945       3300   X                             3300          0          0
 IPALCO ENTERPRISES INC COM               462613100     132386       2388               X                 1788          0        600
 IT GROUP INC                             465266104    1121967     100851   X                           100851          0          0
 JANUS FD INC COM                         471023101     693473      20608   X                            20608          0          0
 JANUS FD INC COM                         471023101      60501       1798               X                 1798          0          0
 JANUS INVT FD WORLDWIDE FD               471023309    3245015      68518   X                            68518          0          0
 JANUS INVT FD WORLDWIDE FD               471023309       3620         76               X                   76          0          0
 JEFFERSON-PILOT CORP COM                 475070108     562050       7494               X                 7494          0          0
 JOHNSON & JOHNSON COM                    478160104   11477874     136845   X                           133845          0       3000
 JOHNSON & JOHNSON COM                    478160104   25280764     301410               X               284410          0      17000
 K MART CORP COM                          482584109     218976      14300               X                 3500          0      10800
 KAUFMANN FD INC COM                      486250103      87053      15326   X                            15326          0          0
 KAUFMANN FD INC COM                      486250103      10071       1773               X                 1773          0          0
 KEANE INC COM                            486665102     295541       7400               X                 2400          0       5000
 KELLOGG CO COM                           487836108    1186526      34770   X                            34180          0        590
 KELLOGG CO COM                           487836108    5362334     157138               X               146238          0      10900
 KEMPER HIGH YIELD FD                     488411109      51881       6677   X                             6677          0          0
 KEMPER HIGH YIELD FD                     488411109      57107       7350               X                 7350          0          0
 KEMPER INCOME & PRESERVATION FD          488412107     205919      23696               X                23696          0          0
 KEMPER MUNI BD FD SH BEN INT             488419201       1324        129   X                              129          0          0
 KEMPER MUNI BD FD SH BEN INT             488419201     467325      45637               X                45637          0          0
 KEMPER US GOVT SECS FD INC               488438102      89707      10206   X                            10206          0          0
 KEMPER US GOVT SECS FD INC               488438102     110997      12628               X                12628          0          0
 KEYCORP NEW COM                          493267108    9387776     293368   X                           288503          0       4865
 KEYCORP NEW COM                          493267108   18906144     590817               X               566547          0      24270
 KIMBERLY-CLARK CORP COM                  494368103    1688901      30989   X                            29989          0       1000
 KIMBERLY-CLARK CORP COM                  494368103    4887124      89672               X                81872          0       7800
 KNIGHT RIDDER INC COM                    499040103     644175      12600   X                            12600          0          0
 KNIGHT RIDDER INC COM                    499040103     173825       3400               X                 3400          0          0
 KOHLS CORP COM                           500255104     285625       4649   X                             3100       1549          0
 KOHLS CORP COM                           500255104     482288       7850               X                 7850          0          0
 KROGER CO COM                            501044101    1750265      28930   X                            28550          0        380
 KROGER CO COM                            501044101     314600       5200               X                 5200          0          0
 KRUPP INSD PLUS LTD PARTNERSHIP          501124101      95125      12500   X                            12500          0          0
 KRUPP INSURED PLUS II                    501125108     142459      15075   X                            15075          0          0
 LG & E ENERGY CORP COM                   501917108      37430       1322   X                             1322          0          0
 LG & E ENERGY CORP COM                   501917108     699671      24712               X                16875          0       7837
 LANLY CO CORP                            515908903    1633368        538               X                    0          0        538
 LASALLE INCOME PLUS FD                   518099908     151778     151778   X                           151778          0          0
 LEE ENTERPRISES INC                      523768109     415863      13202   X                            13202          0          0
                                                      --------    -------                              -------       ----      -----
 SUBTOTALS FOR THIS PAGE                              95064322    2351975                              2255390       1549      95036
</TABLE>


<PAGE>   16
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 14

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 LEE ENTERPRISES INC                      523768109      75600       2400               X                 2400          0          0
 LEE ENTERPRISES INC CL B                 523768208     407612      13202   X                            13202          0          0
 LEXINGTON PRECISION CORP                 529529109      16902      11268               X                11268          0          0
 LILLY ELI & CO COM                       532457108    6972599      78454   X                            70994          0       7460
 LILLY ELI & CO COM                       532457108   30892950     347600               X               125775          0     221825
 LIMITED INC COM                          532716107      29125       1000   X                             1000          0          0
 LIMITED INC COM                          532716107     308113      10579               X                10579          0          0
 LIMITED TERM MUN FD INC                  532723103      77056       5670   X                             5670          0          0
 LIMITED TERM MUN FD INC                  532723103     833961      61366               X                61366          0          0
 LINCOLN ELEC HLDGS INC                   533900106     518603      23308   X                            23308          0          0
 LINCOLN ELEC HLDGS INC                   533900106    4037418     181457               X               111257          0      70200
 LINCOLN NATL CORP IND COM                534187109     861327      10528   X                            10528          0          0
 LINCOLN NATL CORP IND COM                534187109    3971530      48544               X                48544          0          0
 LINEAR TECHNOLOGY CORP COM               535678106     487223       5440   X                                0          0       5440
 LINEAR TECHNOLOGY CORP COM               535678106      26869        300               X                  300          0          0
 LOCKHEED MARTIN CORP COM                 539830109      19069        225   X                              225          0          0
 LOCKHEED MARTIN CORP COM                 539830109     200264       2363               X                 2029          0        334
 LOEWS CORP COM                           540424108     314400       3200   X                             3200          0          0
 LOEWS CORP COM                           540424108     638232       6496               X                 6496          0          0
 LORD ABBETT INVT TR                      543916308      93637      35603               X                35603          0          0
 LOWES COS INC COM                        548661107     230244       4498   X                             4166          0        332
 LOWES COS INC COM                        548661107     383910       7500               X                 7500          0          0
 LUBRIZOL CORP COM                        549271104    1201608      46777   X                            46777          0          0
 LUBRIZOL CORP COM                        549271104    6595702     256762               X               177520          0      79242
 LUCENT TECHNOLOGIES INC COM              549463107   19524659     177597   X                           174176          0       3421
 LUCENT TECHNOLOGIES INC COM              549463107   40220047     365843               X               352109       1532      12202
 MBNA CORP COM                            55262L100       3598        145   X                              145          0          0
 MBNA CORP COM                            55262L100     898752      36221               X                36221          0          0
 MCI WORLDCOM INC                         55268B106    9824297     136924   X                           118964      17360        600
 MCI WORLDCOM INC                         55268B106   14876071     207332               X               204302        621       2409
 MFS BOND FUND CLASS A                    55272P208     178314      13417               X                13417          0          0
 MFS INTER INCOME TR SH BEN INT           55273C107     102195      15000               X                15000          0          0
 MGIC INVT CORP WIS COM                   552848103     277696       6975   X                               75          0       6900
 MARSH & MCLENNAN COS COM                 571748102   19447231     332784   X                           332784          0          0
 MARSH & MCLENNAN COS COM                 571748102   34612068     592287               X               572991        450      18846
 MARSHALL & ILSLEY CORP COM               571834100    3575120      61178               X                61178          0          0
 MASCO CORP COM                           574599106    2121549      73793   X                            64193          0       9600
 MASCO CORP COM                           574599106    6408318     222898               X               211738       1000      10160
 MASON-DIXON BANCSHARES INC COM           575207105     241137       8244   X                             8244          0          0
 MASSACHUSETTS INVESTORS GROWTH STK       575719109     800241      50298               X                50298          0          0
 MFS MASSACHUSETTS INVESTORS TRUST        575736103       8898        439   X                              439          0          0
 MFS MASSACHUSETTS INVESTORS TRUST        575736103     255310      12608               X                 8573          0       4035
 MASTERS SELECT FDS                       576417109     169705      12506   X                            12506          0          0
 MASTERS SELECT FDS                       576417109     129797       9565               X                 9565          0          0
                                                     ---------    -------                              -------      -----     ------
 SUBTOTALS FOR THIS PAGE                             212868957    3500594                              3026625      20963     453006
</TABLE>


<PAGE>   17
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 15

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MASTERS SELECT FDS                       576417208      28612       2613   X                             2613          0          0
 MASTERS SELECT FDS                       576417208     234478      21414               X                21414          0          0
 MATTEL INC COM                           577081102     666883      28378   X                            28378          0          0
 MATTEL INC COM                           577081102     105891       4506               X                 4306          0        200
 MAXIM INTEGRATED PRODS INC COM           57772K101     421589       9650   X                                0          0       9650
 MAY DEPT STORES CO COM                   577778103     217350       3600   X                             3600          0          0
 MAY DEPT STORES CO COM                   577778103    3508210      58107               X                56307          0       1800
 MCCORMICK & CO INC                       579780206     152159       4500   X                             4500          0          0
 MCCORMICK & CO INC                       579780206     667807      19750               X                19550          0        200
 MCDONALDS CORP COM                       580135101   11441604     148954   X                           148954          0          0
 MCDONALDS CORP COM                       580135101   31142832     405437               X               396415          0       9022
 MCGRAW-HILL COMPANIES INC COM            580645109    2841294      27890   X                            27890          0          0
 MCGRAW-HILL COMPANIES INC COM            580645109    9092140      89248               X                87428          0       1820
 MEAD CORP COM                            582834107      11725        400   X                              400          0          0
 MEAD CORP COM                            582834107     299344      10212               X                10212          0          0
 MEAD PROPERTIES INC NON-VOTING COM       582840997     299706        402               X                  402          0          0
 MEDIAONE GROUP INC                       58440J104    2852430      60690   X                            60690          0          0
 MEDIAONE GROUP INC                       58440J104    4903369     104327               X               101707       1980        640
 MEDTRONIC INC COM                        585055106    2668842      35929   X                            34409          0       1520
 MEDTRONIC INC COM                        585055106    8452584     113792               X               113292        400        100
 MELLON BANK CORPORATION                  585509102     578875       8420   X                             6620          0       1800
 MELLON BANK CORPORATION                  585509102    1353825      19692               X                10938        474       8280
 MENTOR FDS                               587197435     410972      37192               X                37192          0          0
 MERCK & CO INC COM                       589331107   68871585     466926   X                           464932          0       1994
 MERCK & CO INC COM                       589331107  196369995    1331322               X              1290964       1275      39083
 MERRILL LYNCH MUN BD FD INC              590193108     146858      18019               X                18019          0          0
 MICROSOFT CORP COM                       594918104   22567450     162721   X                           159176          0       3545
 MICROSOFT CORP COM                       594918104   51690266     372709               X               366134       2100       4475
 MIDDLEBY CORP COM                        596278101      48938      13500               X                    0          0      13500
 MILLIPORE CORP COM                       601073109     216594       7650   X                             6450          0       1200
 MILLIPORE CORP COM                       601073109    1224537      43250               X                43250          0          0
 MINNESOTA MINING & MFG CO COM            604059105    9248313     130029   X                           129529          0        500
 MINNESOTA MINING & MFG CO COM            604059105   26478273     372278               X               364697        715       6866
 MOBIL CORP COM                           607059102    8072654      92656   X                            92556          0        100
 MOBIL CORP COM                           607059102   17658495     202680               X               193155          0       9525
 MOLEX INC COM                            608554101      38125       1000   X                             1000          0          0
 MOLEX INC COM                            608554101     359099       9419               X                 9419          0          0
 MONSANTO CO COM                          611662107    5549758     116837   X                           113587          0       3250
 MONSANTO CO COM                          611662107    9498100     199960               X               197560          0       2400
 MORGAN J P & CO INC COM                  616880100    1091815      10392   X                            10392          0          0
 MORGAN J P & CO INC COM                  616880100    4606908      43849               X                43624          0        225
 MSDW U S GOVT SECS TR                    616969200     269661      29311               X                29311          0          0
 MORGAN STANLEY EMERGING MKTS DEBT        61744H105      86256      12000               X                12000          0          0
 MORGAN STANLEY DEAN WITTER & CO          617446448     209876       2956   X                             2956          0          0
                                                     ---------    -------                              -------       ----     ------
 SUBTOTALS FOR THIS PAGE                             506656077    4854567                              4725928       6944     121695
</TABLE>


<PAGE>   18
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 16

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
MORGAN STANLEY DEAN WITTER & CO          617446448     212432       2992               X                 2992          0          0
MORTON INTL INC IND NEW                  619335102     988085      40330   X                            40330          0          0
MORTON INTL INC IND NEW                  619335102    3409690     139171               X               135121          0       4050
MOTOROLA INC COM                         620076109    2227639      36481   X                            35711          0        770
MOTOROLA INC COM                         620076109    8352197     136780               X               133180          0       3600
MUNIVEST FD INC COM                      626295109      24461       2401   X                             2401          0          0
MUNIVEST FD INC COM                      626295109     158933      15600               X                15600          0          0
NACCO INDS INC CL A                      629579103    3864000      42000   X                                0          0      42000
NACCO INDS INC CL A                      629579103    8299872      90216               X                88216          0       2000
NACCO INDUSTRIES INC CL B                629579202    1829625      21000   X                                0          0      21000
NATIONAL CITY CORP COM                   635405103  534923270    7378252   X                           133369          0    7244883
NATIONAL CITY CORP COM                   635405103   51618840     711984               X               640699      28148      43137
NATIONAL PROCESSING INC COM              637229105      92125      16750               X                16750          0          0
NEOPATH INC COM                          640517108     111634      18800               X                    0          0      18800
NETWORKS ASSOCS INC                      640938106     286598       4326               X                  450          0       3876
NESTLE S A SPONSORED ADR                 641069406    5540979      50908   X                            50908          0          0
NESTLE S A SPONSORED ADR                 641069406   20087193     184552               X               182427        600       1525
NEW CENTY ENERGIES INC                   64352U103      93064       1909   X                              730       1179          0
NEW CENTY ENERGIES INC                   64352U103     310635       6372               X                 6372          0          0
NEW ENGLAND ELEC SYS COM                 644001109      19491        405   X                              405          0          0
NEW ENGLAND ELEC SYS COM                 644001109     192933       4009               X                 4009          0          0
NEWELL CO COM                            651192106    2683106      65045   X                            64595        170        280
NEWELL CO COM                            651192106    2550281      61825               X                59050          0       2775
NEWS LTD ADR NEW                         652487703      26438       1000   X                             1000          0          0
NEWS LTD ADR NEW                         652487703     300071      11350               X                11350          0          0
NIELSEN MEDIA RESH INC                   653929307     160686       8927   X                             8927          0          0
NIELSEN MEDIA RESH INC                   653929307     543672      30204               X                30171          0         33
NORDSON CORP COM                         655663102     215775       4200               X                 4200          0          0
NORDSTROM INC COM                        655664100    1684519      48562   X                            48562          0          0
NORDSTROM INC COM                        655664100    6116743     176336               X               171736          0       4600
NORFOLK SOUTHN CORP COM                  655844108    1416137      44690   X                            43790          0        900
NORFOLK SOUTHN CORP COM                  655844108    1455335      45927               X                29712          0      16215
NORTHERN STS PWR CO MINN COM             665772109     404318      14570   X                            14570          0          0
NORTHERN STS PWR CO MINN COM             665772109     949106      34202               X                34202          0          0
NORTHERN TELECOM LTD                     665815106     297500       5950   X                             5950          0          0
NORTHERN TELECOM LTD                     665815106     983000      19660               X                19660          0          0
NORTHERN TR CORP COM                     665859104    4806319      55047   X                            54848          0        199
NORTHERN TR CORP COM                     665859104   14448905     165484               X               162584        750       2150
NUVEEN PREMIUM INCOME MUN FD             67062T100     227835      15189               X                 8523          0       6666
NUVEEN FLAGSHIP MULTISTATE I             67065L708     183360      16745   X                            16745          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762      48718       4143   X                             4143          0          0
NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     632407      53776               X                53776          0          0
OM GROUP INC COM                         670872100   11519626     315606   X                                0          0     315606
NUVEEN MUNICIPAL VALUE FD                670928100      24984       2546   X                             2546          0          0
                                                    ---------   --------                              -------      -----    -------
SUBTOTALS FOR THIS PAGE                             694322537   10106222                              2340310      30847    7735065
</TABLE>

<PAGE>   19

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 17

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
NUVEEN MUNICIPAL VALUE FD                670928100     221873      22610               X                22610          0          0
NUVEEN OHIO QUALITY INCM MUNI            670980101      31301       1600   X                             1600          0          0
NUVEEN OHIO QUALITY INCM MUNI            670980101     215741      11028               X                11028          0          0
NUVEEN INSD MUN OPPORTUNITY FD           670984103      16625       1000   X                             1000          0          0
NUVEEN INSD MUN OPPORTUNITY FD           670984103     166965      10043               X                10043          0          0
OCCIDENTAL PETROLEUM CORP COM            674599105    4746938     281300   X                           281300          0          0
OCCIDENTAL PETROLEUM CORP COM            674599105    1326240      78592               X                78592          0          0
OFFICEMAX INC COM                        67622M108      42875       3500   X                             3500          0          0
OFFICEMAX INC COM                        67622M108     558049      45555               X                39355          0       6200
OHIO CASUALTY CORP COM                   677240103     406192       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 COM                    680223104    2356290     104724               X               104724          0          0
OMEGA FINL CORP                          682092101    2388933      78973   X                            78973          0          0
ORACLE CORP COM                          68389X105    1331916      30885   X                            26085          0       4800
ORACLE CORP COM                          68389X105    2263588      52489               X                52289          0        200
OWENS CORNING COM                        69073F103     421712      11900   X                            11900          0          0
PNC BANK CORP COM                        693475105    6100056     112964   X                           112964          0          0
PNC BANK CORP COM                        693475105    8900496     164824               X               162349        665       1810
PPG INDS INC COM                         693506107     230599       3963   X                             2539          0       1424
PPG INDS INC COM                         693506107    1237426      21266               X                19760          0       1506
PACIFICORP COM                           695114108       7119        338   X                              338          0          0
PACIFICORP COM                           695114108     257685      12234               X                12234          0          0
PAINE WEBBER FIXED INCOME PORTFOLIOS     695900308      90200      13792               X                13792          0          0
PALL CORP COM                            696429307     399009      15763   X                            15763          0          0
PALL CORP COM                            696429307    1509769      59644               X                55020          0       4624
PARK NATL CORP                           700658107     315283       3061               X                 3061          0          0
PARKER HANNIFIN CORP COM                 701094104      14738        450   X                              450          0          0
PARKER HANNIFIN CORP COM                 701094104    1925340      58789               X                58589          0        200
PAX WORLD FD INC                         704222108     217353      10044               X                10044          0          0
PAYCHEX INC COM                          704326107      83227       1618   X                                0       1618          0
PAYCHEX INC COM                          704326107     324059       6300               X                 6300          0          0
PENNEY J C CO INC COM                    708160106      78281       1670   X                             1670          0          0
PENNEY J C CO INC COM                    708160106     554625      11832               X                11132          0        700
PEPSICO INC COM                          713448108   54332276    1329230   X                          1323680          0       5550
PEPSICO INC COM                          713448108  154910666    3789863               X              3652529       4649     132685
PHARMACIA & UPJOHN INC COM               716941109     495469       8750   X                             8750          0          0
PHARMACIA & UPJOHN INC COM               716941109    1469702      25955               X                25955          0          0
PFIZER INC COM                           717081103   46351000     370808   X                           369268          0       1540
PFIZER INC COM                           717081103  114967750     919742               X               898357       1600      19785
PHARMOS CORP                             717139208      15940      10000               X                    0          0      10000
PHILIP MORRIS COS INC COM                718154107    4755348      88885   X                            88885          0          0
PHILIP MORRIS COS INC COM                718154107   13754101     257086               X               255286          0       1800
PHILLIPS PETROLEUM CO CAP                718507106     397478       9325               X                 7276          0       2049
                                                    ---------    -------                              -------       ----     ------
SUBTOTALS FOR THIS PAGE                             443434959    8352827                              8148630       8532     195665
</TABLE>

<PAGE>   20

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 18

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
PIONEER STD ELECTRS INC COM              723877106     409313      43660               X                38074          0       5586
PITNEY BOWES INC COM                     724479100   45452203     688013   X                           678592          0       9421
PITNEY BOWES INC COM                     724479100  133300534    2017779               X              1978135       1964      37680
PLUM CREEK TIMBER CO LP                  729237107     172016       6600   X                             6600          0          0
PLUM CREEK TIMBER CO LP                  729237107     255417       9800               X                 9800          0          0
POTOMAC ELECTRIC POWER CO COM            737679100      26313       1000   X                             1000          0          0
POTOMAC ELECTRIC POWER CO COM            737679100     200479       7619               X                 6874        745          0
PRAXAIR INC COM                          74005P104     434280      12320   X                             3880          0       8440
PRAXAIR INC COM                          74005P104     143327       4066               X                 4066          0          0
PREFORMED LINE PRODUCTS CO COM           740444104    1039360      37120   X                            37120          0          0
PREFORMED LINE PRODUCTS CO COM           740444104     571200      20400               X                20400          0          0
PREMIER FARNELL PLC                      74050U107      68875      13775               X                13775          0          0
PREMIER FARNELL PLC                      74050U206     202991      12837               X                12698          0        139
PROCTER & GAMBLE CO COM                  742718109   37087140     406154   X                           403804          0       2350
PROCTER & GAMBLE CO COM                  742718109  113219354    1239904               X              1202889       1754      35261
PROGRESS SOFTWARE CORP                   743312100     357210      10584               X                10584          0          0
PROGRESSIVE CORP OHIO COM                743315103    1772001      10462   X                            10462          0          0
PROGRESSIVE CORP OHIO COM                743315103  182609793    1078139               X              1078039          0        100
PROVIDIAN FINL CORP                      74406A102    8198700     109316   X                           106916          0       2400
PROVIDIAN FINL CORP                      74406A102   19312050     257494               X               236959        900      19635
PRUDENTIAL HIGH YIELD FD                 74435F205      60101       7646   X                             7646          0          0
PRUDENTIAL HIGH YIELD FD                 74435F205      24005       3054               X                 3054          0          0
PULITZER PUBG CO COM                     745771105     207900       2400   X                             2400          0          0
PULITZER PUBG CO COM                     745771105     591822       6832               X                 5766          0       1066
PUTNAM GEORGE FD BOSTON                  746758507    1419236      79287   X                            79287          0          0
PUTNAM FD FOR GROWTH & INCOME            746761204     441681      21833               X                21833          0          0
PUTNAM FUND FOR GROWTH & INCOME          746761501     584552      28697   X                            28697          0          0
PUTNAM INVS FD INC                       746809102     222529      15015               X                15015          0          0
PUTNAM OHIO TAX EXEMPT INCOME FD II      746849306     304490      33278               X                33278          0          0
PUTNAM PREMIER INCOME TR SH BEN INT      746853100     143969      17451               X                17451          0          0
PUTNAM TAX EXEMPT INCOME FD              746870104     156233      17019               X                17019          0          0
PUTNAM MASTER INTER INCOME TR            746909100     102078      12660               X                12660          0          0
PUTNAM NEW OPPORTUNITIES FD              746916501     589586      10307   X                            10307          0          0
PUTNAM VOYAGER FD INC CL M               747012508    1418390      66280   X                            66280          0          0
QUAKER OATS CO COM                       747402105     102697       1726   X                             1726          0          0
QUAKER OATS CO COM                       747402105    1010072      16976               X                16976          0          0
QUESTAR CORP COM                         748356102     213280      11008               X                11008          0          0
R H DONNELLEY CORP                       74955W307      95111       6531   X                             6531          0          0
R H DONNELLEY CORP                       74955W307     228217      15671               X                15535          0        136
RJR NABISCO HOLDINGS CORP (NEW)          74960K876     130508       4396   X                             1187       3209          0
RJR NABISCO HOLDINGS CORP (NEW)          74960K876      71192       2398               X                 2398          0          0
RPM INC OHIO COM                         749685103    4336960     271060   X                           268560          0       2500
RPM INC OHIO COM                         749685103   12047218     752951               X               636842          0     116109
RAYTHEON CO                              755111408      67521       1268   X                             1268          0          0
                                                    ---------    -------                              -------       ----     ------
SUBTOTALS FOR THIS PAGE                             569401904    7392786                              7143391       8572     240823
</TABLE>

<PAGE>   21

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 19

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
RAYTHEON CO                              755111408     468600       8800               X                 8800          0          0
RENTOKIL INITIAL PLC ORD (GBP)           76012P902     209511      27896               X                27896          0          0
REUTERS GROUP PLC-SPONS ADR              76132M102    5255435      82926   X                            82926          0          0
REUTERS GROUP PLC-SPONS ADR              76132M102   28499231     449692               X               440428        125       9139
RITE AID CORP COM                        767754104     258700       5200               X                 5200          0          0
ROCHESTER PORTFOLIO SER                  771740107      50403      14956   X                            14956          0          0
ROCKWELL INTL CORP NEW                   773903109     170748       3516   X                             3516          0          0
ROCKWELL INTL CORP NEW                   773903109     535844      11034               X                 2406          0       8628
ROWE T PRICE MID-CAP GROWTH FD INC       779556109     212072       6223               X                    0          0       6223
ROWE PRICE TAX FREE                      779576107      80504       8075   X                             8075          0          0
ROWE PRICE TAX FREE                      779576107     227223      22791               X                22791          0          0
ROWE T PRICE TAX FREE SHORT              779902105     250801      46617   X                            46617          0          0
ROYAL DUTCH PETROLEUM CO                 780257804    4818284     100643   X                            98127          0       2516
ROYAL DUTCH PETROLEUM CO                 780257804   11277818     235568               X               227203        860       7505
ROYCE MICRO-CAP TR INC                   780915104     100900      11369               X                11369          0          0
RUBBERMAID INC COM                       781088109    9503613     302297   X                           302297          0          0
RUBBERMAID INC COM                       781088109    3988916     126882               X               113595          0      13287
SBC COMMUNICATIONS INC COM               78387G103   26992895     503364   X                           500464          0       2900
SBC COMMUNICATIONS INC COM               78387G103   41980224     782848               X               760124       2826      19898
PUT S&P 500 INDEX DEC'99                 7839359XE     182999      27111   X                            27111          0          0
SEI DAILY INCOME TR                      783965726    1610167    1610167   X                          1610167          0          0
S D C PROPERTIES CO COM                  7840309A8    4509793        540               X                  540          0          0
SPDR TR                                  78462F103    1603069      13000   X                             2000      11000          0
SSGA FDS                                 784924888   16554831     749427   X                           749427          0          0
SAFECO CORP COM                          786429100      64407       1500   X                             1500          0          0
SAFECO CORP COM                          786429100     154577       3600               X                 3600          0          0
SAFEWAY INC COM NEW                      786514208    5364128      88026   X                            76235       4691       7100
SAFEWAY INC COM NEW                      786514208     363800       5970               X                 5970          0          0
ST PAUL COS INC COM                      792860108     171767       4934   X                             4934          0          0
ST PAUL COS INC COM                      792860108     403135      11580               X                11580          0          0
SARA LEE CORP COM                        803111103   13565306     481244   X                           479244          0       2000
SARA LEE CORP COM                        803111103   39383267    1397164               X              1343924       4000      49240
SCHERING-PLOUGH CORP COM                 806605101   22835764     413317   X                           413117          0        200
SCHERING-PLOUGH CORP COM                 806605101   69001283    1248892               X              1200906          0      47986
SCHLUMBERGER LTD COM                     806857108    9522272     205332   X                           193517          0      11815
SCHLUMBERGER LTD COM                     806857108   24381981     525757               X               514000       1200      10557
SCHULMAN A INC COM                       808194104      48779       2150   X                             2150          0          0
SCHULMAN A INC COM                       808194104     348624      15366               X                11041          0       4325
SCRIPPS HOWARD INC                       811054204    1007935      20260               X                20260          0          0
SCUDDER INTERNATIONAL FD INC COM         811165109     411599       8452               X                 8452          0          0
SCUDDER MANAGED MUN                      811170109     113115      12322   X                            12322          0          0
SCUDDER MANAGED MUN                      811170109     532353      57991               X                57991          0          0
SEARS ROEBUCK & CO CAP                   812387108     203490       4788   X                             4788          0          0
SEARS ROEBUCK & CO CAP                   812387108     313650       7380               X                 6880          0        500
                                                    ---------    -------                              -------      -----     ------
SUBTOTALS FOR THIS PAGE                             347533813    9666967                              9438446      24702     203819
</TABLE>

<PAGE>   22

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 20

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>

SELIGMAN COMMUNICATIONS &                816333108     257997       8396   X                             8396          0          0
SELIGMAN COMMUNICATIONS &                816333108    1544193      50250               X                48568       1434        249
SELIGMAN TAX-EXEMPT FD OHIO              816346506      23461       2879   X                             2879          0          0
SELIGMAN TAX-EXEMPT FD OHIO              816346506    1345381     165077               X               165077          0          0
SENTINEL GROUP FUND INC                  817270309     220427       5246               X                 5246          0          0
SERVICE CORP INTERNATIONAL COM           817565104     913893      24010   X                            23810          0        200
SERVICE CORP INTERNATIONAL COM           817565104     432967      11375               X                11375          0          0
SERVICEMASTER CO COM                     81760N109    5763738     261240               X               223440          0      37800
SHEARSON LEHMAN HUTTON UNIT              820926533       4026      14378               X                14378          0          0
SHEARSON LEHMAN HUTTON UNIT              820926889       3135      20903               X                20903          0          0
SHERWIN WILLIAMS CO COM                  824348106     333465      11352   X                            11352          0          0
SHERWIN WILLIAMS CO COM                  824348106    6703463     228203               X               200653        350      27200
SIFCO INDS VTG TR                        8265469A3    8495302     496076               X               496076          0          0
SIGMA ALDRICH CORP COM                   826552101    1868250      63600   X                            48150          0      15450
SIGMA ALDRICH CORP COM                   826552101    6871165     233912               X               228412       1200       4300
SKY FINL GROUP INC                       83080P103     711473      26911               X                26911          0          0
SMITHKLINE BEECHAM CORP                  832378301      55600        800   X                              800          0          0
SMITHKLINE BEECHAM CORP                  832378301    2134832      30717               X                30717          0          0
SMUCKER J M CO CL A                      832696108      74250       3000   X                             3000          0          0
SMUCKER J M CO CL A                      832696108    1052321      42518               X                36218          0       6300
SMUCKER J M CO                           832696207      66375       3000   X                             3000          0          0
SMUCKER J M CO                           832696207     898695      40619               X                35019          0       5600
SOFAMOR DANEK GROUP INC COM              834005100     311680       2560   X                                0          0       2560
SOLUTIA INC                              834376105      68535       3063   X                             3063          0          0
SOLUTIA INC                              834376105     243865      10899               X                10899          0          0
SONAT INC COM                            835415100     189441       7000   X                             7000          0          0
SONAT INC COM                            835415100     242484       8960               X                 8960          0          0
SONOCO PRODS CO COM                      835495102     136868       4620   X                             4620          0          0
SONOCO PRODS CO COM                      835495102    1495766      50490               X                44077          0       6413
SOUTHDOWN INC COM                        841297104    1157244      19552               X                18672          0        880
SOUTHERN CO COM                          842587107      92013       3166   X                             3166          0          0
SOUTHERN CO COM                          842587107    1015607      34945               X                32945          0       2000
SPEIZMAN INDS INC                        847805108      43750      10000               X                10000          0          0
SPRINT CORP COM                          852061100     709931       8439   X                             8439          0          0
SPRINT CORP COM                          852061100     693274       8241               X                 7457        146        638
SPRINT CORP                              852061506     139189       6019   X                             3835       2184          0
SPRINT CORP                              852061506     250004      10811               X                10492          0        319
STANDARD PRODUCTS CO COM                 853836104      46863       2300   X                             2300          0          0
STANDARD PRODUCTS CO COM                 853836104    1648358      80901               X                79901          0       1000
STAPLES INC COM                          855030102     123855       2835   X                                0       2835          0
STAPLES INC COM                          855030102     131064       3000               X                 3000          0          0
STATE STR CORP                           857477103   11770692     167853   X                           167254          0        599
STATE STR CORP                           857477103   34475343     491627               X               482182        370       9075
STATE STREET EXCHANGE FUND               857478101   19934606      38025               X                38025          0          0
                                                    ---------    -------                              -------       ----     ------
SUBTOTALS FOR THIS PAGE                             114694841    2719768                              2590667       8519     120583
</TABLE>

<PAGE>   23

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 21

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
STATE STREET INVESTMENT                  857483101     821513      66144               X                66144          0          0
STEARNS & LEHMAN INC COM                 857890107      81477      36212               X                36212          0          0
STEIN ROE INVT TR                        85842C601     520107      12009               X                12009          0          0
STERIS CORP COM                          859152100     197644       6950   X                             6950          0          0
STERIS CORP COM                          859152100    2573156      90483               X                88083          0       2400
STRYKER CORP COM                         863667101     110126       2000   X                             2000          0          0
STRYKER CORP COM                         863667101     253290       4600               X                 3800          0        800
SUN CMMNTYS INC COM                      866674104     378591      10875   X                            10875          0          0
SUN CMMNTYS INC COM                      866674104     884285      25401               X                25401          0          0
SUN MICROSYSTEMS INC COM                 866810104    1836656      21450   X                            20450          0       1000
SUN MICROSYSTEMS INC COM                 866810104    3319681      38770               X                38420          0        350
SUNAMERICA INC COM                       866930100    1328400      16200   X                            16200          0          0
SUNAMERICA INC COM                       866930100      22550        275               X                  275          0          0
SUNTRUST BKS INC COM                     867914103    1332630      17420               X                17420          0          0
SUSQUEHANA BANCSHARES INC PA COM         869099101    3718951     181687   X                           181687          0          0
SYSCO CORP COM                           871829107    1945848      70918   X                            69619          0       1299
SYSCO CORP COM                           871829107    9838169     358560               X               353760       2000       2800
TECO ENERGY INC COM                      872375100      56376       2000   X                             2000          0          0
TECO ENERGY INC COM                      872375100     407880      14470               X                12470          0       2000
T R W INC COM                            872649108    2702741      48209   X                            48209          0          0
T R W INC COM                            872649108   12917532     230411               X               214519          0      15892
TANDY CORP COM                           875382103     634501      15405   X                            15405          0          0
TANDY CORP COM                           875382103      41188       1000               X                 1000          0          0
TELEFLEX INC COM                         879369106     255500       5600               X                 5600          0          0
TELLABS INC COM                          879664100     349671       5100               X                 5100          0          0
TELXON CORP COM                          879700102     243853      17575               X                17575          0          0
TEMPLETON WORLD FUND                     880196100     407565      25585               X                25585          0          0
TEMPLETON FOREIGN FD                     880196209    1840372     219353   X                           207999          0      11354
TEMPLETON FOREIGN FD                     880196209    4267456     508636               X               496076          0      12560
TEMPLETON INSTL FDS INC                  880210505   27672812    1558154   X                          1537976          0      20178
TEMPLETON INSTL FDS INC                  880210505    3724226     209697               X               198618       3942       7136
TENET HEALTHCARE CORP COM                88033G100     330750      12600   X                                0          0      12600
TERADYNE INC COM                         880770102     559350      13200   X                              200          0      13000
TEXACO INC COM                           881694103     984952      18584   X                            10464          0       8120
TEXACO INC COM                           881694103    1380597      26049               X                20437          0       5612
TEXAS INSTRS INC COM                     882508104     726528       8485   X                             8485          0          0
TEXAS INSTRS INC COM                     882508104    1766016      20625               X                19425          0       1200
TEXAS UTILITIES CO COM (HLDG)            882848104     237875       5095   X                             4795          0        300
TEXAS UTILITIES CO COM (HLDG)            882848104     592798      12697               X                10426          0       2271
TEXTRON INC COM                          883203101     204729       2696   X                             2696          0          0
TEXTRON INC COM                          883203101      15188        200               X                  200          0          0
THERMO ELECTRON CORP COM                 883556102     208625      12317               X                12317          0          0
THORNBURG INCOME TR                      885215202     967126      70748               X                70748          0          0
TIME WARNER INC COM                      887315109    7633625     122998   X                           119048          0       3950
                                                    ---------    -------                              -------       ----     ------
SUBTOTALS FOR THIS PAGE                             100292906    4147443                              4016678       5942     124822
</TABLE>

<PAGE>   24

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 22

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
TIME WARNER INC COM                      887315109    7573548     122030               X               121430          0        600
TOOTSIE ROLL IND COM                     890516107     305175       7800               X                 7800          0          0
TOP ROC PRECAST CORP                     890790108          0      88332               X                88332          0          0
TORCHMARK CORP COM                       891027104    1228892      34800   X                            34800          0          0
TORCHMARK CORP COM                       891027104      52970       1500               X                 1500          0          0
TRANSAMERICA CORP COM                    893485102     124278       1076   X                             1076          0          0
TRANSAMERICA CORP COM                    893485102     176253       1526               X                 1526          0          0
TRI-CONTINENTAL CORP COM                 895436103     153473       5385   X                             5385          0          0
TRI-CONTINENTAL CORP COM                 895436103      88436       3103               X                 3103          0          0
TRICON GLOBAL RESTAURANTS                895953107    2105651      42008   X                            41978          0         30
TRICON GLOBAL RESTAURANTS                895953107    5540517     110534               X               104271        510       5753
TYCO INTL LTD NEW                        902124106    5045067      66877   X                            66477          0        400
TYCO INTL LTD NEW                        902124106    1162349      15408               X                 4408          0      11000
USX-MARATHON GROUP COM NEW               902905827     306974      10190   X                                0          0      10190
USX-MARATHON GROUP COM NEW               902905827     236963       7866               X                 7166        200        500
UST INC COM                              902911106     488250      14000               X                14000          0          0
US BANCORP NEW COM                       902973106     674500      19000   X                            19000          0          0
US BANCORP NEW COM                       902973106    1577478      44436               X                44436          0          0
UNCOMMON VALUES UNIT TR                  904310166      14081      10058               X                10058          0          0
UNILEVER N V                             904784501    1749992      21100               X                21100          0          0
UNION CAMP CORP COM                      905530101     216210       3221   X                             3221          0          0
UNION PAC CORP CO COM                    907818108      30643        680   X                              680          0          0
UNION PAC CORP CO COM                    907818108     702262      15584               X                12724          0       2860
UNION PAC RES GROUP INC COM              907834105       8664        956   X                              956          0          0
UNION PAC RES GROUP INC COM              907834105     159282      17575               X                15153          0       2422
UNITED DOMINION RLTY TR INC COM          910197102     206260      20000               X                20000          0          0
UNITED ACCUMULATIVE FD INVMT PROG        910450105     109811      13262               X                13262          0          0
UNITED HEALTH CARE CORP COM              910581107     169453       3935   X                             3935          0          0
UNITED HEALTH CARE CORP COM              910581107      81820       1900               X                 1900          0          0
U S WEST INC NEW                         91273H101   10149227     157048   X                           156562          0        486
U S WEST INC NEW                         91273H101   15167036     234693               X               223276       1733       9684
UNITED TECHNOLOGIES CORP COM             913017109    2185223      20094   X                            20094          0          0
UNITED TECHNOLOGIES CORP COM             913017109    1715749      15777               X                15777          0          0
UNOCAL CORP COM                          915289102      82544       2828   X                             2828          0          0
UNOCAL CORP COM                          915289102     593684      20340               X                20340          0          0
VAN KAMPEN ADVANTAGE MUN INCOME TR       92112K107     227538      16700               X                16700          0          0
VAN KAMPEN SER FD INC                    921133609     312780      15789               X                15789          0          0
VAN KAMPEN SER FD INC                    921133856      76887      11374               X                11374          0          0
VANGUARD OHIO TAX FREE MONEY MARKET      921929105      52171      52171               X                52171          0          0
VANGUARD OHIO TAX FREE FD                921929204       9530        796   X                              796          0          0
VANGUARD OHIO TAX FREE FD                921929204    1190739      99394               X                99394          0          0
VANGUARD WELLINGTON FUND INC             921935102       8658        295   X                              295          0          0
VANGUARD WELLINGTON FUND INC             921935102     271551       9252               X                 9252          0          0
VANGUARD/WELLESLEY INCOME FD INC         921938106     295346      13352   X                            13352          0          0
                                                     --------    -------                              -------       ----      -----
SUBTOTALS FOR THIS PAGE                              62627915    1374045                              1327677       2443      43925
</TABLE>

<PAGE>   25

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 23

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
VANGUARD WINDSOR FUND INC                922018106     651241      41827   X                            41827          0          0
VANGUARD WINDSOR FUND INC                922018106    1012714      65043               X                65043          0          0
VANGUARD FIXED INCOME SECS FD            922031307     106411      10183   X                            10183          0          0
VANGUARD MUN BD FD INC                   922907209     159945      11865               X                11314          0        551
VANGUARD MUN BD FD INC                   922907308     125102      11110               X                11110          0          0
VANGUARD MUN BD FD INC                   922907605     150900      11929   X                            11929          0          0
VANGUARD MUN BD FD INC                   922907605      44076       3484               X                 3484          0          0
VANGUARD INDEX TR 500 PORTFOLIO          922908108     629176       5522   X                             5522          0          0
VANGUARD INDEX TR 500 PORTFOLIO          922908108    5032623      44165               X                39866          0       4300
VIACOM INC CL B COM                      925524308     150590       2035   X                             2035          0          0
VIACOM INC CL B COM                      925524308     377474       5101               X                 5101          0          0
VODAFONE GROUP PLC SPONSORED ADR         92857T107     644500       4000               X                 4000          0          0
VORNADO RLTY TR SH BEN INT               929042109     502500      15000               X                15000          0          0
VULCAN MATERIALS CO COM                  929160109    8852611      67288               X                67288          0          0
WACHOVIA CORP COM                        929771103   19139479     218892   X                           217912          0        980
WACHOVIA CORP COM                        929771103   65493025     749022               X               737126        475      11421
WAL MART STORES INC                      931142103   16715394     205253   X                           196963          0       8290
WAL MART STORES INC                      931142103   29215231     358742               X               340602          0      18140
WALGREEN CO COM                          931422109    7230247     123461   X                           122311          0       1150
WALGREEN CO COM                          931422109    6733574     114980               X               114480          0        500
WALLACE COMPUTER SVCS INC                932270101     274195      10396               X                10396          0          0
WARNER LAMBERT CO COM                    934488107    2070978      27544   X                            27544          0          0
WARNER LAMBERT CO COM                    934488107    9094665     120959               X               120959          0          0
WASTE MANAGEMENT INC NEW COM             94106L109    1135645      24357   X                            24357          0          0
WASTE MANAGEMENT INC NEW COM             94106L109    1340236      28745               X                27959          0        786
WASTE-QUIP INC CL A COM                  9410779A9     217425      17394               X                    0          0      17394
WELLS FARGO & CO NEW                     949746101   20389188     510521   X                           493148      15953       1420
WELLS FARGO & CO NEW                     949746101   43351022    1085458               X              1041458          0      44000
WERNER ENTERPRISES INC                   950755108     218871      12374   X                            12374          0          0
WESTERN RESOURCES INC COM                959425109     226931       6825               X                 6825          0          0
WESTVACO CORP COM                        961548104      23676        883   X                              883          0          0
WESTVACO CORP COM                        961548104     533096      19882               X                19882          0          0
WHIRLPOOL CORP COM                       963320106   10619818     191780   X                           191780          0          0
WHIRLPOOL CORP COM                       963320106    5729098     103460               X               103310        150          0
WILLAMETTE INDS INC COM                  969133107     325955       9730   X                                0          0       9730
WILLAMETTE INDS INC COM                  969133107      53600       1600               X                 1600          0          0
WILLIAMS COS INC DEL COM                 969457100      37426       1200   X                             1200          0          0
WILLIAMS COS INC DEL COM                 969457100     278758       8938               X                 8458          0        480
WINN-DIXIE STORES INC COM                974280109     123496       2752   X                             2752          0          0
WINN-DIXIE STORES INC COM                974280109     156345       3484               X                 3484          0          0
WISCONSIN ENERGY CORP COM                976657106    1752669      55750   X                            55750          0          0
WISCONSIN ENERGY CORP COM                976657106    3019180      96036               X                95386        200        450
WOLVERINE TUBE INC COM                   978093102     131250       6250   X                             6250          0          0
WOLVERINE TUBE INC COM                   978093102     406875      19375               X                18775          0        600
                                                    ---------    -------                              -------      -----     ------
SUBTOTALS FOR THIS PAGE                             264477211    4434595                              4297626      16778     120192
</TABLE>

<PAGE>   26
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 24

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
WRIGLEY WILLIAM JR CO COM                982526105     273884       3058               X                 3058          0          0
XILINX INC COM                           983919101     556819       8550   X                              200          0       8350
XILINX INC COM                           983919101     104200       1600               X                 1400          0        200
XEROX CORP COM                           984121103    3134670      26565   X                            21525          0       5040
XEROX CORP COM                           984121103    4017192      34044               X                33444          0        600
YORK INTL CORP COM NEW                   986670107     689536      16895   X                            16795          0        100
YORK INTL CORP COM NEW                   986670107    2349441      57566               X                53441        150       3975
ZIONS BANCORP COM                        989701107     249500       4000               X                 4000          0          0
DORATY CHEVROLET INC                     990732687     814685        236   X                              236          0          0
                                                   ----------  ---------                            ---------     ------   --------
SUBTOTALS FOR THIS PAGE                              12189927     152514                               134099        150      18265
                                                   ----------  ---------                            ---------     ------   --------
SUBTOTALS FOR COMMON STOCK                         7845006714  301139816                            286369481     283938   14486401
</TABLE>

<PAGE>   27

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 25

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
APPLIED TECHNOLOGY VENTURES              0382839B5     277920        579               X                  579          0          0
GERMX L.L.C.                             3741599P8      64000      64000               X                64000          0          0
HOMEPLACE INC                            437399900     300000       4000               X                    0          0       4000
                                                       ------      -----                                -----          -       ----
SUBTOTALS FOR THIS PAGE                                641920      68579                                64579          0       4000
                                                       ------      -----                                -----          -       ----
SUBTOTALS FOR PREFERRED STOCK                          641920      68579                                64579          0       4000
</TABLE>

<PAGE>   28

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 001                                                             PAGE 26

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
ALLWASTE INC                             020047AA4       2000      25000               X                    0          0      25000
CII FINL INC SDCV 7.5% DUE 9/15/2001     12551LAB7      76100      80000               X                80000          0          0
MERIDIAN DIAGNOSTICS INC SUB DEB         589602AB7      15000      15000               X                15000          0          0
                                                        -----     ------                                -----          -      -----
SUBTOTALS FOR THIS PAGE                                 93100     120000                                95000          0      25000
                                                        -----     ------                                -----          -      -----
SUBTOTALS FOR OTHER                                     93100     120000                                95000          0      25000
</TABLE>

<PAGE>   29

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)
PREPARED FOR: 01-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98
DEPT ID# 001                                                             PAGE 27
**SUMMARY PAGE FOR: 01-NATIONAL CITY BANK               **

<TABLE>
<CAPTION>
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
<S>                                               <C>          <C>                                <C>             <C>    <C>
A. COMMON STOCK                                    7845006714  301139816                            286369481     283938   14486401
B. PREFERRED STOCK                                     641920      68579                                64579          0       4000
C. OTHER                                                93100     120000                                95000          0      25000
                                                   ----------  ---------                            ---------     ------   --------
**GRAND TOTALS**                                   7845741734  301328395                            286529060     283938   14515401
</TABLE>

<PAGE>   30

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 28

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
PARTNERRE LTD                            G6852T105     265350       5800   X                             5800          0          0
PARTNERRE LTD                            G6852T105      49181       1075               X                    0       1075          0
ADC TELECOMMUNICATIONS INC COM{          000886101      69500       2000   X                             2000          0          0
ADC TELECOMMUNICATIONS INC COM{          000886101     764500      22000               X                22000          0          0
AFLAC INC                                001055102      74588       1700   X                             1700          0          0
AFLAC INC                                001055102     193050       4400               X                 2200       2200          0
AMR CORP DEL                             001765106     370500       6240   X                             5940        300          0
AMR CORP DEL                             001765106      17813        300               X                  200        100          0
AT&T CORP COM                            001957109    2417864      31919   X                            30719        600        600
AT&T CORP COM                            001957109    2089715      27587               X                22419       3768       1400
ABBOTT LABS COM                          002824100    5127850     104650   X                           104400        250          0
ABBOTT LABS COM                          002824100    3524472      71928               X                64928       7000          0
ADVANCED DRAINAGE SYSTEMS INC            0075999A3     486412      14740               X                    0          0      14740
AEGON NV ORD AMER REG (NLG)              007924103     203913       1668   X                             1668          0          0
AEGON NV ORD AMER REG (NLG)              007924103     106113        868               X                  868          0          0
AGRICULTURAL LANDS                       008990103     196500        131   X                              131          0          0
AGRICULTURAL LANDS                       008990103     540000        360               X                    0          0        360
AIR PRODS & CHEM INC COM                 009158106     118000       2950   X                             2950          0          0
AIR PRODS & CHEM INC COM                 009158106     188000       4700               X                 1900          0       2800
AIRTOUCH COMMUNICATIONS INC COM          00949T100     393049       5426   X                             5426          0          0
AIRTOUCH COMMUNICATIONS INC COM          00949T100     572912       7909               X                 6209       1700          0
ALBERTSONS INC                           013104104     841363      13211   X                            13211          0          0
ALBERTSONS INC                           013104104     146482       2300               X                 1000       1300          0
ALLMERICA FINL CORP COM                  019754100     401653       6940   X                             6940          0          0
ALLSTATE CORP                            020002101     286671       7446   X                             7046          0        400
ALLSTATE CORP                            020002101     184338       4788               X                 4102        686          0
ALLTEL CORP COM                          020039103     246489       4121   X                             4121          0          0
ALLTEL CORP COM                          020039103     171185       2862               X                    0       2862          0
AMERICAN ELEC PWR INC COM                025537101     778799      16548   X                            16548          0          0
AMERICAN ELEC PWR INC COM                025537101    1636804      34779               X                17152       7027      10600
AMERICAN EXPRESS CO COM                  025816109     975390       9516   X                             9516          0          0
AMERICAN EXPRESS CO COM                  025816109     756860       7384               X                 5502       1882          0
AMERICAN GEN CORP                        026351106      70200        900   X                              900          0          0
AMERICAN GEN CORP                        026351106     441168       5656               X                 3700       1956          0
AMERICAN HOME PRODS CORP COM             026609107    1220181      21644   X                            20644       1000          0
AMERICAN HOME PRODS CORP COM             026609107    1897583      33660               X                22160      10000       1500
AMERICAN INTL GROUP INC                  026874107    3276651      33911   X                            32891          0       1020
AMERICAN INTL GROUP INC                  026874107    1139885      11797               X                 8592       3205          0
AMERITECH CORP NEW COM                   030954101    4586892      72377   X                            72227        150          0
AMERITECH CORP NEW COM                   030954101    2013487      31771               X                25021       6750          0
AMGEN INC COM                            031162100     554184       5300   X                             5300          0          0
AMGEN INC COM                            031162100      47053        450               X                  450          0          0
AMOCO CORP COM                           031905102    3254805      54360   X                            53960        400          0
AMOCO CORP COM                           031905102    3635251      60714               X                56550       4164          0
                                                     --------     ------                               ------      -----      -----
SUBTOTALS FOR THIS PAGE                              46332656     760786                               668991      58375      33420
</TABLE>

<PAGE>   31

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 29

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
ANALOG DEVICES INCORPORATED              032654105     253071       8066               X                    0       8066          0
ANHEUSER BUSCH COS INC                   035229103     329438       5020   X                             5020          0          0
ANHEUSER BUSCH COS INC                   035229103    1615688      24620               X                24620          0          0
ARNOLD WHOLESALE CORP COM                041992108     874350        450   X                              450          0          0
ARNOLD WHOLESALE CORP COM                041992108    5809570       2990               X                 2337        653          0
ARMADA FDS                               042086272    1358637     129394   X                           129394          0          0
ARMADA GOVERNMENT MONEY MKT              042086306      58200      58200   X                            58200          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1597407     157847   X                           157847          0          0
ARMADA NATIONAL TAX EXEMPT FD #297       042086363     236285      23348               X                23348          0          0
ARMADA TREASURY MONEY MKT FD             042086504    1367643    1367643   X                          1367643          0          0
ARMADA SMALL CAP GROWTH FD               042086579     982570      86418   X                            85443          0        974
ARMADA SMALL CAP GROWTH FD               042086579      98738       8684               X                 8118        566          0
ARMADA CORE EQUITY FD                    042086595      68832       5291   X                             5291          0          0
ARMADA CORE EQUITY FD                    042086595      86606       6657               X                 4587       2070          0
ARMADA INTERNATIONAL EQUITY FD           042086629    1037957      93678   X                            91893          0       1785
ARMADA INTERNATIONAL EQUITY FD           042086629     142242      12838               X                12838          0          0
ARMADA EQUITY INDEX FUND #42             042086645     125702      11792   X                            11792          0          0
ARMADA GNMA FD                           042086660     463158      44880   X                            44491          0        389
ARMADA GNMA FD                           042086660     217730      21098               X                16801       2413       1884
ARMADA BOND FD INSTL CL #630             042086686   23494112    2267771   X                          2225115      42291        366
ARMADA BOND FD INSTL CL #630             042086686    4615761     445537               X               344122      99527       1887
ARMADA OHIO TAX EXEMPT FUND              042086751   22226640    1982751   X                          1962641      20110          0
ARMADA OHIO TAX EXEMPT FUND              042086751    9376262     836419               X               573476     105881     157063
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1173792     112110   X                           110112          0       1998
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777      99912       9543               X                 9543          0          0
ARMADA INTERMEDIATE BD FUND              042086793   11855491    1104892   X                          1099798          0       5094
ARMADA INTERMEDIATE BD FUND              042086793     936012      87233               X                79355       4203       3675
ARMADA ENHANCED INCOME FUND              042086827     399017      39546   X                            39546          0          0
ARMADA SMALL CAP VALUE FUND              042086843    3610736     275629   X                           275288          0        340
ARMADA SMALL CAP VALUE FUND              042086843    1710088     130541               X                76872      52234       1435
ARMADA EQUITY INCOME FUND                042086868    5112936     293847   X                           292228        436       1183
ARMADA EQUITY INCOME FUND                042086868     872293      50132               X                43744       4717       1672
ARMADA EQUITY GROWTH FD                  042086884   42692489    1763424   X                          1744371      16308       2744
ARMADA EQUITY GROWTH FD                  042086884    8563571     353720               X               265212      83806       4703
ARMADA MONEY MARKET PORTFOLIO            042086983     103280     103280   X                           103280          0          0
ARMADA GOVT (DISC)                       042086991      88356      88356   X                            88356          0          0
ASCEND COMMUNICATIONS INC COM            043491109      62463        950   X                              950          0          0
ASCEND COMMUNICATIONS INC COM            043491109     236700       3600               X                    0       3600          0
ASSOCIATES FIRST CAP CORP COM            046008108     368747       8702   X                             8494        208          0
ASSOCIATES FIRST CAP CORP COM            046008108     333322       7866               X                 3026       3530       1310
ATLANTIC RICHFIELD CO COM                048825103      79758       1220   X                             1220          0          0
ATLANTIC RICHFIELD CO COM                048825103     245810       3760               X                 2160       1600          0
AUTOMATIC DATA PROCESSING INC COM        053015103    4421967      55145   X                            53895        350        900
AUTOMATIC DATA PROCESSING INC COM        053015103    2588068      32275               X                29050       1025       2200
                                                    ---------   --------                             --------     ------     ------
SUBTOTALS FOR THIS PAGE                             161991407   12127163                             11481967     453594     191602
</TABLE>

<PAGE>   32
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 30

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
BANC SVCS CORP COM                       059440107     225600       4800   X                             4800          0          0
BANK NEW YORK INC                        064057102      96600       2400   X                             2400          0          0
BANK NEW YORK INC                        064057102    1172885      29140               X                29140          0          0
BANK ONE CORP COM                        06423A103    7169705     140409   X                           140059        350          0
BANK ONE CORP COM                        06423A103    5179422     101432               X                91649       9783          0
BANKAMERICA CORP NEW                     06605F102    4766229      79272   X                            79072        200          0
BANKAMERICA CORP NEW                     06605F102     201840       3357               X                 3257        100          0
BANKERS TR CORP COM                      066365107     435734       5100   X                             4500        600          0
BANKERS TR CORP COM                      066365107     183692       2150               X                 2150          0          0
BARON ASSET FD                           068278100      75323       1490   X                             1490          0          0
BARON ASSET FD                           068278100     153617       3040               X                 2638        402          0
BAXTER INTL INC COM                      071813109     737027      11460   X                            11460          0          0
BAXTER INTL INC COM                      071813109     249856       3885               X                 3585        300          0
BELL ATLANTIC CORP COM                   077853109    1323000      24500   X                            24500          0          0
BELL ATLANTIC CORP COM                   077853109     296244       5486               X                 4986        500          0
BELLSOUTH CORP COM                       079860102    2698936      54114   X                            53314        800          0
BELLSOUTH CORP COM                       079860102    1960287      39304               X                18584      20720          0
BEST FOODS                               08658U101     500550       9400   X                             9400          0          0
BEST FOODS                               08658U101     511200       9600               X                 7200       2400          0
H & R BLOCK INC                          093671105     564750      12550   X                            12075        275        200
H & R BLOCK INC                          093671105      22500        500               X                  200        300          0
BOB EVANS FARMS INC COM                  096761101     279187      10712   X                            10712          0          0
BOB EVANS FARMS INC COM                  096761101     917809      35215               X                31758       3457          0
BOEING CO                                097023105     867270      26583   X                            25583        800        200
BOEING CO                                097023105     223481       6850               X                 4550        300       2000
BORDERS GROUP INC COM                    099709107    1246900      50000   X                            48900        700        400
BORDERS GROUP INC COM                    099709107      29926       1200               X                  600        600          0
BRANDYWINE FD INC COM                    10532D107     558387      18441   X                            18441          0          0
BRISTOL-MYERS SQUIBB                     110122108   12152387      90816   X                            90516        200        100
BRISTOL-MYERS SQUIBB                     110122108    7853485      58690               X                43690      14200        800
BURLINGTON RESOURCES INC COM             122014103      30441        850   X                              850          0          0
BURLINGTON RESOURCES INC COM             122014103     307992       8600               X                    0       8600          0
CBS CORP                                 12490K107     207641       6328   X                             5928        400          0
CBS CORP                                 12490K107    1082829      33000               X                33000          0          0
CIGNA CORP                               125509109     249334       3225               X                 3225          0          0
CVS CORPORATION (DEL)                    126650100    1069750      19450   X                            17450       1600        400
CVS CORPORATION (DEL)                    126650100    1127500      20500               X                 5100      13400       2000
CANTWELL MACHINERY CO COM                138689310     617540       2206               X                    0       2206          0
CARDINAL HEALTH INC COM                  14149Y108     635453       8375   X                             8375          0          0
CARDINAL HEALTH INC COM                  14149Y108    5678864      74845               X                 7627      10950      56268
CARNIVAL CORP COM                        143658102     184800       3850   X                             3600          0        250
CARNIVAL CORP COM                        143658102      74400       1550               X                 1550          0          0
CATERPILLAR INC                          149123101     517500      11250   X                            11100        150          0
CATERPILLAR INC                          149123101     156400       3400               X                  850        150       2400
                                                     --------    -------                               ------      -----      -----
SUBTOTALS FOR THIS PAGE                              64594273    1039325                               879864      94443      65018
</TABLE>

<PAGE>   33

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 31

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
CENTRAL & SOUTH WEST CORP COM            152357109     114471       4172   X                             4172          0          0
CENTRAL & SOUTH WEST CORP COM            152357109     144324       5260               X                 5260          0          0
CHASE MANHATTAN CORP NEW COM             16161A108     489403       6893   X                             6893          0          0
CHASE MANHATTAN CORP NEW COM             16161A108      49700        700               X                  700          0          0
CHEVRON  CORP                            166751107    2202667      26558   X                            26558          0          0
CHEVRON  CORP                            166751107    1753475      21142               X                12878       8264          0
CHUBB CORP                               171232101    1230250      19000   X                            18700        100        200
CHUBB CORP                               171232101      64750       1000               X                  700        300          0
CINCINNATI FINL CORP COM                 172062101     468983      12805   X                            12231         82        492
CINCINNATI FINL CORP COM                 172062101     204404       5581               X                 4636        945          0
CIRCUIT CITY STORES-CIRCUIT CITY         172737108     419479       8400               X                    0       8400          0
CISCO SYS INC                            17275R102    7222708      77820   X                            76936        472        412
CISCO SYS INC                            17275R102    1902667      20500               X                12308       6692       1500
CINTAS CORP                              172908105    4123793      58545   X                            57745        600        200
CINTAS CORP                              172908105     894563      12700               X                11500       1200          0
CITIZENS UTILS CO DEL                    177342201     210048      26256   X                            26256          0          0
COCA COLA CO COM                         191216100    7113889     106177   X                           105377        700        100
COCA COLA CO COM                         191216100    1366532      20396               X                11958       7438       1000
COLGATE PALMOLIVE CO COM                 194162103     412365       4440   X                             4440          0          0
COLGATE PALMOLIVE CO COM                 194162103     677616       7296               X                 3040       4256          0
COMCAST CORP                             200300200     237686       4050   X                             4050          0          0
COMPAQ COMPUTER CORP                     204493100    2051700      48850   X                            46450       1100       1300
COMPAQ COMPUTER CORP                     204493100     605136      14408               X                 8900       3008       2500
CONAGRA INC                              205887102    1587600      50400   X                            50400          0          0
CONSOLIDATED EDISON INC                  209115104      86609       1638   X                             1638          0          0
CONSOLIDATED EDISON INC                  209115104     148050       2800               X                 1000       1800          0
CONSOLIDATED NAT GAS CO COM              209615103     219456       4064   X                             4064          0          0
CONSOLIDATED NAT GAS CO COM              209615103     226800       4200               X                 1000       3200          0
COSTCO COMPANIES INC                     22160Q102     267096       3700   X                             3700          0          0
THE CROWN GROUP INC.                     228360103    1594880      89000               X                    0          0      89000
DCB FINL CORP                            233075100     171360      10080   X                            10080          0          0
DPL INC                                  233293109     239021      11053   X                            11053          0          0
DAYTON HUDSON CORP COM                   239753106     347200       6400   X                             6400          0          0
DEERE & CO COM                           244199105     193963       5900   X                             5700          0        200
DEERE & CO COM                           244199105      39450       1200               X                    0          0       1200
DIEBOLD INC COM                          253651103     340285       9535   X                             9535          0          0
DIEBOLD INC COM                          253651103      32119        900               X                  225        675          0
DILLARD'S INC                            254067101     224163       7900   X                             7900          0          0
DISNEY WALT CO COM                       254687106    1896900      63230   X                            58330       2500       2400
DISNEY WALT CO COM                       254687106     483300      16110               X                11630       1980       2500
DISPATCH PRINTING CO CAP VTC             254991102   17208000        956   X                              956          0          0
DISPATCH PRINTING CO CAP VTC             254991102   41274000       2293               X                  940        300       1054
DOMINION RES INC VA                      257470104     186860       3997   X                             3997          0          0
DOMINION RES INC VA                      257470104     345903       7399               X                 4549       1350       1500
                                                    ---------     ------                               ------      -----     ------
SUBTOTALS FOR THIS PAGE                             101073624     815704                               654785      55362     105558
</TABLE>

<PAGE>   34

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 32

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
DOW CHEM CO COM                          260543103     991224      10900   X                            10550        200        150
DOW CHEM CO COM                          260543103     463238       5094               X                 4094        500        500
DOW JONES & CO INC COM                   260561105     484908      10076   X                            10076          0          0
DOW JONES & CO INC COM                   260561105     101063       2100               X                 2100          0          0
DREYFUS FD INC COM                       262003106     166868      14485               X                    0      14485          0
DU PONT E I DE NEMOURS & CO COM          263534109    3282265      61856   X                            61315         66        475
DU PONT E I DE NEMOURS & CO COM          263534109    1609931      30340               X                18930      11410          0
DUKE ENERGY CORP COM                     264399106    1115081      17406   X                            17406          0          0
DUKE ENERGY CORP COM                     264399106     134532       2100               X                  500       1600          0
EMC CORPORATION                          268648102     561000       6600               X                    0       6600          0
EASTMAN KODAK CO COM                     277461109     485928       6749   X                             6549        200          0
EASTMAN KODAK CO COM                     277461109     147600       2050               X                 1950        100          0
EATON CORP COM                           278058102     809378      11450   X                            11150          0        300
EATON CORP COM                           278058102     547832       7750               X                 6250        300       1200
EATON VANCE MUNS TR OHIO                 27826L801     183485      16620   X                            16620          0          0
EATON VANCE MUNS TR OHIO                 27826L801      98906       8959               X                 1926       7033          0
EDISON INTL COM                          281020107     611522      21938   X                            21938          0          0
EDISON INTL COM                          281020107     234150       8400               X                 6800       1600          0
EDWARDS INDS INC COM                     2817679A3     233667       1654               X                 1654          0          0
ELECTRONIC DATA SYS CORP COM             285661104     288280       5744   X                             5694         50          0
ELECTRONIC DATA SYS CORP COM             285661104     291291       5804               X                 3904        400       1500
EMERSON ELEC CO COM                      291011104    5485172      90664   X                            88664       1000       1000
EMERSON ELEC CO COM                      291011104    2341955      38710               X                32750       5960          0
ENRON CORP COM                           293561106     275044       4820   X                             4820          0          0
ENRON CORP COM                           293561106     587749      10300               X                 3500       6800          0
ERICSSON L M TEL CO                      294821400    1266320      52900   X                            52900          0          0
ERICSSON L M TEL CO                      294821400     577863      24140               X                 3100      21040          0
EXXON CORP COM                           302290101   13221000     180800   X                           176468       4032        300
EXXON CORP COM                           302290101    6390979      87398               X                71034      14864       1500
F P L GROUP INC                          302571104     310159       5033   X                             5033          0          0
F P L GROUP INC                          302571104     362355       5880               X                 3100       2780          0
FREDDIE MAC COM                          313400301     748770      11620   X                            10820        800          0
FREDDIE MAC COM                          313400301     510349       7920               X                 1320       6600          0
FANNIE MAE COM                           313586109    6943420      93830   X                            93210        500        120
FANNIE MAE COM                           313586109    1012320      13680               X                 9520       2660       1500
FIDELITY SPARTAN MARKET INDEX FD         315912204    2298619      26947   X                            26947          0          0
FIDELITY CONTRAFUND INC                  316071109    2254260      39779   X                            39779          0          0
FIDELITY-MAGELLAN FD INC                 316184100     201496       1673   X                             1673          0          0
FIDELITY GROWTH & INCOME FDS             316389204    2453194      53540   X                            53540          0          0
FIDELITY ST TAX FREE PORFOLIOS           316412105     117400      10000   X                            10000          0          0
FIFTH THIRD BANCORP COM                  316773100   42154381     591118   X                           591118          0          0
FIFTH THIRD BANCORP COM                  316773100   16165677     226686               X                 9000          0     217686
FIRSTAR CORP NEW WIS                     33763V109    2428044      26108   X                            26108          0          0
FIRSTAR CORP NEW WIS                     33763V109      60450        650               X                  650          0          0
                                                    ---------    -------                              -------     ------     ------
SUBTOTALS FOR THIS PAGE                             121009125    1862271                              1524460     111580     226231
</TABLE>

<PAGE>   35

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 33

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
FORD MTR CO DEL COM                      345370100    2328740      39680   X                            37580       2100          0
FORD MTR CO DEL COM                      345370100    1197939      20412               X                10172       7740       2500
FORTUNE BRANDS INC                       349631101     175519       5550   X                             5550          0          0
FORTUNE BRANDS INC                       349631101     208725       6600               X                 6600          0          0
FRANKLIN CUSTODIAN FDS INC               353496300      40042      16967   X                            16967          0          0
FRANKLIN CUSTODIAN FDS INC               353496300      15272       6471               X                 6471          0          0
FRANKLIN CUSTODIAN FDS INC               353496805      29361      12441   X                            12441          0          0
FRANKLIN TAX FREE TR                     354723504     130927      10457   X                            10457          0          0
FRANKLIN TAX FREE TR                     354723504     137036      10945               X                 7141       3804          0
GTE CORP COM                             362320103    4085055      62847   X                            61865        282        700
GTE CORP COM                             362320103    1987310      30574               X                18564      12010          0
GANNETT INC COM                          364730101    1022067      15846   X                            15730        116          0
GANNETT INC COM                          364730101    4532802      70276               X                70276          0          0
GAP INC COM                              364760108     388666       6925   X                             6925          0          0
GENERAL ELEC CO COM                      369604103   25705428     252014   X                           243123       8366        525
GENERAL ELEC CO COM                      369604103    7711608      75604               X                50140      25464          0
GENERAL MILLS INC COM                    370334104     509263       6550   X                             6550          0          0
GENERAL MILLS INC COM                    370334104     191732       2466               X                 1000       1466          0
GENERAL MTRS CORP COM                    370442105    1089475      15224   X                            15024        200          0
GENERAL MTRS CORP COM                    370442105     709332       9912               X                 8257       1655          0
GEORGIA PAC CORP COM                     373298108     450467       7692   X                             7668         24          0
GEORGIA PAC CORP COM                     373298108     644193      11000               X                 8300       1700       1000
GEORGIA PAC CORP                         373298702     109540       4600   X                             4600          0          0
GEORGIA PAC CORP                         373298702     145259       6100               X                 4600        500       1000
GILLETTE CO COM                          375766102    3708185      77556   X                            75654       1702        200
GILLETTE CO COM                          375766102     919253      19226               X                14558       3168       1500
GUNDY HLDG CO 12/87                      399994904     529700         58               X                    0          0         58
HBO & CO COM                             404100109    1310324      45675   X                            43350       1675        650
HBO & CO COM                             404100109     377706      13166               X                 7200       5966          0
HALLIBURTON CO COM                       406216101     497700      16800   X                            16000        600        200
HALLIBURTON CO COM                       406216101     157013       5300               X                 2000        800       2500
HANSEN-DAYTON INC COM                    411340904    8667996        722               X                    0        722          0
HARBOR TRUST 1996 GIC                    411991946    2528849     212546   X                           212546          0          0
HARLEY DAVIDSON INC COM                  412822108    2580990      54480   X                            53380        500        600
HARLEY DAVIDSON INC COM                  412822108     341100       7200               X                 2900       1700       2600
HEALTHDYNE INFO ENTERPRISES              422204107     578346     112848   X                           112848          0          0
HEINZ H J CO COM                         423074103     448753       7925   X                             7925          0          0
HEINZ H J CO COM                         423074103     410531       7250               X                  375       6875          0
HEWLETT PACKARD CO COM                   428236103    1873484      27425   X                            26525          0        900
HEWLETT PACKARD CO COM                   428236103     842846      12338               X                12233        105          0
HILTON HOTELS CORP                       432848109     286875      15000   X                            15000          0          0
HILTON HOTELS CORP                       432848109      28688       1500               X                    0       1500          0
HOME DEPOT INC COM                       437076102    7447681     121718   X                           117918       3100        700
HOME DEPOT INC COM                       437076102    1728806      28254               X                18904       7350       2000
                                                     --------    -------                              -------     ------      -----
SUBTOTALS FOR THIS PAGE                              88810584    1494140                              1375317     101190      17633
</TABLE>

<PAGE>   36

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 34

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
HUNTINGTON BANCSHARES INC COM            446150104    4485039     149188   X                           149188          0          0
HUNTINGTON BANCSHARES INC COM            446150104    1757212      58451               X                40860      17591          0
IDS HIGH YIELD TAX EXEMPT FD INC COM     449440106     209259      44809   X                            44809          0          0
ILLINOIS TOOL WORKS INC COM              452308109     498800       8600   X                             8500          0        100
ILLINOIS TOOL WORKS INC COM              452308109      81200       1400               X                 1000        400          0
INTEL CORP                               458140100   12815238     108088   X                           105963       2000        125
INTEL CORP                               458140100    1734577      14630               X                 8711       5919          0
INTERNATIONAL BUSINESS MACHS CORP        459200101    7159466      38831   X                            38281        550          0
INTERNATIONAL BUSINESS MACHS CORP        459200101    3260488      17684               X                13114       4570          0
INTERNATIONAL FLAVORS &                  459506101      13256        300   X                              300          0          0
INTERNATIONAL FLAVORS &                  459506101     280594       6350               X                 4950          0       1400
INTIMATE BRANDS INC CL A COM             461156101    1260725      42200   X                            42200          0          0
INTIMATE BRANDS INC CL A COM             461156101      74688       2500               X                 2500          0          0
JANUS INVT FD                            471023309     896909      18938   X                            18938          0          0
JANUS INVT FD                            471023309      22304        471               X                    0        471          0
JEFFERSON PILOT                          475070108     352500       4700               X                    0       4700          0
JOHNSON & JOHNSON COM                    478160104    2520863      30055   X                            28215       1000        840
JOHNSON & JOHNSON COM                    478160104     567834       6770               X                 6770          0          0
KANSAS CITY PWR & LT CO COM              485134100     250035       8440               X                 8440          0          0
KELLOGG CO COM                           487836108     513240      15040   X                            15040          0          0
KEMPER GOV'T SEC TR UNIT                 488903162        900      45000   X                            45000          0          0
KEYCORP NEW COM                          493267108     274688       8584   X                             8584          0          0
KEYCORP NEW COM                          493267108     492800      15400               X                    0      15400          0
KIMBERLY CLARK CORP COM                  494368103     688989      12642   X                            11942          0        700
KIMBERLY CLARK CORP COM                  494368103     307816       5648               X                 4400       1248          0
KOHLS CORP COM                           500255104     387059       6300               X                    0       6300          0
LANCASTER COLONY CORP COM                513847103    5567006     173292   X                           173292          0          0
LAUDER ESTEE COS INC                     518439104     256500       3000   X                             3000          0          0
LAUDER ESTEE COS INC                     518439104      42750        500               X                    0        500          0
LILLY ELI & CO COM                       532457108     568800       6400   X                             6400          0          0
LILLY ELI & CO COM                       532457108    1042504      11730               X                11030        700          0
LIMITED INC COM                          532716107     650245      22326   X                            21517        109        700
LIMITED INC COM                          532716107     543181      18650               X                18650          0          0
LIQUI BOX CORP COM                       536314107     351104       6752               X                 2300       4452          0
LOCKHEED MARTIN CORP COM                 539830109      33900        400   X                              400          0          0
LOCKHEED MARTIN CORP COM                 539830109     296625       3500               X                    0       3500          0
LUBRIZOL CORP COM                        549271104     155412       6050   X                             6050          0          0
LUBRIZOL CORP COM                        549271104      77064       3000               X                 1000       2000          0
LUCENT TECHNOLOGIES INC COM              549463107    4469859      40658   X                            40072        586          0
LUCENT TECHNOLOGIES INC COM              549463107    2870921      26114               X                17888       8226          0
MCI WORLDCOM INC COM                     55268B106    1461117      20364   X                            19964          0        400
MCI WORLDCOM INC COM                     55268B106     951979      13268               X                 2868      10400          0
MAGNA INTL INC CL A                      559222401     291400       4700               X                    0       4700          0
MASCO CORP COM                           574599106    1282250      44600   X                            42900          0       1700
                                                     --------    -------                               ------      -----       ----
SUBTOTALS FOR THIS PAGE                              61819096    1076323                               975036      95322       5965
</TABLE>

<PAGE>   37

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 35

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
MASCO CORP COM                           574599106     333500      11600               X                11600          0          0
MASSACHUSETTS INV GROWTH STK FD          575719109     344595      21659               X                    0      21659          0
MAY DEPT STORES CO COM                   577778103     136689       2264   X                             2264          0          0
MAY DEPT STORES CO COM                   577778103      66413       1100               X                    0          0       1100
MAHLON MAXTON COM                        577991102    3699864        294   X                              294          0          0
MAZEL STORES INC                         578792103    7725000     600000               X                    0     600000          0
MCCORMICK & CO INC COM NON VTG           579780206     451404      13350   X                            13150        200          0
MCCORMICK & CO INC COM NON VTG           579780206      37194       1100               X                  300        800          0
MCDONALDS CORP COM                       580135101    3858229      50229   X                            49679        400        150
MCDONALDS CORP COM                       580135101    3140576      40886               X                26086      14800          0
MEDIAONE GROUP INC                       58440J104     105045       2235   X                             2235          0          0
MEDIAONE GROUP INC                       58440J104     133104       2832               X                 2500        332          0
MEDTRONIC INC                            585055106     597962       8050   X                             7450        600          0
MEDTRONIC INC                            585055106     698241       9400               X                  300       9100          0
MELLON  BK CORP                          585509102     342031       4975   X                             4875        100          0
MELLON  BK CORP                          585509102      68750       1000               X                  900        100          0
MERCK & CO INC COM                       589331107    9924605      67285   X                            66100        960        225
MERCK & CO INC COM                       589331107    5147455      34898               X                26277       7621       1000
MICROSOFT CORP                           594918104   10054880      72500   X                            70625        200       1675
MICROSOFT CORP                           594918104     874844       6308               X                 3800       2508          0
MICRON TECHNOLOGY                        595112103     141324       2795   X                             2795          0          0
MICRON TECHNOLOGY                        595112103     142739       2823               X                  565       2258          0
MINNESOTA MNG & MFG CO COM               604059105    2393854      33657   X                            32925        232        500
MINNESOTA MNG & MFG CO COM               604059105    1257490      17680               X                13425       3255       1000
MOBIL CORP COM                           607059102    5483822      62942   X                            61742       1000        200
MOBIL CORP COM                           607059102    1913091      21958               X                18558       3400          0
MONSANTO CO COM                          611662107    2037988      42905   X                            42005        300        600
MONSANTO CO COM                          611662107     118750       2500               X                 1700        800          0
MONTREAL RIVER INTL SILVER MINES LTD     614990901      27000      75000   X                            75000          0          0
MORGAN J P & CO INC COM                  616880100    1426230      13575   X                            13475          0        100
MORGAN J P & CO INC COM                  616880100      63038        600               X                  200        400          0
MORGAN STANLEY DEAN WITTER & CO          617446448     110760       1560   X                             1560          0          0
MORGAN STANLEY DEAN WITTER & CO          617446448      94714       1334               X                 1046        288          0
MORTON INTL INC IND NEW                  619335102     138425       5650   X                             5650          0          0
MORTON INTL INC IND NEW                  619335102     282975      11550               X                 7950       1200       2400
MOTOROLA INC COM                         620076109    1031965      16900   X                            16500          0        400
MOTOROLA INC COM                         620076109     563856       9234               X                 8950        284          0
NATIONAL CITY CORP COM                   635405103    5568073      76801   X                            76601        200          0
NATIONAL CITY CORP COM                   635405103   17026045     234842               X                60742      26300     147800
NATIONAL FUEL GAS CO N J                 636180101     245823       5440   X                             5440          0          0
NATIONAL LIME & STONE CO                 636795106     515970       1470   X                             1470          0          0
NATIONAL MACHINERY CO COM                636826109     340000         68   X                               68          0          0
NESTLE S A ADR                           641069406     261223       2400   X                             2400          0          0
NESTLE S A ADR                           641069406      21769        200               X                  200          0          0
                                                     --------    -------                               ------     ------     ------
SUBTOTALS FOR THIS PAGE                              88947305    1595849                               739402     699297     157150
</TABLE>

<PAGE>   38

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 36

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
NORFOLK SOUTHERN CORP                    655844108     457701      14444   X                            14370         74          0
NORFOLK SOUTHERN CORP                    655844108     632841      19971               X                15771       1500       2700
EDWARD A NORMAN INVESTMENT CO COM        656139904     781898        690   X                              690          0          0
NORTHERN TR CORP COM                     665859104     340521       3900   X                             3900          0          0
NUVEEN FLAGSHIP MUN TR                   67065Q848     106195       9707   X                             9707          0          0
NUVEEN FLAGSHIP MUN TR                   67065Q848      52993       4844               X                 4844          0          0
OMNICOM GROUP INC                        681919106     437784       7548               X                  248       7300          0
ONE VALLEY BANCORP INC COM               682419106     359554      10937   X                            10937          0          0
PNC BANK CORP                            693475105     556848      10312   X                             9112          0       1200
PNC BANK CORP                            693475105     167400       3100               X                 3100          0          0
PPG INDS INC COM                         693506107     125221       2152   X                             2152          0          0
PPG INDS INC COM                         693506107     285121       4900               X                 3300       1600          0
PARK NATIONAL CORPORATION                700658107     328776       3192   X                             3192          0          0
PEPSICO INC COM                          713448108   10310394     252242   X                           246910       3932       1400
PEPSICO INC COM                          713448108    3041100      74400               X                54350      20050          0
PFIZER INC COM                           717081103   16142375     129139   X                           127664        500        975
PFIZER INC COM                           717081103    5887000      47096               X                39796       6300       1000
PHILIP MORRIS COS INC COM                718154107   11818294     220903   X                           220903          0          0
PHILIP MORRIS COS INC COM                718154107    2574688      48125               X                36225      11900          0
PITNEY BOWES INC                         724479100    4523386      68471   X                            67871        600          0
PITNEY BOWES INC                         724479100    1981890      30000               X                22200       7800          0
PROCTER & GAMBLE CO COM                  742718109    9899060     108408   X                           107142        166       1100
PROCTER & GAMBLE CO COM                  742718109    5045865      55259               X                46027       8232       1000
PROVIDIAN FINL CORP                      74406A102     225000       3000   X                             3000          0          0
PROVIDIAN FINL CORP                      74406A102     112500       1500               X                 1500          0          0
PUBLIC SVC ENTERPRISE GROUP INC COM      744573106     318000       7950   X                             7950          0          0
PUBLIC SVC ENTERPRISE GROUP INC COM      744573106     224480       5612               X                 5612          0          0
PUTNAM GROWTH & INCOME FD II             74677M207     186966      13499   X                            13499          0          0
PUTNAM INVT FDS                          746802602     222995      17642   X                            17642          0          0
QUAKER OATS CO COM                       747402105     636650      10700   X                            10700          0          0
RPM INC OHIO COM                         749685103     435632      27227   X                            27227          0          0
RPM INC OHIO COM                         749685103     165968      10373               X                 7796       2577          0
RADIOHIO INC CAP                         749991907     278400         87   X                               87          0          0
RADIOHIO INC CAP                         749991907     864000        270               X                   30          0        240
RALSTON-RALSTON PURINA GROUP             751277302     369438      11500               X                    0      11500          0
RENTALS BUILDING CORP COM                760099101     578545      13635   X                            13635          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     675038      14100   X                            14100          0          0
ROYAL DUTCH PETROLEUM CO                 780257804     669484      13984               X                 1400      12584          0
SBC COMMUNICATIONS INC COM               78387G103     957743      17860   X                            17860          0          0
SBC COMMUNICATIONS INC COM               78387G103    1431573      26696               X                19256       7440          0
SPX CORP COM                             784635104     233696       3488               X                 3488          0          0
SAFEWAY INC COM NEW                      786514208     390003       6400   X                             6400          0          0
SAFEWAY INC COM NEW                      786514208     621568      10200               X                    0      10200          0
SARA LEE CORP                            803111103    1407596      49936   X                            49936          0          0
                                                     --------    -------                              -------     ------       ----
SUBTOTALS FOR THIS PAGE                              86862180    1395399                              1271529     114255       9615
</TABLE>

<PAGE>   39

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 37

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
SARA LEE CORP                            803111103     529934      18800               X                18800          0          0
SCHERING PLOUGH CORP COM                 806605101    3437655      62220   X                            61820          0        400
SCHERING PLOUGH CORP COM                 806605101    1481805      26820               X                11800      15020          0
SCHLUMBERGER LTD                         806857108    2648291      57106   X                            56081        100        925
SCHLUMBERGER LTD                         806857108    1004483      21660               X                17350       3110       1200
SECURITY BANC CORP COM                   813767100     321010       6830   X                             6830          0          0
SEDALIA FARMS INC COM                    814990107    1335000        250               X                  250          0          0
SELIGMAN TAX EXEMPT FD SERIES INC        816346506      20701       2540   X                             2540          0          0
SELIGMAN TAX EXEMPT FD SERIES INC        816346506     167689      20575               X                12333       8242          0
SERVICE CORP INTL                        817565104     628040      16500   X                            16500          0          0
SERVICE CORP INTL                        817565104      70417       1850               X                 1850          0          0
SHERWIN WILLIAMS CO COM                  824348106    2173750      74000   X                            74000          0          0
SHERWIN WILLIAMS CO COM                  824348106     185063       6300               X                 6300          0          0
SIGMA-ALDRICH CORP                       826552101     342219      11650   X                            11650          0          0
SIGMA-ALDRICH CORP                       826552101     129250       4400               X                 3600        800          0
SMITHKLINE BEECHAM P L C                 832378301     458700       6600   X                             6600          0          0
SOUTH COLUMBIA CORP COM                  837993906    6376704       1216   X                             1216          0          0
SOUTH COLUMBIA CORP COM                  837993906     503424         96               X                    0          0         96
SOUTHERN CO COM                          842587107     308475      10614   X                            10614          0          0
SOUTHERN CO COM                          842587107      90677       3120               X                  520       2600          0
MCNEIL REAL ESTATE FD                    844545202       7500      25000   X                            25000          0          0
SPRINT CORP COM                          852061100     885668      10528   X                            10528          0          0
SPRINT CORP COM                          852061100     765538       9100               X                 4000       5100          0
STAPLES INC                              855030102     637845      14600               X                    0      14600          0
STATE STR CORP                           857477103     238425       3400   X                             3400          0          0
STATE STR CORP                           857477103      82046       1170               X                  170       1000          0
SUN MICRO SYSTEMS                        866810104    6126469      71550   X                            71050        100        400
SUN MICRO SYSTEMS                        866810104     984688      11500               X                 6100       5400          0
SUNAMERICA INC COM                       866930100     303400       3700   X                             3400          0        300
SUNAMERICA INC COM                       866930100      77900        950               X                  950          0          0
TGX INC                                  872424106        940      10000   X                            10000          0          0
TECHNICAL RUBBER CO INC CL B NON-VTG     878990902   14620500        540   X                                0          0        540
TEMPLETON FDS FOREIGN FD                 880196209      19827      43102   X                            43102          0          0
TEMPLETON FDS FOREIGN FD                 880196209      31994      69552               X                22457      47095          0
TEMPLETON INSTL FDS INC                  880210505     597960      33669   X                            33669          0          0
TEMPLETON INSTL FDS INC                  880210505     178388      10044               X                10044          0          0
TEXACO INC COM                           881694103     111300       2100   X                             2100          0          0
TEXACO INC COM                           881694103     153700       2900               X                  700       1800        400
TEXAS INSTRS INC COM                     882508104      94188       1100   X                             1100          0          0
TEXAS INSTRS INC COM                     882508104     685942       8011               X                 2000       4611       1400
TEXAS UTILITIES CO COM (HLDG)            882848104     228771       4900   X                             4900          0          0
TEXAS UTILITIES CO COM (HLDG)            882848104     102714       2200               X                 2200          0          0
TEXTRON INC COM                          883203101      15188        200   X                              200          0          0
TEXTRON INC COM                          883203101     212626       2800               X                 2800          0          0
                                                     --------     ------                               ------     ------       ----
SUBTOTALS FOR THIS PAGE                              49376804     695763                               580524     109578       5661
</TABLE>

<PAGE>   40

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 002                                                             PAGE 38

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
TIME WARNER INC                          887315109     446854       7200   X                             7200          0          0
TIME WARNER INC                          887315109     781994      12600               X                    0      12600          0
TORCHMARK CORP COM                       891027104     298395       8450   X                             8450          0          0
TORCHMARK CORP COM                       891027104      10594        300               X                  300          0          0
TRICON GLOBAL RESTAURANTS                895953107     551876      11010   X                            11010          0          0
TRICON GLOBAL RESTAURANTS                895953107     143358       2860               X                 2740        120          0
TYCO INTL LTD NEW                        902124106     611572       8107   X                             8107          0          0
TYCO INTL LTD NEW                        902124106      67894        900               X                  900          0          0
TYSON FDS INC COM                        902494103     803250      37800   X                            37800          0          0
UNUM CORP                                903192102     367763       6300               X                    0       6300          0
UNITED BANKSHARES INC WV                 909907107     452408      17072   X                            17072          0          0
U S WEST INC NEW                         91273H101     160076       2477   X                             2477          0          0
U S WEST INC NEW                         91273H101     218950       3388               X                 3047        341          0
UNITED TECHNOLOGIES CORP COM             913017109    1589055      14612   X                            14612          0          0
UNITED TECHNOLOGIES CORP COM             913017109     369750       3400               X                 3400          0          0
VAN KAMPEN MERRITT PRIME RATE            920914108     311905      31410   X                            31410          0          0
VAN KAMPEN MERRITT US GOVT FD            921129102      53748       3717   X                             3717          0          0
VAN KAMPEN MERRITT US GOVT FD            921129102     137999       9544               X                 6362       3182          0
VANGUARD INDEX TR 500 PORTFOLIO          922908108     619839       5440   X                             5440          0          0
VANGUARD INDEX TR 500 PORTFOLIO          922908108      68370        600               X                  600          0          0
WACHOVIA CORP COM                        929771103    1830952      20940   X                            20640        300          0
WACHOVIA CORP COM                        929771103     306033       3500               X                 3200        300          0
WAL MART STORES INC                      931142103    2029435      24920   X                            24620          0        300
WAL MART STORES INC                      931142103    3204585      39350               X                35950       3400          0
WALGREEN CO COM                          931422109    3419797      58395   X                            57995        150        250
WALGREEN CO COM                          931422109    1130266      19300               X                19163        137          0
WARNER LAMBERT CO COM                    934488107     486166       6466   X                             6166        300          0
WARNER LAMBERT CO COM                    934488107     180451       2400               X                 2400          0          0
WASTE MANAGEMENT INC NEW COM             94106L109      80055       1717   X                             1717          0          0
WASTE MANAGEMENT INC NEW COM             94106L109    1305500      28000               X                13500      14500          0
WELLS FARGO & CO NEW                     949746101    3419092      85610   X                            82960       2400        250
WELLS FARGO & CO NEW                     949746101    1293991      32400               X                17100      13300       2000
WENDYS INTL INC COM                      950590109      91615       4200   X                             4200          0          0
WENDYS INTL INC COM                      950590109     578001      26498               X                 6498          0      20000
WILLAMETTE INDS INC COM                  969133107     150750       4500   X                             4500          0          0
WILLAMETTE INDS INC COM                  969133107      82142       2452               X                    0       2452          0
WISCONSIN ENERGY CORP                    976657106     228900       7281   X                             7231         50          0
WISCONSIN ENERGY CORP                    976657106     209063       6650               X                 3950        500       2200
WORTHINGTON FOODS INC COM                981809106    3534380     186020   X                           186020          0          0
WORTHINGTON FOODS INC COM                981809106      37012       1948               X                 1948          0          0
WORTHINGTON INDS INC                     981811102    2759875     220790   X                           220108         82        600
WORTHINGTON INDS INC                     981811102     432325      34586               X                24747       9839          0
XEROX CORP COM                           984121103    3638294      30833   X                            30333        200        300
XEROX CORP COM                           984121103    2242000      19000               X                14500       4500          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              40736330    1054943                               954090      74953      25900
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR COMMON STOCK                          911553384   23917666                             21105965    1967949     843753
</TABLE>
<PAGE>   41

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)
PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98
DEPT ID# 002                                                          PAGE    39
SEC USE ONLY________________________________________


<TABLE>
<CAPTION>
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>   42

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
SECTION 13(F)

PREPARED FOR: 02-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98
DEPT ID# 002                                                             PAGE 40

**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                                     911553384   23917666                             21105965    1967949     843753
B. PREFERRED STOCK                                          0          0                                    0          0          0
                                                  ----------- ----------                           ---------- ---------- ----------
**GRAND TOTALS**                                    911553384   23917666                             21105965    1967949     843753
</TABLE>
<PAGE>   43
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 41

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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    2323038      66850   X                            66850          0          0
 AT&T CORP COM                            001957109    2174101      28701   X                            28701          0          0
 ABBOTT LABS COM                          002824100    3532900      72100   X                            72100          0          0
 ABBOTT LABS COM                          002824100    4686850      95650               X                95650          0          0
 AEGON NV ORD AMER REG (NLG)              007924103    1078979       8826   X                             8826          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100    3962359      54700   X                            54700          0          0
 ALBERTSONS INC                           013104104    3652507      57350   X                            57350          0          0
 ALBERTSONS INC                           013104104     420341       6600               X                 6600          0          0
 ALUMINUM CO AMER COM                     022249106     309436       4150   X                             4150          0          0
 AMERICAN EXPRESS CO COM                  025816109    2080750      20300   X                            20300          0          0
 AMERICAN HOME PRODS CORP COM             026609107    3430419      60850   X                            60850          0          0
 AMERICAN INTL GROUP INC                  026874107    7384372      76423   X                            76423          0          0
 AMERICAN INTL GROUP INC                  026874107    6070659      62827               X                62827          0          0
 AMERITECH CORP NEW COM                   030954101    4160569      65650   X                            65650          0          0
 AMERITECH CORP NEW COM                   030954101      19013        300               X                  300          0          0
 AMP INC COM                              031897101     607263      11664   X                            11664          0          0
 AMOCO CORP COM                           031905102     368231       6150   X                             6150          0          0
 AMOCO CORP COM                           031905102    1077750      18000               X                18000          0          0
 ANHEUSER BUSCH COS INC                   035229103     984375      15000   X                            15000          0          0
 APPLIED MATLS INC COM                    038222105    1408704      33000   X                            33000          0          0
 ARMADA GNMA FD                           042086660     149691      14505   X                            14505          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     416289      39760   X                            39760          0          0
 ARMADA INTERMEDIATE BD FUND              042086793    1759682     163996   X                           163996          0          0
 ARMADA SMALL CAP VALUE FUND              042086843     377163      28791   X                            28791          0          0
 ARMADA SMALL CAP VALUE FUND              042086843      14246       1087               X                 1087          0          0
 ARMADA EQUITY INCOME FUND                042086868     402964      23159   X                            23159          0          0
 ARMADA EQUITY GROWTH FD                  042086884    1501638      78538   X                            78538          0          0
 ATLANTIC RICHFIELD CO COM                048825103     653750      10000   X                            10000          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    4589159      57230   X                            57230          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    5380615      67100               X                67100          0          0
 AVERY DENNISON CORP COM                  053611109     410073       9100   X                             9100          0          0
 AVON PRODS INC COM                       054303102    1309800      29600   X                            29600          0          0
 BANK NEW YORK INC                        064057102    1610000      40000   X                            40000          0          0
 BANK ONE CORP COM                        06423A103    3308627      64795   X                            64795          0          0
 BANK ONE CORP COM                        06423A103     297799       5832               X                 5832          0          0
 BANKAMERICA CORP NEW                     06605F102    4596790      76454   X                            76454          0          0
 BANKBOSTON CORP                          06605R106     272566       7000   X                             7000          0          0
 BELL ATLANTIC CORP COM                   077853109    1166400      21600   X                            21600          0          0
 BELLSOUTH CORP COM                       079860102    3383021      67830   X                            67830          0          0
 BELLSOUTH CORP COM                       079860102    4380821      87836               X                87836          0          0
 A H BELO                                 080555105     598140      30000   X                            30000          0          0
 BEST FOODS                               08658U101     969150      18200   X                            18200          0          0
 BLACKROCK FDS                            091927103     247698     247698   X                           247698          0          0
 BLACKROCK TARGET TERM TR INC COM         092476100     487500      50000   X                            50000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              88016198    2005202                              2005202          0          0
</TABLE>
<PAGE>   44
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 42

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BOEING CO                                097023105    1164713      35700   X                            35700          0          0
 BOEING CO                                097023105      45675       1400               X                 1400          0          0
 BOSTON SCIENTIFIC CORP COM               101137107    2305918      86000   X                            86000          0          0
 BRISTOL-MYERS SQUIBB                     110122108    8485082      63410   X                            63410          0          0
 BRISTOL-MYERS SQUIBB                     110122108    9600815      71748               X                71748          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104    1700513      49650   X                            49650          0          0
 BURLINGTON RESOURCES INC COM             122014103     641053      17900   X                            17900          0          0
 CBS CORP                                 12490K107     492195      15000   X                            15000          0          0
 CIGNA CORP                               125509109     104373       1350   X                             1350          0          0
 CIGNA CORP                               125509109     434886       5625               X                 5625          0          0
 CSX CORP                                 126408103     290500       7000   X                             7000          0          0
 CVS CORPORATION (DEL)                    126650100     852445      15499   X                            15499          0          0
 CVS CORPORATION (DEL)                    126650100      22000        400               X                  400          0          0
 CARDINAL HEALTH INC COM                  14149Y108    1456800      19200   X                            19200          0          0
 CARDINAL HEALTH INC COM                  14149Y108      17072        225               X                  225          0          0
 CARNIVAL CORP COM                        143658102    5412000     112750   X                           112750          0          0
 CAROLINA PWR & LT CO COM                 144141108    1183634      25150   X                            25150          0          0
 CAROLINA PWR & LT CO COM                 144141108      47063       1000               X                 1000          0          0
 CATERPILLAR INC                          149123101    1090200      23700   X                            23700          0          0
 CENDANT CORP                             151313103     445551      23070   X                            23070          0          0
 CERIDIAN CORP COM                        15677T106     376990       5400   X                             5400          0          0
 CERIDIAN CORP COM                        15677T106      31416        450               X                  450          0          0
 CHASE MANHATTAN CORP NEW COM             16161A108    5310800      74800   X                            74800          0          0
 CHEVRON  CORP                            166751107    1003550      12100   X                            12100          0          0
 CHUBB CORP                               171232101    1346800      20800   X                            20800          0          0
 CHUBB CORP                               171232101     906500      14000               X                14000          0          0
 CISCO SYS INC                            17275R102   23220188     250183   X                           250183          0          0
 CISCO SYS INC                            17275R102      39446        425               X                  425          0          0
 CITIGROUP INC COM                        172967101    1770135      35625   X                            35625          0          0
 CLOROX CO COM                            189054109     318315       2725   X                             2725          0          0
 COASTAL CORP                             190441105    1341775      38200   X                            38200          0          0
 COCA COLA CO COM                         191216100    1785550      26650   X                            26650          0          0
 COCA COLA CO COM                         191216100    3477300      51900               X                51900          0          0
 COLGATE PALMOLIVE CO COM                 194162103     343638       3700   X                             3700          0          0
 COMCAST CORP                             200300200     357997       6100   X                             6100          0          0
 COMCAST CORP                             200300200      17606        300               X                  300          0          0
 COMERICA INC                             200340107     306846       4500   X                             4500          0          0
 COMPAQ COMPUTER CORP                     204493100    3323208      79124   X                            79124          0          0
 CONSECO INC COM                          208464107    1372134      44988   X                            44988          0          0
 CORNING INC                              219350105    3305250      73450   X                            73450          0          0
 COSTCO COMPANIES INC                     22160Q102    3277335      45400   X                            45400          0          0
 COSTCO COMPANIES INC                     22160Q102      21656        300               X                  300          0          0
 DAYTON HUDSON CORP COM                   239753106    1470175      27100   X                            27100          0          0
 DELL COMPUTER CORP                       247025109     731880      10000   X                            10000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              91248978    1403997                              1403997          0          0
</TABLE>
<PAGE>   45
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 43

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DIAMOND OFFSHORE DRILLING INC COM        25271C102     236880      10000   X                            10000          0          0
 DISNEY WALT CO COM                       254687106    4192110     139737   X                           139737          0          0
 DISNEY WALT CO COM                       254687106     327270      10909               X                10909          0          0
 DOW CHEM CO COM                          260543103     657027       7225   X                             7225          0          0
 DOW CHEM CO COM                          260543103    3046423      33500               X                33500          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109     661696      12470   X                            12470          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    1337506      25206               X                25206          0          0
 EMC CORPORATION                          268648102    3672000      43200   X                            43200          0          0
 ELECTRONIC DATA SYS CORP COM             285661104    4005002      79800   X                            79800          0          0
 EMERSON ELEC CO COM                      291011104    5634668      93135   X                            93135          0          0
 EMERSON ELEC CO COM                      291011104    3112725      51450               X                51450          0          0
 ENRON CORP COM                           293561106    1483638      26000   X                            26000          0          0
 ENTERGY CORP NEW COM                     29364G103     270788       8700   X                             8700          0          0
 EVERGREEN FDS                            300250404    2424622    2424622   X                          2424622          0          0
 EXXON CORP COM                           302290101    4542891      62125   X                            62125          0          0
 EXXON CORP COM                           302290101    7148408      97756               X                97756          0          0
 F P L GROUP INC                          302571104    3429431      55650   X                            55650          0          0
 F P L GROUP INC                          302571104      61625       1000               X                 1000          0          0
 FREDDIE MAC COM                          313400301    4734582      73475   X                            73475          0          0
 FREDDIE MAC COM                          313400301      32219        500               X                  500          0          0
 FANNIE MAE COM                           313586109    9503450     128425   X                           128425          0          0
 FANNIE MAE COM                           313586109      37000        500               X                  500          0          0
 FEDERATED DEPT STORES INC DEL COM        31410H101     822252      18875   X                            18875          0          0
 FIDELITY FDS                             316176106     155421     155421   X                           155421          0          0
 FIDELITY SELECT PORTFOLIOS               316390772     943778      23731   X                            23731          0          0
 FIRST DATA CORP COM                      319963104    1842375      57800   X                            57800          0          0
 FIRST UNION CORP                         337358105    3961967      65150   X                            65150          0          0
 FLEET FINL GROUP INC NEW COM             338915101    3083472      69000   X                            69000          0          0
 FLEET FDS                                339099905     163342     163342   X                           163342          0          0
 FRANKLIN RES INC COM                     354613101    1425920      44560   X                            44560          0          0
 GTE CORP COM                             362320103    5687760      87504   X                            87504          0          0
 GTE CORP COM                             362320103    2301000      35400               X                35400          0          0
 GALAXY FDS                               363178997    3730407    3730407   X                          3730407          0          0
 GANNETT INC COM                          364730101    1367400      21200   X                            21200          0          0
 GAP INC COM                              364760108    1520202      27086   X                            27086          0          0
 GAP INC COM                              364760108      37884        675               X                  675          0          0
 GENERAL DYNAMICS CORP                    369550108     241900       4100   X                             4100          0          0
 GENERAL ELEC CO COM                      369604103   11148600     109300   X                           109300          0          0
 GENERAL ELEC CO COM                      369604103    6721392      65896               X                65896          0          0
 GENERAL MTRS CORP COM                    370442105     375706       5250   X                             5250          0          0
 GENERAL RE CORP                          370563108    4967233      24809               X                24809          0          0
 GENUINE PARTS CO COM                     372460105     681299      20375   X                            20375          0          0
 GILLETTE CO COM                          375766102    3813087      79750   X                            79750          0          0
 GILLETTE CO COM                          375766102     262398       5488               X                 5488          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             115806756    8200504                              8200504          0          0
</TABLE>
<PAGE>   46
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 44

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 GLAXO WELLCOME PLC                       37733W105     778400      11200   X                            11200          0          0
 GLOBAL MARINE INC                        379352404     180000      20000   X                            20000          0          0
 GOLDEN WEST FINL CORP DEL COM            381317106     272772       2975   X                             2975          0          0
 GOODYEAR TIRE & RUBR CO COM              382550101     211840       4200   X                             4200          0          0
 GUIDANT CORP COM                         401698105    1342000      12200   X                            12200          0          0
 HBO & CO COM                             404100109     625398      21800   X                            21800          0          0
 HBO & CO COM                             404100109      14344        500               X                  500          0          0
 HALLIBURTON CO COM                       406216101    3371325     113800   X                           113800          0          0
 HALLIBURTON CO COM                       406216101      14813        500               X                  500          0          0
 HARLEY DAVIDSON INC COM                  412822108     281881       5950   X                             5950          0          0
 HARLEY DAVIDSON INC COM                  412822108      18950        400               X                  400          0          0
 HEALTHSOUTH CORP COM                     421924101    1988800     128825   X                           128825          0          0
 HEALTH MGMT ASSOC INC NEW CL A           421933102     865000      40000   X                            40000          0          0
 HERSHEY FOODS CORP COM                   427866108    2288518      36800   X                            36800          0          0
 HEWLETT PACKARD CO COM                   428236103    4423267      64750   X                            64750          0          0
 HEWLETT PACKARD CO COM                   428236103    1981077      29000               X                29000          0          0
 HOME DEPOT INC COM                       437076102   17042265     278523   X                           278523          0          0
 HOME DEPOT INC COM                       437076102     220277       3600               X                 3600          0          0
 HONEYWELL INC COM                        438506107     220291       2925   X                             2925          0          0
 HONEYWELL INC COM                        438506107      75313       1000               X                 1000          0          0
 HUBBELL INC CL B                         443510201    1520000      40000   X                            40000          0          0
 INSTITUTIONAL INTL FDS INC               457759108     220363      12249   X                            12249          0          0
 INTEL CORP                               458140100   14620004     123310   X                           123310          0          0
 INTEL CORP                               458140100      23713        200               X                  200          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    4517188      24500   X                            24500          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    1574563       8540               X                 8540          0          0
 INTERPUBLIC GROUP COMPANIES INC          460690100     645975       8100               X                 8100          0          0
 JOHNSON & JOHNSON COM                    478160104    7864707      93767   X                            93767          0          0
 JOHNSON & JOHNSON COM                    478160104     704550       8400               X                 8400          0          0
 KIMBERLY CLARK CORP COM                  494368103    4163800      76400   X                            76400          0          0
 KIMBERLY CLARK CORP COM                  494368103     218000       4000               X                 4000          0          0
 KNIGHT RIDDER INC                        499040103     204500       4000               X                 4000          0          0
 KOHLS CORP COM                           500255104     921570      15000   X                            15000          0          0
 KROGER CO COM                            501044101    1435060      23720   X                            23720          0          0
 LILLY ELI & CO COM                       532457108    7803225      87800   X                            87800          0          0
 LILLY ELI & CO COM                       532457108      13331        150               X                  150          0          0
 LOWES COS INC                            548661107    2753914      53800   X                            53800          0          0
 LUCENT TECHNOLOGIES INC COM              549463107    9462803      86074   X                            86074          0          0
 LUCENT TECHNOLOGIES INC COM              549463107     252857       2300               X                 2300          0          0
 MBNA CORP                                55262L100    1730707      69750   X                            69750          0          0
 MCI WORLDCOM INC COM                     55268B106    4247600      59200   X                            59200          0          0
 MCI WORLDCOM INC COM                     55268B106     214317       2987               X                 2987          0          0
 MARSH & MCLENNAN COS INC COM             571748102    2691070      46050   X                            46050          0          0
 MARSH & MCLENNAN COS INC COM             571748102     525942       9000               X                 9000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             104546290    1638245                              1638245          0          0
</TABLE>
<PAGE>   47
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 45

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MARRIOTT INTL INC NEW                    571903202     382800      13200   X                            13200          0          0
 MATTEL INC                               577081102     593375      25250   X                            25250          0          0
 MATTEL INC                               577081102      22936        976               X                  976          0          0
 MAY DEPT STORES CO COM                   577778103     483000       8000   X                             8000          0          0
 MAY DEPT STORES CO COM                   577778103     289800       4800               X                 4800          0          0
 MCDONALDS CORP COM                       580135101    2265984      29500   X                            29500          0          0
 MEDTRONIC INC                            585055106    4293813      57805   X                            57805          0          0
 MEDTRONIC INC                            585055106    1686179      22700               X                22700          0          0
 MERCK & CO INC COM                       589331107    8831563      59875   X                            59875          0          0
 MERCK & CO INC COM                       589331107    5236250      35500               X                35500          0          0
 MICROSOFT CORP                           594918104   21742811     156775   X                           156775          0          0
 MICROSOFT CORP                           594918104      41606        300               X                  300          0          0
 MINNESOTA MNG & MFG CO COM               604059105      83572       1175   X                             1175          0          0
 MINNESOTA MNG & MFG CO COM               604059105    1194900      16800               X                16800          0          0
 MOBIL CORP COM                           607059102    3075513      35300   X                            35300          0          0
 MONSANTO CO COM                          611662107    4818875     101450   X                           101450          0          0
 MONSANTO CO COM                          611662107    1059250      22300               X                22300          0          0
 MOTOROLA INC COM                         620076109    3126426      51200   X                            51200          0          0
 NIPSCO INDS INC COM                      629140104     791388      26000   X                            26000          0          0
 NATIONAL CITY CORP COM                   635405103     356265       4914               X                 4914          0          0
 NEWELL CO                                651192106     999281      24225   X                            24225          0          0
 NEXTEL COMMUNICATIONS INC CL A           65332V103     555188      23500   X                            23500          0          0
 NORFOLK SOUTHERN CORP                    655844108    1367337      43150   X                            43150          0          0
 OFFICE DEPOT INC COM                     676220106    2097766      56600   X                            56600          0          0
 ORACLE CORP COM                          68389X105     633377      14687   X                            14687          0          0
 PENNEY J C CO INC COM                    708160106    3093750      66000   X                            66000          0          0
 PENNEY J C CO INC COM                    708160106      46875       1000               X                 1000          0          0
 PEPSICO INC COM                          713448108    5172731     126550   X                           126550          0          0
 PEPSICO INC COM                          713448108    4222388     103300               X               103300          0          0
 PFIZER INC COM                           717081103   12475000      99800   X                            99800          0          0
 PFIZER INC COM                           717081103    6050000      48400               X                48400          0          0
 PHILIP MORRIS COS INC COM                718154107    2277763      42575   X                            42575          0          0
 PHILIP MORRIS COS INC COM                718154107    4515347      84399               X                84399          0          0
 PITNEY BOWES INC                         724479100     660630      10000   X                            10000          0          0
 PITNEY BOWES INC                         724479100    4809386      72800               X                72800          0          0
 PRIME OBLIGATIONS PORTFOLIO              74157A9A3     202423     202423   X                           202423          0          0
 PROCTER & GAMBLE CO COM                  742718109    7319194      80155   X                            80155          0          0
 PROCTER & GAMBLE CO COM                  742718109    2595846      28428               X                28428          0          0
 PROVIDIAN FINL CORP                      74406A102    3380625      45075   X                            45075          0          0
 QUESTAR CORP                             748356102    2524563     130300   X                           130300          0          0
 RAYTHEON CO                              755111408     213000       4000   X                             4000          0          0
 RODNEY SQUARE FD                         774892202     792036     792036               X               792036          0          0
 ROWE T PRICE SMALL CAP STOCK FD          779572106     203934       9809   X                             9809          0          0
 ROYAL BANK OF CANADA                     780099909    2698168    2698168   X                          2698168          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             129282914    5481200                              5481200          0          0
</TABLE>
<PAGE>   48
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 46

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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    1129850      23600   X                            23600          0          0
 SBC COMMUNICATIONS INC COM               78387G103    4702484      87692   X                            87692          0          0
 SBC COMMUNICATIONS INC COM               78387G103     123338       2300               X                 2300          0          0
 SEI FDS                                  784199903     190749     190749   X                           190749          0          0
 SAFEWAY INC COM NEW                      786514208    6231825     102265   X                           102265          0          0
 SAFEWAY INC COM NEW                      786514208      33516        550               X                  550          0          0
 SARA LEE CORP                            803111103    1685642      59800   X                            59800          0          0
 SARA LEE CORP                            803111103    3100680     110000               X               110000          0          0
 SCHERING PLOUGH CORP COM                 806605101    8409603     152210   X                           152210          0          0
 SCHERING PLOUGH CORP COM                 806605101     508300       9200               X                 9200          0          0
 SCHLUMBERGER LTD                         806857108    3655509      78825   X                            78825          0          0
 SCHLUMBERGER LTD                         806857108    2434688      52500               X                52500          0          0
 SEARS ROEBUCK & CO COM                   812387108     218875       5150   X                             5150          0          0
 SERVICE CORP INTL                        817565104    3037427      79800   X                            79800          0          0
 SERVICE CORP INTL                        817565104      19032        500               X                  500          0          0
 SHERWIN WILLIAMS CO COM                  824348106    1645000      56000   X                            56000          0          0
 SILICON GRAPHICS INC COM                 827056102     128750      10000   X                            10000          0          0
 SMITH BARNEY MONEY FDS INC               831804109     674224     674224   X                           674224          0          0
 SOUTHTRUST FDS                           844734103    3338547    3338547   X                          3338547          0          0
 SPRINT CORP COM                          852061100     727681       8650   X                             8650          0          0
 STAPLES INC                              855030102    3888232      89000   X                            89000          0          0
 STATE STR CORP                           857477103    6362091      90725   X                            90725          0          0
 STATE STR CORP                           857477103      21038        300               X                  300          0          0
 STATE STR BK                             857499909     113542     113542   X                           113542          0          0
 SEVEN SEAS FDS                           8611238A8    1447993    1447993   X                          1447993          0          0
 SUN MICRO SYSTEMS                        866810104     325375       3800   X                             3800          0          0
 SUNAMERICA INC COM                       866930100    5141400      62700   X                            62700          0          0
 SYSCO CORP COM                           871829107    3073056     112000   X                           112000          0          0
 TEMPLETON INSTL FDS INC                  880210505     201223      11330   X                            11330          0          0
 TEMPLETON INSTL FDS INC                  880210505      12749        718               X                  718          0          0
 TENNECO INC (NEW)                        88037E101    1430646      42000   X                            42000          0          0
 TEXACO INC COM                           881694103    2745400      51800   X                            51800          0          0
 TEXAS INSTRS INC COM                     882508104     513750       6000   X                             6000          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104    1781147      38150   X                            38150          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104      14006        300               X                  300          0          0
 THERMO ELECTRON CORP COM                 883556102     302767      17875   X                            17875          0          0
 3COM CORP COM                            885535104    3636575      81150   X                            81150          0          0
 TIME WARNER INC                          887315109    6102034      98320   X                            98320          0          0
 TIME WARNER INC                          887315109      43444        700               X                  700          0          0
 TORCHMARK CORP COM                       891027104     315169       8925   X                             8925          0          0
 TORCHMARK CORP COM                       891027104     339005       9600               X                 9600          0          0
 TYCO INTL LTD NEW                        902124106    5808084      76992   X                            76992          0          0
 TYCO INTL LTD NEW                        902124106      33947        450               X                  450          0          0
 U S TREAS OBLIG FDS                      912999919    1022519    1022519   X                          1022519          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              86670912    8429451                              8429451          0          0
</TABLE>
<PAGE>   49
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 47

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 UNITED TECHNOLOGIES CORP COM             913017109    3186375      29300   X                            29300          0          0
 VANGUARD TOTAL BOND MARKET               921937108    1055224     102748   X                           102748          0          0
 WACHOVIA CORP COM                        929771103    2203438      25200               X                25200          0          0
 WAL MART STORES INC                      931142103    6368452      78200   X                            78200          0          0
 WAL MART STORES INC                      931142103      28503        350               X                  350          0          0
 WALGREEN CO COM                          931422109    3343947      57100   X                            57100          0          0
 WALGREEN CO COM                          931422109     972146      16600               X                16600          0          0
 WARNER LAMBERT CO COM                    934488107    8541357     113600   X                           113600          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109     380553       8162   X                             8162          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109      67606       1450               X                 1450          0          0
 WELLS FARGO & CO NEW                     949746101    4675941     117080   X                           117080          0          0
 WELLS FARGO & CO NEW                     949746101       1997         50               X                   50          0          0
 WILLIAMS CO INC COM                      969457100    1436207      46050   X                            46050          0          0
 WORLDCOM INC GA COM                      98155K102     244375       5000   X                             5000          0          0
 XEROX CORP COM                           984121103    1867350      15825   X                            15825          0          0
 XEROX CORP COM                           984121103      17700        150               X                  150          0          0
 MONEY MARKET SWEEP ACCT                  99784R716     143075     143075   X                           143075          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              34534246     759940                               759940          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                          650106294   27918539                             27918539          0          0
</TABLE>
<PAGE>   50
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 06-INVESTMENT ADVISORY - TR DIV-NCT     ON 05/11/99 AS OF 12/31/98

DEPT ID# 006                                                             PAGE 48

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
                                                        **
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                 <C>         <C>                                   <C>       <C>       <C>
 A. COMMON STOCK                                     650106294   27918539                             27918539          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                    650106294   27918539                             27918539          0          0
</TABLE>
<PAGE>   51
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 49

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     315900       7200   X                             7200          0          0
 AFLAC INC COM                            001055102     473850      10800               X                10800          0          0
 AT&T CORP COM                            001957109     624407       8243   X                             8243          0          0
 AT&T CORP COM                            001957109     716141       9454               X                 9104          0        350
 ABBOTT LABS COM                          002824100    2803584      57216   X                            56516          0        700
 ABBOTT LABS COM                          002824100    4870110      99390               X                95190        200       4000
 AEGON N V ORD AMER REG (NLG)             007924103     421763       3450   X                             3450          0          0
 AEGON N V ORD AMER REG (NLG)             007924103      73350        600               X                  600          0          0
 AIR PRODS & CHEMS INC COM                009158106     141000       3525   X                             3525          0          0
 AIR PRODS & CHEMS INC COM                009158106     127200       3180               X                 3180          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     445421       6149   X                             5434          0        715
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     311339       4298               X                 3498          0        800
 ALBERTSONS INC COM                       013104104     330541       5190   X                             5190          0          0
 ALBERTSONS INC COM                       013104104     120052       1885               X                 1885          0          0
 ALLSTATE CORP COM                        020002101     287287       7462   X                             7462          0          0
 ALLSTATE CORP COM                        020002101     226457       5882               X                 5882          0          0
 AMCAP FUND INC COM                       023375108     188304      10633   X                            10633          0          0
 AMERICAN CENTURY SMALL CAP               02507M840      50000      10941               X                10941          0          0
 TWENTIETH CENTY WORLD INVS I             025086505     176895      18484               X                18484          0          0
 AMERICAN EXPRESS CO COM                  025816109    1331475      12990   X                            12990          0          0
 AMERICAN EXPRESS CO COM                  025816109     199363       1945               X                 1945          0          0
 AMERICAN GEN CORP COM                    026351106     469950       6025   X                             6025          0          0
 AMERICAN GEN CORP COM                    026351106      35100        450               X                  450          0          0
 AMERICAN GREETINGS CORP CL A             026375105     188890       4600   X                             4600          0          0
 AMERICAN GREETINGS CORP CL A             026375105      69807       1700               X                 1700          0          0
 AMERICAN HOME PRODS CORP COM             026609107    4984339      88414   X                            87614          0        800
 AMERICAN HOME PRODS CORP COM             026609107    2531463      44904               X                35404        100       9400
 AMERICAN INTL GROUP INC COM              026874107    3875339      40107   X                            40107          0          0
 AMERICAN INTL GROUP INC COM              026874107    2269528      23488               X                23163        100        225
 AMERITECH CORP NEW COM                   030954101    2711056      42778   X                            42778          0          0
 AMERITECH CORP NEW COM                   030954101    1622654      25604               X                24804          0        800
 AMGEN INC COM                            031162100     175143       1675   X                             1675          0          0
 AMGEN INC COM                            031162100      90447        865               X                  865          0          0
 AMP INC COM                              031897101     253755       4874   X                             4874          0          0
 AMP INC COM                              031897101     164831       3166               X                 2294          0        872
 AMOCO CORP COM                           031905102    1507593      25179   X                            25179          0          0
 AMOCO CORP COM                           031905102    2779577      46423               X                43023          0       3400
 ANHEUSER BUSCH                           035229103      88791       1353   X                             1353          0          0
 ANHEUSER BUSCH                           035229103     962456      14666               X                14666          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102      73192       4274   X                             4043        231          0
 ARCHER DANIELS MIDLAND CO COM            039483102     169589       9903               X                 9903          0          0
 ARMADA FDS                               042086272   20840455    1984805   X                          1962328          0      22477
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1289364     127407   X                           127407          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              61417758    2821577                              2776407        631      44539
</TABLE>
<PAGE>   52
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 50

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 NATIONAL TAX EXEMPT FD #297       042086363    1619503     160030               X               160030          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579    1678551     147630   X                           147630          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579      24261       2134               X                 2134          0          0
 ARMADA CORE EQUITY FUND #681             042086595     199540      15337   X                            15337          0          0
 ARMADA CORE EQUITY FUND #681             042086595       6040        464               X                  464          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    1874146     169147   X                           169147          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629     180613      16301               X                16301          0          0
 ARMADA EQUITY INDEX FUND #42             042086645     379439      35595   X                            35595          0          0
 ARMADA GNMA INSTL CL #666                042086660    2847104     275882   X                           231669          0      44213
 ARMADA GNMA INSTL CL #666                042086660     387627      37561               X                35136       2425          0
 ARMADA BOND FD INSTL CL #630             042086686   34922006    3370850   X                          3368404          0       2446
 ARMADA BOND FD INSTL CL #630             042086686    9833224     949153               X               841274      69956      37923
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   29232246    2607694   X                          2607694          0          0
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   27091750    2416748               X              2402606      14142          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777   18358337    1753423   X                          1753423          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    4252983     406207               X               397286       1475       7446
 ARMADA INTERMEDIATE BD FUND              042086793    7772171     724340   X                           715869          0       8471
 ARMADA INTERMEDIATE BD FUND              042086793    1914822     178455               X               178455          0          0
 ARMADA ENHANCED INCOME FUND              042086827    2444084     242228   X                           242228          0          0
 ARMADA ENHANCED INCOME FUND              042086827     389555      38608               X                37613        995          0
 ARMADA SMALL CAP VALUE FUND #616         042086843    9910398     756519   X                           754144       2374          0
 ARMADA SMALL CAP VALUE FUND #616         042086843    2231741     170362               X               167933       2429          0
 ARMADA EQUITY INCOME FUND #614           042086868   39331689    2260442   X                          2260442          0          0
 ARMADA EQUITY INCOME FUND #614           042086868   12123541     696755               X               661280      29259       6216
 ARMADA EQUITY GROWTH FUND                042086884   69263630    2860951   X                          2857509       3442          0
 ARMADA EQUITY GROWTH FUND                042086884   17878378     738471               X               580523     116615      41333
 ARMADA FUNDS MONEY MARKET PORTFOLIO      042086983     102783     102783   X                           102783          0          0
 ATLANTIC RICHFIELD CO COM                048825103     562617       8606   X                             8606          0          0
 ATLANTIC RICHFIELD CO COM                048825103    1512712      23139               X                23139          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    1289343      16079   X                            16079          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103     918072      11449               X                11449          0          0
 BANK ONE CORP COM                        06423A103     401406       7861   X                             7861          0          0
 BANK ONE CORP COM                        06423A103    1478325      28951               X                28951          0          0
 BANKAMERICA CORP NEW                     06605F102    1363515      22678   X                            22678          0          0
 BANKAMERICA CORP NEW                     06605F102      98244       1634               X                 1634          0          0
 BANKERS TRUST CORP COM                   066365107     105772       1238   X                             1238          0          0
 BANKERS TRUST CORP COM                   066365107     350296       4100               X                 4100          0          0
 BARON ASSET FD                           068278100     618825      12244               X                12244          0          0
 BELL ATLANTIC CORP COM                   077853109     845424      15656   X                            15656          0          0
 BELL ATLANTIC CORP COM                   077853109     275724       5106               X                 5106          0          0
 BELLSOUTH CORP COM                       079860102    4365459      87528   X                            87528          0          0
 BELLSOUTH CORP COM                       079860102    3592995      72040               X                69740          0       2300
 BEST FOODS                               08658U101      21300        400   X                              400          0          0
 BEST FOODS                               08658U101    1203450      22600               X                22600          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             315253641   21475379                             21081918     243112     150348
</TABLE>
<PAGE>   53
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 51

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BOEING CO COM                            097023105     232453       7125   X                             6625        500          0
 BOEING CO COM                            097023105      53831       1650               X                 1650          0          0
 BRANDYWINE FD INC COM                    10532D107    3477802     114855   X                           114855          0          0
 BRANDYWINE FD INC COM                    10532D107     300493       9924               X                 9924          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108    7821102      58448   X                            57848        300        300
 BRISTOL MYERS SQUIBB CO COM              110122108   13168270      98408               X                94958          0       3450
 CIGNA CORP COM                           125509109     235805       3050   X                             3050          0          0
 CIGNA CORP COM                           125509109       3866         50               X                   50          0          0
 CVS CORPORATION (DEL)                    126650100     617980      11236   X                            11236          0          0
 CVS CORPORATION (DEL)                    126650100     199210       3622               X                 3622          0          0
 CAPITAL ONE FINL CORP COM                14040H105      97750        850   X                              850          0          0
 CAPITAL ONE FINL CORP COM                14040H105     115000       1000               X                 1000          0          0
 CARNIVAL CORP COM                        143658102     211200       4400   X                             4400          0          0
 CARNIVAL CORP COM                        143658102      52800       1100               X                 1100          0          0
 CATERPILLAR INC COM                      149123101     189980       4130   X                             4130          0          0
 CATERPILLAR INC COM                      149123101     427800       9300               X                 9300          0          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106      69836       2686   X                             2686          0          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106     314080      12080               X                12080          0          0
 CENTRAL & SOUTHWEST CORP COM             152357109     251058       9150   X                             9150          0          0
 CENTRAL & SOUTHWEST CORP COM             152357109      65851       2400               X                 2400          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108     919450      12950   X                            12350          0        600
 CHASE MANHATTAN CORP (NEW) COM           16161A108     357840       5040               X                 4940        100          0
 CHEVRON CORP COM                         166751107    1561640      18829   X                            18829          0          0
 CHEVRON CORP COM                         166751107    2084730      25136               X                25136          0          0
 CHUBB CORP COM                           171232101     975070      15059   X                            14559        500          0
 CHUBB CORP COM                           171232101    1619980      25019               X                25019          0          0
 CISCO SYS INC COM                        17275R102    4888554      52671   X                            52171          0        500
 CISCO SYS INC COM                        17275R102    1617359      17426               X                17326        100          0
 CINTAS CORP COM                          172908105     157922       2242   X                             2242          0          0
 CINTAS CORP COM                          172908105     410865       5833               X                 5833          0          0
 CITIGROUP INC COM                        172967101      14906        300   X                              300          0          0
 CITIGROUP INC COM                        172967101     358350       7212               X                 6212       1000          0
 CLOROX CO COM                            189054109     280351       2400   X                             2100          0        300
 CLOROX CO COM                            189054109      11681        100               X                  100          0          0
 COCA-COLA CO COM                         191216100    5901494      88082   X                            87582          0        500
 COCA-COLA CO COM                         191216100    6059145      90435               X                81535        100       8800
 COMPAQ COMPUTER CORP COM                 204493100     878850      20925   X                            20925          0          0
 COMPAQ COMPUTER CORP COM                 204493100     452340      10770               X                 9370        200       1200
 COOPER INDS INC COM                      216669101     128758       2700   X                             2700          0          0
 COOPER INDS INC COM                      216669101     503108      10550               X                10550          0          0
 COOPER TIRE & RUBBER CO                  216831107     173723       8500   X                             8425         75          0
 COOPER TIRE & RUBBER CO                  216831107     573286      28050               X                28050          0          0
 COSTCO COMPANIES INC                     22160Q102     595551       8250   X                             8250          0          0
 COSTCO COMPANIES INC                     22160Q102     115501       1600               X                 1600          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              58546621     815543                               797018       2875      15650
</TABLE>
<PAGE>   54
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 52

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DANA CORP COM                            235811106     312122       7636   X                             7636          0          0
 DANA CORP COM                            235811106     544946      13332               X                11532          0       1800
 DAYTON HUDSON CORP COM                   239753106    1500121      27652   X                            27652          0          0
 DAYTON HUDSON CORP COM                   239753106      21700        400               X                  400          0          0
 DELL COMPUTER CORP COM                   247025109     607460       8300   X                             8300          0          0
 DELL COMPUTER CORP COM                   247025109     365940       5000               X                 5000          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     280450      15800   X                            15800          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     293230      16520               X                16520          0          0
 DISNEY WALT CO COM                       254687106    2935800      97860   X                            97860          0          0
 DISNEY WALT CO COM                       254687106    1223460      40782               X                40482          0        300
 DODGE & COX BALANCED FD COM              256201104     290866       4460   X                             4460          0          0
 DOMINION RES INC VA                      257470104     171806       3675   X                             3675          0          0
 DOMINION RES INC VA                      257470104     183961       3935               X                 3935          0          0
 DONNELLEY R R & SONS CO COM              257867101     277249       6328   X                             6328          0          0
 DONNELLEY R R & SONS CO COM              257867101     428666       9784               X                 9784          0          0
 DOW CHEM CO COM                          260543103     517073       5686   X                             5686          0          0
 DOW CHEM CO COM                          260543103     745237       8195               X                 8195          0          0
 DREYFUS MUN BD FD INC COM                26201Q104     241720      19245   X                            19245          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109     862221      16249   X                            16249          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    1654504      31180               X                31180          0          0
 DUKE REALTY INVST CO NEW                 264411505      62775       2700   X                             2700          0          0
 DUKE REALTY INVST CO NEW                 264411505     234825      10100               X                10100          0          0
 DUN & BRADSTREET CORP DEL                26483B106     239248       7580   X                             7580          0          0
 DUN & BRADSTREET CORP DEL                26483B106     103874       3291               X                 3091          0        200
 EASTMAN KODAK CO COM                     277461109     193320       2685   X                             2685          0          0
 EASTMAN KODAK CO COM                     277461109      48600        675               X                  675          0          0
 EDISON INTL COM                          281020107     465513      16700   X                            16700          0          0
 EDISON INTL COM                          281020107     183975       6600               X                 5000          0       1600
 ELECTRONIC DATA SYS CORP NEW COM         285661104     158092       3150   X                             3150          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     414051       8250               X                 7750          0        500
 EMERSON ELEC CO COM                      291011104    1607667      26573   X                            26573          0          0
 EMERSON ELEC CO COM                      291011104     980705      16210               X                15410          0        800
 EXXON CORP COM                           302290101    5368326      73413   X                            73413          0          0
 EXXON CORP COM                           302290101    4406659      60262               X                59962          0        300
 FPA CAP FD INC COM                       302539101     221942       7150               X                 7150          0          0
 FPL GROUP INC COM                        302571104     298327       4841   X                             4841          0          0
 FPL GROUP INC COM                        302571104     699752      11355               X                11355          0          0
 FREDDIE MAC COM                          313400301     368585       5720   X                             5720          0          0
 FREDDIE MAC COM                          313400301     180426       2800               X                 2800          0          0
 FANNIE MAE COM                           313586109    2179152      29448   X                            29448          0          0
 FANNIE MAE COM                           313586109    1112220      15030               X                14930        100          0
 FIDELITY ADVISOR SER II                  315807206     262977       5238               X                 5238          0          0
 FIDELITY CAP TR                          316066307    1464479      51009   X                            51009          0          0
 FIDELITY FINL TR                         316145101     393386      13122   X                            13122          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              35107408     725921                               720321        100       5500
</TABLE>
<PAGE>   55
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 53

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     142488       4753               X                 4753          0          0
 FIDELITY PURITAN TR                      316345206     306769      18740   X                            18740          0          0
 FIDELITY SPARTAN OHIO MUNI INCOME FD     316412105     181376      15449   X                            15449          0          0
 FIFTH THIRD BANCORP                      316773100    1310519      18377   X                            18377          0          0
 FIFTH THIRD BANCORP                      316773100    8892303     124694               X                87794          0      36900
 FIRST TR SPL SITUATIONS TR               33734T134      27656      10678               X                10678          0          0
 FIRST UNION CORP COM                     337358105     125883       2070   X                             2070          0          0
 FIRST UNION CORP COM                     337358105     240759       3959               X                 3959          0          0
 FIRSTMERIT CORP COM                      337915102     268750      10000   X                            10000          0          0
 FIRSTENERGY CORP                         337932107     235984       7247   X                             7247          0          0
 FLEET FINL GROUP INC NEW COM             338915101    1864830      41730   X                            41730          0          0
 FLEET FINL GROUP INC NEW COM             338915101     541261      12112               X                12112          0          0
 FORD MOTOR CO DEL COM                    345370100     232522       3962   X                             3962          0          0
 FORD MOTOR CO DEL COM                    345370100     151356       2579               X                 2579          0          0
 FORT JAMES CORP                          347471104     253000       6325               X                 6325          0          0
 FORTUNE BRANDS INC                       349631101      69575       2200   X                             2200          0          0
 FORTUNE BRANDS INC                       349631101     218750       6917               X                 6650        267          0
 FRANKLIN RES INC COM                     354613101     734368      22949   X                            22949          0          0
 FRANKLIN RES INC COM                     354613101     190048       5939               X                 5939          0          0
 GTE CORP COM                             362320103    1130545      17393   X                            16993        400          0
 GTE CORP COM                             362320103    2377180      36572               X                36022          0        550
 GAP INC COM                              364760108     783505      13960   X                            13960          0          0
 GAP INC COM                              364760108     126281       2250               X                 2250          0          0
 GENERAL ELEC CO COM                      369604103    7973544      78172   X                            78172          0          0
 GENERAL ELEC CO COM                      369604103   11915844     116822               X               106072        100      10650
 GENERAL MILLS INC COM                    370334104     728595       9371   X                             9371          0          0
 GENERAL MILLS INC COM                    370334104     591678       7610               X                 7610          0          0
 GENERAL MTRS CORP COM                    370442105      48305        675   X                              675          0          0
 GENERAL MTRS CORP COM                    370442105     172538       2411               X                 2411          0          0
 GENERAL RE CORP COM                      370563108    1093196       5460   X                             5260        200          0
 GENERAL RE CORP COM                      370563108     463907       2317               X                 2317          0          0
 GILLETTE CO COM                          375766102    1752586      36655   X                            35955          0        700
 GILLETTE CO COM                          375766102    3785212      79167               X                78967        200          0
 GLAXO WELLCOME PLC                       37733W105     139000       2000   X                             2000          0          0
 GLAXO WELLCOME PLC                       37733W105     139000       2000               X                 2000          0          0
 GUIDANT CORP COM                         401698105     547360       4976   X                             4976          0          0
 GUIDANT CORP COM                         401698105    1144000      10400               X                 8524          0       1876
 HCR MANOR CARE INC COM                   404134108     263993       8987   X                             8987          0          0
 HCR MANOR CARE INC COM                   404134108     157156       5350               X                 5350          0          0
 HALLIBURTON CO COM                       406216101     499181      16850   X                            16850          0          0
 HALLIBURTON CO COM                       406216101     344539      11630               X                11630          0          0
 HARLEY DAVIDSON INC COM                  412822108    1252832      26445   X                            26445          0          0
 HARLEY DAVIDSON INC COM                  412822108     503691      10632               X                10432        200          0
 HEALTHSOUTH CORP COM                     421924101     182940      11850   X                            11850          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              54104805     840635                               788592       1367      50676
</TABLE>
<PAGE>   56
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 54

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 HEALTHSOUTH CORP COM                     421924101      63759       4130               X                 4130          0          0
 HEALTH CARE REIT INC                     42217K106      24814        959   X                              959          0          0
 HEALTH CARE REIT INC                     42217K106     645892      24962               X                24962          0          0
 HEINZ H J CO COM                         423074103     308606       5450   X                             5450          0          0
 HEINZ H J CO COM                         423074103     962285      16994               X                16994          0          0
 HEWLETT PACKARD CO COM                   428236103    1390170      20350   X                            20350          0          0
 HEWLETT PACKARD CO COM                   428236103    2504833      36667               X                33967          0       2700
 HOME DEPOT INC COM                       437076102    3959231      64706   X                            64706          0          0
 HOME DEPOT INC COM                       437076102    2235932      36542               X                35742        200        600
 HONEYWELL INC COM                        438506107     342674       4550   X                             4550          0          0
 HONEYWELL INC COM                        438506107      82844       1100               X                 1100          0          0
 HUNTINGTON BANCSHARES INC COM            446150104     354022      11776   X                            11776          0          0
 HUNTINGTON BANCSHARES INC COM            446150104    1586004      52756               X                52756          0          0
 IMS HEALTH INC                           449934108     633679       8400   X                             8400          0          0
 IMS HEALTH INC                           449934108      79210       1050               X                 1050          0          0
 ILLINOIS TOOL WORKS INC COM              452308109     166750       2875   X                             2875          0          0
 ILLINOIS TOOL WORKS INC COM              452308109      86420       1490               X                 1390        100          0
 INTEL CORP COM                           458140100    3180215      26823   X                            26823          0          0
 INTEL CORP COM                           458140100    1120420       9450               X                 9050          0        400
 INTERNATIONAL BUSINESS MACHS CORP        459200101    1228306       6662   X                             6662          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101     762206       4134               X                 3894          0        240
 INTERPUBLIC GROUP COS INC COM            460690100    1121843      14067   X                            14067          0          0
 INTERPUBLIC GROUP COS INC COM            460690100    1921736      24097               X                23197          0        900
 SCUDDER GROWTH & INCOME FUND             460965882     986902      37511   X                            37511          0          0
 SCUDDER GROWTH & INCOME FUND             460965882      60399       2296               X                 2296          0          0
 JANUS FD INC COM                         471023101    5485291     163010   X                           163010          0          0
 JANUS FD INC COM                         471023101      81531       2423               X                 2423          0          0
 JANUS INVT FD WORLDWIDE FD               471023309     597333      12613               X                12613          0          0
 JOHNSON & JOHNSON COM                    478160104     902160      10756   X                            10756          0          0
 JOHNSON & JOHNSON COM                    478160104    1962675      23400               X                23400          0          0
 KELLOGG CO COM                           487836108     419738      12300   X                            12300          0          0
 KELLOGG CO COM                           487836108     214988       6300               X                 6300          0          0
 KEYCORP NEW COM                          493267108     976352      30511   X                            30511          0          0
 KEYCORP NEW COM                          493267108    1541568      48174               X                39174          0       9000
 KIMBERLY-CLARK CORP COM                  494368103     342860       6291   X                             6091        200          0
 KIMBERLY-CLARK CORP COM                  494368103     248847       4566               X                 4566          0          0
 KIMCO RLTY CORP COM                      49446R109     105173       2650   X                             2650          0          0
 KIMCO RLTY CORP COM                      49446R109     250034       6300               X                 6300          0          0
 LANCASTER COLONY CORP COM                513847103    1005609      31303               X                31303          0          0
 LILLY ELI & CO COM                       532457108     770991       8675   X                             8675          0          0
 LILLY ELI & CO COM                       532457108    1420223      15980               X                13856          0       2124
 LOWES COS INC COM                        548661107     266178       5200   X                             5200          0          0
 LOWES COS INC COM                        548661107      71663       1400               X                 1400          0          0
 LUCENT TECHNOLOGIES INC COM              549463107    1453380      13220   X                            13220          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              43925746     824869                               808405        500      15964
</TABLE>
<PAGE>   57
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 55

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 LUCENT TECHNOLOGIES INC COM              549463107    1244498      11320               X                11094          0        226
 MCN ENERGY GROUP INC COM                 55267J100      11438        600   X                              600          0          0
 MCN ENERGY GROUP INC COM                 55267J100    2100361     110180               X               110180          0          0
 MCI WORLDCOM INC                         55268B106     776263      10819   X                            10819          0          0
 MCI WORLDCOM INC                         55268B106     252775       3523               X                 3523          0          0
 MARSH & MCLENNAN COS COM                 571748102     867804      14850   X                            14850          0          0
 MARSH & MCLENNAN COS COM                 571748102     170405       2916               X                 2916          0          0
 MCDONALDS CORP COM                       580135101    2180721      28390   X                            27890          0        500
 MCDONALDS CORP COM                       580135101    1386475      18050               X                17950        100          0
 MCGRAW-HILL COMPANIES INC COM            580645109      10188        100   X                              100          0          0
 MCGRAW-HILL COMPANIES INC COM            580645109    1385500      13600               X                13600          0          0
 MEDIAONE GROUP INC                       58440J104     212064       4512   X                             4512          0          0
 MEDIAONE GROUP INC                       58440J104     253800       5400               X                 5400          0          0
 MEDTRONIC INC COM                        585055106     408546       5500   X                             5500          0          0
 MEDTRONIC INC COM                        585055106      78738       1060               X                 1060          0          0
 MERCK & CO INC COM                       589331107    5208815      35314   X                            35314          0          0
 MERCK & CO INC COM                       589331107    9339995      63322               X                62022        100       1200
 MERIDIAN FD INC                          589619105     301432      12410   X                            12410          0          0
 MERIDIAN FD INC                          589619105       6811        280               X                  280          0          0
 MERRILL LYNCH & CO INC COM               590188108     437213       6550   X                             6550          0          0
 MERRILL LYNCH & CO INC COM               590188108     170213       2550               X                 2550          0          0
 MICROSOFT CORP COM                       594918104    3635845      26216   X                            26216          0          0
 MICROSOFT CORP COM                       594918104    2530085      18243               X                17443        100        700
 MINNESOTA MINING & MFG CO COM            604059105    1395615      19622   X                            19322        300          0
 MINNESOTA MINING & MFG CO COM            604059105    2149398      30220               X                29720          0        500
 MOBIL CORP COM                           607059102    2246518      25785   X                            25785          0          0
 MOBIL CORP COM                           607059102    2110516      24224               X                23024          0       1200
 MONSANTO CO COM                          611662107     928625      19550   X                            19550          0          0
 MONSANTO CO COM                          611662107     296875       6250               X                 6050          0        200
 MORGAN J P & CO INC COM                  616880100     489173       4656   X                             4656          0          0
 MORGAN J P & CO INC COM                  616880100     393986       3750               X                 3750          0          0
 MUTUAL SER FD INC                        628380206    2401235     145883   X                           145883          0          0
 N-VIRO INTERNATIONAL CORPORATION         62944W9A8      16458      10128               X                10128          0          0
 NATIONAL CITY CORP COM                   635405103    3101333      42777   X                            41577       1200          0
 NATIONAL CITY CORP COM                   635405103    5983715      82534               X                79516       3018          0
 NESTLE S A SPONSORED ADR                 641069406     141496       1300   X                             1300          0          0
 NESTLE S A SPONSORED ADR                 641069406     195917       1800               X                    0          0       1800
 NICHOLAS FD INC COM                      653735100      96029       1119   X                             1119          0          0
 NICHOLAS FD INC COM                      653735100     181220       2112               X                 2112          0          0
 NORDSTROM INC COM                        655664100      41626       1200   X                             1200          0          0
 NORDSTROM INC COM                        655664100     185026       5334               X                 5334          0          0
 NORFOLK SOUTHN CORP COM                  655844108     257623       8130   X                             8130          0          0
 NORFOLK SOUTHN CORP COM                  655844108      31688       1000               X                 1000          0          0
 NORTHERN TR CORP COM                     665859104    1655891      18965   X                            18965          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              57269948     852044                               840900       4818       6326
</TABLE>
<PAGE>   58
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 56

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 COM                     665859104    2182825      25000               X                24400          0        600
 OFFICEMAX INC COM                        67622M108     158638      12950   X                            12950          0          0
 OFFICEMAX INC COM                        67622M108      71050       5800               X                 5800          0          0
 OHIO INSD MUNS INCOME TR                 67738G755     433287        423   X                              423          0          0
 PNC BANK CORP COM                        693475105    2128950      39425   X                            39425          0          0
 PNC BANK CORP COM                        693475105     957960      17740               X                17240          0        500
 PPG INDS INC COM                         693506107     407316       7000               X                 7000          0          0
 PALL CORP COM                            696429307     143398       5665   X                             5665          0          0
 PALL CORP COM                            696429307     205440       8116               X                 8116          0          0
 PENNEY J C CO INC COM                    708160106      65625       1400   X                             1400          0          0
 PENNEY J C CO INC COM                    708160106     182813       3900               X                 3900          0          0
 PEPSICO INC COM                          713448108    2796218      68409   X                            67909        500          0
 PEPSICO INC COM                          713448108    2776802      67934               X                64534          0       3400
 PHARMACIA & UPJOHN INC COM               716941109      63194       1116   X                             1116          0          0
 PHARMACIA & UPJOHN INC COM               716941109     550112       9715               X                 9715          0          0
 PFIZER INC COM                           717081103    5875750      47006   X                            47006          0          0
 PFIZER INC COM                           717081103    4078125      32625               X                31325          0       1300
 PHILIP MORRIS COS INC COM                718154107    3308440      61840   X                            61840          0          0
 PHILIP MORRIS COS INC COM                718154107    3054850      57100               X                54300        100       2700
 PITNEY BOWES INC COM                     724479100    3057858      46287   X                            45887        400          0
 PITNEY BOWES INC COM                     724479100    2432109      36815               X                33715          0       3100
 PROCTER & GAMBLE CO COM                  742718109    4637331      50785   X                            50785          0          0
 PROCTER & GAMBLE CO COM                  742718109    4922410      53907               X                49207        100       4600
 PROVIDIAN FINL CORP                      74406A102     489300       6524   X                             6524          0          0
 PROVIDIAN FINL CORP                      74406A102     191250       2550               X                 2550          0          0
 PRUDENTIAL MUN SER FD                    74435M838     185288      15377   X                            15377          0          0
 QUAKER OATS CO COM                       747402105      83300       1400   X                             1400          0          0
 QUAKER OATS CO COM                       747402105     154700       2600               X                 2600          0          0
 RPM INC OHIO COM                         749685103      52080       3255   X                             3255          0          0
 RPM INC OHIO COM                         749685103     112992       7062               X                 7062          0          0
 REUTERS GROUP PLC-SPONS ADR              76132M102     845359      13339   X                            13339          0          0
 REUTERS GROUP PLC-SPONS ADR              76132M102     253880       4006               X                 3100          0        906
 ROWE T PRICE EQUITY INCOME FD            779547108     688314      26152   X                            26152          0          0
 ROWE T PRICE STABLE VALUE FD             779578905    4399301    4399301   X                          4399301          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     414837       8665   X                             8665          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     548025      11447               X                11447          0          0
 SBC COMMUNICATIONS INC COM               78387G103    2869688      53514   X                            53514          0          0
 SBC COMMUNICATIONS INC COM               78387G103    1702272      31744               X                30574          0       1170
 SAFECO GROWTH FD INC                     786434100     488129      21503               X                21503          0          0
 SARA LEE CORP COM                        803111103    2006422      71180   X                            70380        800          0
 SARA LEE CORP COM                        803111103    2706217      96006               X                89006          0       7000
 SCHERING-PLOUGH CORP COM                 806605101    7335764     132774   X                           130774       2000          0
 SCHERING-PLOUGH CORP COM                 806605101    3421191      61922               X                50322          0      11600
 SCHLUMBERGER LTD COM                     806857108    1340562      28907   X                            28907          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              74779372    5660186                              5619410       3900      36876
</TABLE>
<PAGE>   59
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 57

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SCHLUMBERGER LTD COM                     806857108     148400       3200               X                 3000          0        200
 SCIENTIFIC ATLANTA INC COM               808655104     266912      11700   X                            11700          0          0
 SERVICE CORP INTERNATIONAL COM           817565104     308310       8100   X                             8100          0          0
 SERVICE CORP INTERNATIONAL COM           817565104      53288       1400               X                 1400          0          0
 SERVICEMASTER CO COM                     81760N109     446776      20250   X                            20250          0          0
 SERVICEMASTER CO COM                     81760N109     440554      19968               X                19968          0          0
 SINGER CO N V COM                        82930F109      14964       3800   X                             3800          0          0
 SINGER CO N V COM                        82930F109      27960       7100               X                 7100          0          0
 SKY FINL GROUP INC                       83080P103      95547       3614   X                             3614          0          0
 SKY FINL GROUP INC                       83080P103     899791      34034               X                31991       2043          0
 SMITHKLINE BEECHAM CORP                  832378301     590750       8500   X                             7200          0       1300
 SMITHKLINE BEECHAM CORP                  832378301     427425       6150               X                 6150          0          0
 SPRINT CORP COM                          852061100      25238        300   X                              300          0          0
 SPRINT CORP COM                          852061100     538232       6398               X                 6398          0          0
 STATE STR CORP                           857477103     284006       4050   X                             4050          0          0
 STATE STR CORP                           857477103      77138       1100               X                 1100          0          0
 SUN MICROSYSTEMS INC COM                 866810104     325375       3800   X                             3800          0          0
 SUN MICROSYSTEMS INC COM                 866810104     248313       2900               X                 2900          0          0
 SUN HEALTH CARE GROUP                    866933104     106977      16300   X                            16300          0          0
 SUN HEALTH CARE GROUP                    866933104      39378       6000               X                 6000          0          0
 SYSCO CORP COM                           871829107     232811       8485   X                             8485          0          0
 SYSCO CORP COM                           871829107     309748      11289               X                10389          0        900
 TELEFONICA S.A.                          879382208     487350       3600               X                 3600          0          0
 TEMPLETON FOREIGN FD                     880196209    1505665     179459   X                           178192       1267          0
 TEMPLETON FOREIGN FD                     880196209     630800      75185               X                75185          0          0
 TEMPLETON INSTL FDS INC                  880210505    2597186     146238   X                           146238          0          0
 TEMPLETON INSTL FDS INC                  880210505     799022      44990               X                44990          0          0
 TEXACO INC COM                           881694103     105788       1996   X                             1996          0          0
 TEXACO INC COM                           881694103     590420      11140               X                11140          0          0
 TEXAS INSTRS INC COM                     882508104     140300       1639   X                             1639          0          0
 TEXAS INSTRS INC COM                     882508104     580538       6780               X                 6780          0          0
 TEXAS PAC LD TR SUB SH                   882610108     387900       7200               X                 7200          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     224102       4800   X                             4800          0          0
 TIME WARNER INC COM                      887315109     763375      12300   X                            12300          0          0
 TIME WARNER INC COM                      887315109     124126       2000               X                 2000          0          0
 TOLEDO MIRROR AND GLASS COMPANY          8892729A0     810000        322   X                              322          0          0
 TOYS R US INC COM                        892335100     215113      12700   X                            12700          0          0
 TRICON GLOBAL RESTAURANTS                895953107     100451       2004   X                             2004          0          0
 TRICON GLOBAL RESTAURANTS                895953107     122806       2450               X                 2110          0        340
 TYCO INTL LTD NEW                        902124106     415419       5507   X                             5507          0          0
 TYCO INTL LTD NEW                        902124106     200212       2654               X                 2654          0          0
 UNCOMMON VALUES UNIT TR                  903995017      13608      13598   X                            13598          0          0
 U S WEST INC NEW                         91273H101     846264      13095   X                            13095          0          0
 U S WEST INC NEW                         91273H101     487983       7551               X                 7551          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              18056321     745646                               739596       3310       2740
</TABLE>
<PAGE>   60
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 58

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 UNITED TECHNOLOGIES CORP COM             913017109    1168301      10743   X                            10743          0          0
 UNITED TECHNOLOGIES CORP COM             913017109     321248       2954               X                 2100        854          0
 VANGUARD BD INDEX FD INC                 921937306     598858      57088   X                            57088          0          0
 VANGUARD TREAS FD                        921948105      13557      13557   X                            13557          0          0
 VANGUARD INSTL INDEX FD                  922040100     573437       5081   X                             5081          0          0
 VANGUARD INSTL INDEX FD                  922040100      15817        140               X                  140          0          0
 VANGUARD INDEX TR 500 PORTFOLIO          922908108    2990369      26243   X                            26243          0          0
 VANGUARD INDEX TR 500 PORTFOLIO          922908108    1802866      15822               X                15822          0          0
 WACHOVIA CORP COM                        929771103    1080734      12360   X                            11820          0        540
 WACHOVIA CORP COM                        929771103    1697172      19410               X                19410          0          0
 WAL MART STORES INC                      931142103    5100706      62633   X                            62133          0        500
 WAL MART STORES INC                      931142103    1697982      20850               X                20450        100        300
 WALGREEN CO COM                          931422109     705860      12053   X                            12053          0          0
 WALGREEN CO COM                          931422109      81988       1400               X                 1400          0          0
 WARNER LAMBERT CO COM                    934488107      30075        400   X                              400          0          0
 WARNER LAMBERT CO COM                    934488107     834587      11100               X                11100          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109     155541       3336   X                             3336          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109     169995       3646               X                 3646          0          0
 WELLS FARGO & CO NEW                     949746101    6295267     157626   X                           157626          0          0
 WELLS FARGO & CO NEW                     949746101    2762751      69176               X                69176          0          0
 WISCONSIN ENERGY CORP COM                976657106     360405      11464   X                            11464          0          0
 WISCONSIN ENERGY CORP COM                976657106     147570       4694               X                 1850          0       2844
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              28605086     521776                               516638        954       4184
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                          747066706   35283576                             34689205     261567     332803
</TABLE>
<PAGE>   61
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 59

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   62
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 60

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   63
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 09-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 009                                                             PAGE 61

 **SUMMARY PAGE FOR: 09-NATIONAL CITY BANK               **

<TABLE>
<CAPTION>
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                  <C>         <C>                                  <C>          <C>        <C>   
 A. COMMON STOCK                                     747066706   35283576                             34689205     261567     332803
 B. PREFERRED STOCK                                          0          0                                    0          0          0
 C. OTHER                                                    0          0                                    0          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                    747066706   35283576                             34689205     261567     332803
</TABLE>
<PAGE>   64
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                             PAGE 62

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     452531       5974   X                             5974          0          0
 AT&T CORP COM                            001957109      38481        508               X                  508          0          0
 ABBOTT LABS COM                          002824100    2495570      50930   X                            49520        650        760
 ABBOTT LABS COM                          002824100       9800        200               X                    0        200          0
 AEGON NV ORD AMER REG (NLG)              007924103     242055       1980   X                             1980          0          0
 AEGON NV ORD AMER REG (NLG)              007924103     127140       1040               X                 1040          0          0
 AEROSPACE DESIGN & FABRICATION, INC      008017907     111524      15489   X                            15489          0          0
 ALBERTSONS INC                           013104104     671908      10550   X                            10550          0          0
 ALBERTSONS INC                           013104104      44582        700               X                  700          0          0
 ALLSTATE CORP                            020002101     675983      17558   X                            17558          0          0
 AMERICAN EXPRESS CO COM                  025816109     574205       5602   X                             5602          0          0
 AMERICAN EXPRESS CO COM                  025816109     133250       1300               X                 1300          0          0
 AMERICAN HOME PRODS CORP COM             026609107     800525      14200   X                            14200          0          0
 AMERICAN HOME PRODS CORP COM             026609107      93583       1660               X                 1660          0          0
 AMERICAN INTL GROUP INC                  026874107    2976920      30809   X                            30809          0          0
 AMERICAN INTL GROUP INC                  026874107      14494        150               X                  150          0          0
 AMERITECH CORP NEW COM                   030954101    2854347      45039   X                            45039          0          0
 AMERITECH CORP NEW COM                   030954101     116990       1846               X                 1846          0          0
 AMP INC COM                              031897101     449095       8626   X                             7056       1570          0
 AMP INC COM                              031897101      49980        960               X                  960          0          0
 AMOCO CORP COM                           031905102     404755       6760   X                             6760          0          0
 AMOCO CORP COM                           031905102     140706       2350               X                 2350          0          0
 ARMADA FDS                               042086272    1202671     114540   X                            75674          0      38866
 ARMADA TAX MANAGED EQUITY FD #233        042086330   41627413    3480553   X                          3263922     163710      52921
 ARMADA TAX MANAGED EQUITY FD #233        042086330    7428263     621092               X               371199     249893          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    2631703     260050   X                           241883      18166          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     244259      24136               X                21636       2500          0
 ARMADA SMALL CAP GROWTH FD               042086579    1836719     161541   X                           146396          0      15145
 ARMADA CORE EQUITY FD                    042086595    1023113      78640   X                            78640          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    1802191     162653   X                           162653          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629      44373       4005               X                 1970       2035          0
 ARMADA EQUITY INDEX FUND #42             042086645     754817      70808   X                            70808          0          0
 ARMADA GNMA FD                           042086660     385255      37331   X                            37331          0          0
 ARMADA BOND FD INSTL CL #630             042086686   26905690    2597074   X                          2456933       3985     136156
 ARMADA BOND FD INSTL CL #630             042086686    1760206     169904               X               120058      49846          0
 ARMADA OHIO TAX EXEMPT FUND              042086751   22554452    2011994   X                          1981198      30795          0
 ARMADA OHIO TAX EXEMPT FUND              042086751    1378414     122963               X                46282      76681          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    6099931     582610   X                           560039       1432      21139
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777      20688       1976               X                 1976          0          0
 ARMADA INTERMEDIATE BD FUND              042086793    4739873     441740   X                           438389          0       3351
 ARMADA INTERMEDIATE BD FUND              042086793      20419       1903               X                 1903          0          0
 ARMADA ENHANCED INCOME FUND              042086827     841448      83394   X                            83394          0          0
 ARMADA SMALL CAP VALUE FUND              042086843    5562466     424616   X                           399236      12811      12569
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             142684808   11677834                             10782625     614300     280907
</TABLE>
<PAGE>   65
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                             PAGE 63

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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              042086843     182325      13918               X                10333       3585          0
 ARMADA EQUITY INCOME FUND                042086868    6485854     372750   X                           333155          0      39595
 ARMADA EQUITY GROWTH FD                  042086884   19394762     801105   X                           750415       3394      47296
 ARMADA EQUITY GROWTH FD                  042086884     408172      16860               X                15693       1167          0
 ARMADA MONEY MARKET PORTFOLIO            042086983     281422     281422   X                           281422          0          0
 ATLANTIC RICHFIELD CO COM                048825103     307393       4702   X                             3502       1200          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    1619798      20200   X                            20200          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103      56132        700               X                  700          0          0
 BANK ONE CORP COM                        06423A103    1499720      29370   X                            29370          0          0
 BANKERS TR CORP COM                      066365107     209323       2450   X                             2450          0          0
 BELL ATLANTIC CORP COM                   077853109     561708      10402   X                            10402          0          0
 BELL ATLANTIC CORP COM                   077853109      84888       1572               X                 1572          0          0
 BELLSOUTH CORP COM                       079860102    1632908      32740   X                            32740          0          0
 BELLSOUTH CORP COM                       079860102      14364        288               X                  288          0          0
 BEST FOODS                               08658U101     257730       4840   X                             4840          0          0
 BEST FOODS                               08658U101      74550       1400               X                 1400          0          0
 BRISTOL-MYERS SQUIBB                     110122108    3699394      27646   X                            27646          0          0
 BRISTOL-MYERS SQUIBB                     110122108     200720       1500               X                 1500          0          0
 CIGNA CORP                               125509109     266730       3450   X                             3450          0          0
 CVS CORPORATION (DEL)                    126650100     264000       4800   X                             4800          0          0
 CARDINAL HEALTH INC COM                  14149Y108     421106       5550   X                             5550          0          0
 CARDINAL HEALTH INC COM                  14149Y108     128988       1700               X                    0       1700          0
 CHASE MANHATTAN CORP NEW COM             16161A108     381128       5368   X                             5368          0          0
 CHASE MANHATTAN CORP NEW COM             16161A108      10650        150               X                  150          0          0
 CHEVRON  CORP                            166751107     324453       3912   X                             3612        300          0
 CINCINNATI FINL CORP COM                 172062101     434446      11862   X                            11862          0          0
 CINCINNATI FINL CORP COM                 172062101      50103       1368               X                 1368          0          0
 CISCO SYS INC                            17275R102    4594893      49507   X                            49507          0          0
 CISCO SYS INC                            17275R102     171704       1850               X                  150       1700          0
 CINTAS CORP                              172908105     262382       3725   X                             3725          0          0
 CINTAS CORP                              172908105      52829        750               X                  750          0          0
 COCA COLA CO COM                         191216100    1667630      24890   X                            24890          0          0
 COCA COLA CO COM                         191216100      43550        650               X                  650          0          0
 COMPAQ COMPUTER CORP                     204493100     531300      12650   X                            12650          0          0
 COMPAQ COMPUTER CORP                     204493100       1470         35               X                   35          0          0
 COSTCO COMPANIES INC                     22160Q102    2248656      31150   X                            31150          0          0
 COSTCO COMPANIES INC                     22160Q102      28875        400               X                  400          0          0
 DPL INC                                  233293109    1251374      57867   X                            57867          0          0
 DPL INC                                  233293109      48483       2242               X                 2242          0          0
 DAYTON HUDSON CORP COM                   239753106     254975       4700   X                             4700          0          0
 DISNEY WALT CO COM                       254687106     556800      18560   X                            18560          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    1293358      24374   X                            24374          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109      58369       1100               X                 1100          0          0
 EASTMAN KODAK CO COM                     277461109     214920       2985   X                             2985          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              52534335    1899460                              1799523      13046      86891
</TABLE>
<PAGE>   66
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                             PAGE 64

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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      34200        475               X                  475          0          0
 EATON CORP COM                           278058102     325165       4600   X                             4400        200          0
 EMERSON ELEC CO COM                      291011104    2615415      43230   X                            43230          0          0
 EMERSON ELEC CO COM                      291011104     102850       1700               X                 1700          0          0
 ERICSSON L M TEL CO                      294821400     679839      28400   X                            28400          0          0
 EVERGREEN MUN TR                         300258746      77959      10231   X                            10231          0          0
 EXXON CORP COM                           302290101    3621589      49526   X                            47526       2000          0
 EXXON CORP COM                           302290101     365333       4996               X                 4996          0          0
 FARMERS CAPITAL BANCORP COM              309562106     375000      10000   X                            10000          0          0
 FREDDIE MAC COM                          313400301    1604506      24900   X                            24900          0          0
 FREDDIE MAC COM                          313400301     132098       2050               X                    0       2050          0
 FANNIE MAE COM                           313586109    2545600      34400   X                            34400          0          0
 FIDELITY CONTRAFUND INC                  316071109     509199       8985   X                             8985          0          0
 FIFTH THIRD BANCORP COM                  316773100     177355       2487   X                             2487          0          0
 FIFTH THIRD BANCORP COM                  316773100      32233        452               X                  452          0          0
 FIRSTAR CORP NEW WIS                     33763V109     316014       3398   X                             3398          0          0
 FIRSTAR CORP NEW WIS                     33763V109       1395         15               X                   15          0          0
 FLEET FINL GROUP INC NEW COM             338915101     440177       9850   X                             9850          0          0
 FLEET FINL GROUP INC NEW COM             338915101      26813        600               X                  600          0          0
 FORD MTR CO DEL COM                      345370100     571093       9731   X                             9731          0          0
 FORD MTR CO DEL COM                      345370100       5869        100               X                  100          0          0
 FRANKLIN RES INC COM                     354613101    1024640      32020   X                            32020          0          0
 FRANKLIN RES INC COM                     354613101       9600        300               X                  300          0          0
 FRANKLIN TAX FREE TR                     354723504     476954      38095   X                            38095          0          0
 GTE CORP COM                             362320103    1645020      25308   X                            24408        600        300
 GTE CORP COM                             362320103      44200        680               X                  680          0          0
 GAP INC COM                              364760108    1623416      28925   X                            28925          0          0
 GENERAL ELEC CO COM                      369604103    5246778      51439   X                            51039          0        400
 GENERAL ELEC CO COM                      369604103     755208       7404               X                 7404          0          0
 GENERAL MILLS INC COM                    370334104     363481       4675   X                             4675          0          0
 GENERAL RE CORP                          370563108     512561       2560   X                             2460          0        100
 GILLETTE CO COM                          375766102     552240      11550   X                            11550          0          0
 HALLIBURTON CO COM                       406216101     414217      13982   X                            13982          0          0
 HEARTLAND VALUE FD INC                   422359109     360074      12293   X                            12293          0          0
 HEWLETT PACKARD CO COM                   428236103    1164737      17050   X                            17050          0          0
 HEWLETT PACKARD CO COM                   428236103     109301       1600               X                 1600          0          0
 HOME DEPOT INC COM                       437076102    2557536      41798   X                            41798          0          0
 HONEYWELL INC COM                        438506107     449995       5975   X                             5975          0          0
 INTEL CORP                               458140100    4434968      37406   X                            37406          0          0
 INTEL CORP                               458140100     118563       1000               X                 1000          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    1844303      10003   X                            10003          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101     394931       2142               X                 2142          0          0
 JAMES ADVANTAGE FDS                      470259102     495702      28374   X                            28374          0          0
 JOHNSON & JOHNSON COM                    478160104    2074648      24735   X                            24735          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              41232775     649440                               643790       4850        800
</TABLE>
<PAGE>   67
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                            PAGE 65

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     163556       1950               X                 1950          0          0
 KEYCORP NEW COM                          493267108     161600       5050   X                             5050          0          0
 KEYCORP NEW COM                          493267108     105600       3300               X                 3300          0          0
 KIMBERLY CLARK CORP COM                  494368103     232279       4262   X                             4262          0          0
 KIMBERLY CLARK CORP COM                  494368103       8175        150               X                  150          0          0
 LILLY ELI & CO COM                       532457108     502677       5656   X                             5656          0          0
 LILLY ELI & CO COM                       532457108      37328        420               X                  420          0          0
 LOWES COS INC                            548661107     214990       4200   X                             4200          0          0
 LUCENT TECHNOLOGIES INC COM              549463107    2381587      21663   X                            21663          0          0
 LUCENT TECHNOLOGIES INC COM              549463107     198328       1804               X                 1804          0          0
 MCI WORLDCOM INC COM                     55268B106    1209849      16862   X                            16862          0          0
 MCI WORLDCOM INC COM                     55268B106     148236       2066               X                   16       2050          0
 MACAULAY BROWN INC                       554223990    3894445       7778   X                             7778          0          0
 MARSH & MCLENNAN COS INC COM             571748102     169470       2900   X                             2900          0          0
 MARSH & MCLENNAN COS INC COM             571748102     110974       1899               X                 1899          0          0
 MCGRAW-HILL COMPANIES INC COM            580645109     234313       2300   X                             2300          0          0
 MEDTRONIC INC                            585055106    1337058      18000   X                            18000          0          0
 MEDTRONIC INC                            585055106       7428        100               X                  100          0          0
 MERCK & CO INC COM                       589331107    3236888      21945   X                            19520       2125        300
 MERCK & CO INC COM                       589331107     435125       2950               X                 2950          0          0
 MIAMI COMPUTER SUPPLY CORP               593261100    1361763      55300   X                            55300          0          0
 MICROSOFT CORP                           594918104    5112872      36866   X                            36866          0          0
 MICROSOFT CORP                           594918104     138688       1000               X                 1000          0          0
 MILTONFEDERAL FINANCIAL CORP             601795107     312500      20000   X                            20000          0          0
 MINNESOTA MNG & MFG CO COM               604059105     605060       8507   X                             8347          0        160
 MINNESOTA MNG & MFG CO COM               604059105      58323        820               X                  820          0          0
 MOBIL CORP COM                           607059102    1463700      16800   X                            16800          0          0
 MOBIL CORP COM                           607059102      17425        200               X                  200          0          0
 MONSANTO CO COM                          611662107    1542325      32470   X                            32470          0          0
 MORGAN GRENFELL INVT TR                  61735K828     219000      21726   X                            21726          0          0
 MORGAN GRENFELL INVT TR                  61735K836     542401      50597   X                            50597          0          0
 NATIONAL CITY CORP COM                   635405103    4076458      56227   X                            51334       4893          0
 NATIONAL CITY CORP COM                   635405103     590295       8142               X                 6142       2000          0
 NEFF FOLDING BOX COMPANY CLASS B         639994102    1262014       6289   X                             6289          0          0
 NEFF FOLDING BOX CO                      640090916    2340266      18174   X                            18174          0          0
 NEWELL CO                                651192106    1227188      29750   X                            29750          0          0
 NEWELL CO                                651192106      53625       1300               X                 1300          0          0
 NORFOLK SOUTHERN CORP                    655844108     230055       7260   X                             7260          0          0
 NORFOLK SOUTHERN CORP                    655844108      95064       3000               X                 3000          0          0
 NORTHERN TR CORP COM                     665859104     261939       3000   X                             3000          0          0
 NORTHERN TR CORP COM                     665859104      52388        600               X                  600          0          0
 NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     120984      10288   X                            10288          0          0
 OBJECTIVE COMMUNICATIONS INC             674421102      44380      20000   X                            20000          0          0
 OHIO ELECTBONIC ENGRAVERS INC            6773599A1     429000       2200   X                             2200          0          0
                                                      --------     ------                               ------      -----        ---
 SUBTOTALS FOR THIS PAGE                              36947619     535771                               524243      11068        460
</TABLE>


<PAGE>   68
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                            PAGE 66

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 PNC BANK CORP                            693475105     278154       5151   X                             5151          0          0
 PNC BANK CORP                            693475105      66852       1238               X                  400        838          0
 PEPSICO INC COM                          713448108     661439      16182   X                            16182          0          0
 PEPSICO INC COM                          713448108     228900       5600               X                 5600          0          0
 PFIZER INC COM                           717081103    4236000      33888   X                            33888          0          0
 PFIZER INC COM                           717081103     365625       2925               X                 1825       1100          0
 PHILIP MORRIS COS INC COM                718154107    1748380      32680   X                            32680          0          0
 PHILIP MORRIS COS INC COM                718154107     272850       5100               X                 5100          0          0
 PITNEY BOWES INC                         724479100    1549838      23460   X                            23460          0          0
 PITNEY BOWES INC                         724479100     418179       6330               X                 6330          0          0
 PROCTER & GAMBLE CO COM                  742718109    4661894      51054   X                            50654          0        400
 PROCTER & GAMBLE CO COM                  742718109    9274661     101570               X                 3900      97670          0
 PROVIDIAN FINL CORP                      74406A102     478125       6375   X                             6375          0          0
 PROVIDIAN FINL CORP                      74406A102     135000       1800               X                 1800          0          0
 REYNOLDS & REYNOLDS CO CL A              761695105     335468      14625   X                            14625          0          0
 REYNOLDS & REYNOLDS CO CL A              761695105       5735        250               X                  250          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     165169       3450   X                             3450          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804      53620       1120               X                 1120          0          0
 SBC COMMUNICATIONS INC COM               78387G103    1910444      35626   X                            35626          0          0
 SBC COMMUNICATIONS INC COM               78387G103     317567       5922               X                 5922          0          0
 SEI DAILY INCOME TR                      783965726     288571     288571   X                           288571          0          0
 SAFEWAY INC COM NEW                      786514208    3311980      54350   X                            54350          0          0
 SAFEWAY INC COM NEW                      786514208     155392       2550               X                  200       2350          0
 SARA LEE CORP                            803111103     920620      32660   X                            32660          0          0
 SARA LEE CORP                            803111103      11275        400               X                  400          0          0
 SCHERING PLOUGH CORP COM                 806605101    2538738      45950   X                            45950          0          0
 SCHERING PLOUGH CORP COM                 806605101      22100        400               X                  400          0          0
 SCHLUMBERGER LTD                         806857108    1113742      24016   X                            22500       1516          0
 SCHLUMBERGER LTD                         806857108      27825        600               X                  600          0          0
 SCHWAB CHARLES FAMILY FDS                808515100     112531     112531               X                    0          0     112531
 SECURITY BANC CORP COM                   813767100     288768       6144   X                             6144          0          0
 SERVICE CORP INTL                        817565104    1737576      45650   X                            45650          0          0
 SERVICE CORP INTL                        817565104      39966       1050               X                 1050          0          0
 SMITHKLINE BEECHAM P L C                 832378301     111200       1600   X                             1600          0          0
 SMITHKLINE BEECHAM P L C                 832378301     278000       4000               X                 4000          0          0
 STATE STR CORP                           857477103     943181      13450   X                            13450          0          0
 STATE STR CORP                           857477103      28050        400               X                  400          0          0
 SUN MICRO SYSTEMS                        866810104     338219       3950   X                             3950          0          0
 TE-CO, AN OHIO CORP                      872370903     286774         33   X                               33          0          0
 TIP INSTL FDS                            872524400     109500      10330   X                            10330          0          0
 TANDY CORP                               875382103     222415       5400   X                             5400          0          0
 TEMPLETON FDS FOREIGN FD                 880196209     522234      62245   X                            61393        852          0
 TEMPLETON FDS FOREIGN FD                 880196209      34764       4144               X                 4144          0          0
 TEMPLETON INSTL FDS INC                  880210505    1519158      85538   X                            77927          0       7611
                                                      --------    -------                               ------     ------     ------
 SUBTOTALS FOR THIS PAGE                              42126479    1160308                               935440     104326     120542
</TABLE>

<PAGE>   69
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                            PAGE 67

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 INSTL FDS INC                  880210505      44463       2504               X                 1135       1369          0
 TIME WARNER INC                          887315109    2212546      35650   X                            35650          0          0
 TIME WARNER INC                          887315109      49650        800               X                  800          0          0
 TIPP MACHINE & TOOL INC                  887820900    1046500      91000   X                            91000          0          0
 TOWNE FINL CORP COM                      892138108     601440      20048   X                            20048          0          0
 TROY DAILY NEWS INC                      89732X9A5          1     224856   X                           224856          0          0
 TYCO INTL LTD NEW                        902124106    3391821      44962   X                            44962          0          0
 TYCO INTL LTD NEW                        902124106     177278       2350               X                  550       1800          0
 UNITED HEALTH CARE CORP COM              910581107     447855      10400   X                            10400          0          0
 U S WEST INC NEW                         91273H101     153808       2380   X                             2380          0          0
 U S WEST INC NEW                         91273H101      60295        933               X                  933          0          0
 UNITED TECHNOLOGIES CORP COM             913017109    1036279       9529   X                             9529          0          0
 UNITED TECHNOLOGIES CORP COM             913017109     179438       1650               X                  500       1150          0
 VANGUARD INDEX TR 500 PORTFOLIO          922908108     251645       2208   X                             2208          0          0
 VANGUARD INDEX TR 500 PORTFOLIO          922908108     146723       1288               X                 1288          0          0
 WACHOVIA CORP COM                        929771103     968813      11080   X                            11080          0          0
 WACHOVIA CORP COM                        929771103     118741       1358               X                 1358          0          0
 WAL MART STORES INC                      931142103    2561225      31450   X                            31450          0          0
 WAL MART STORES INC                      931142103     228026       2800               X                 1100       1700          0
 WALGREEN CO COM                          931422109    2056733      35120   X                            35120          0          0
 WALGREEN CO COM                          931422109      23425        400               X                  400          0          0
 WARNER LAMBERT CO COM                    934488107     500000       6650   X                             6650          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109     395007       8472   X                             8472          0          0
 WELLS FARGO & CO NEW                     949746101    2895505      72500   X                            72500          0          0
 WELLS FARGO & CO NEW                     949746101      79876       2000               X                 2000          0          0
 XEROX CORP COM                           984121103     625400       5300   X                             5300          0          0
 XEROX CORP COM                           984121103     135700       1150               X                    0       1150          0
                                                     ---------   --------                             --------     ------     ------
 SUBTOTALS FOR THIS PAGE                              20388193     628838                               621669       7169          0
                                                     ---------   --------                             --------     ------     ------
 SUBTOTALS FOR COMMON STOCK                          335914209   16551651                             15307290     754759     489600
</TABLE>


<PAGE>   70
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 10-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 010                                                            PAGE 68

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>
 MIAMI INDUSTRIAL TRUCKS INC              593994809     422712       2400   X                             2400          0          0
 NEFF FOLDING BOX CO                      6400909A6     266994       1260               X                 1260          0          0
                                                        ------       ----                                 ----     ------     ------
 SUBTOTALS FOR THIS PAGE                                689706       3660                                 3660          0          0
                                                        ------       ----                                 ----     ------     ------
 SUBTOTALS FOR PREFERRED STOCK                          689706       3660                                 3660          0          0
</TABLE>


<PAGE>   71

 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
 SECTION 13(F)

 PREPARED FOR: 10-NATIONAL CITY BANK                  ON 05/11/99 AS OF 12/31/98

 DEPT ID# 010                                                        PAGE    69
                                                                    
 SEC USE ONLY________________________________________

<TABLE>
<CAPTION>

 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>   72

 INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO 
 SECTION 13(F)

 PREPARED FOR: 10-NATIONAL CITY BANK                  ON 05/11/99 AS OF 12/31/98

 DEPT ID# 010                                                        PAGE    70

<TABLE>
<CAPTION>
 **SUMMARY PAGE FOR: 10-NATIONAL CITY BANK               **
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
<S>                                                  <C>         <C>                                  <C>          <C>        <C>   
 A. COMMON STOCK                                     335914209   16551651                             15307290     754759     489600
 B. PREFERRED STOCK                                     689706       3660                                 3660          0          0
 C. OTHER                                                    0          0                                    0          0          0
                                                     ---------   --------                             --------     ------     ------
 **GRAND TOTALS**                                    336603915   16555311                             15310950     754759     489600
</TABLE>


<PAGE>   73
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 84

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     124498       1296   X                             1296          0          0
 DAIMLERCHRYSLER AG                       D1668R123     204710       2131               X                 2131          0          0
 AT&T CORP COM                            001957109    4530002      59802   X                            59802          0          0
 AT&T CORP COM                            001957109    4331234      57178               X                56048        730        400
 ABBOTT LABS COM                          002824100    2267475      46275   X                            46275          0          0
 ABBOTT LABS COM                          002824100    7007049     143001               X               141331       1205        465
 ACORN INVT TR                            004851101     272195      16154               X                16154          0          0
 AEGON N V ORD AMER REG (NLG)             007924103     122250       1000   X                             1000          0          0
 AEGON N V ORD AMER REG (NLG)             007924103     608805       4980               X                 4980          0          0
 AETNA INC COM NEW                        008117103      29484        375   X                              375          0          0
 AETNA INC COM NEW                        008117103     530640       6749               X                 6749          0          0
 AIM FDS GROUP                            008879306    1876506      46691   X                            46691          0          0
 AIM FDS GROUP                            008879306      13025        324               X                  324          0          0
 AIM INTL FDS INC                         008882102     806135      43317   X                            43317          0          0
 AIRBORNE FGHT CORP COM                   009266107     256047       7100               X                 7100          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     309021       4266   X                             4266          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     617389       8523               X                 8523          0          0
 AKZO NOBEL NV ADR                        010199305     535500      12000               X                12000          0          0
 ALBERTSONS INC COM                       013104104    1094478      17185   X                            17185          0          0
 ALBERTSONS INC COM                       013104104     428365       6726               X                 6726          0          0
 ALLIANCE GROWTH & INCOME FD INC COM      018597104        764        222   X                              222          0          0
 ALLIANCE GROWTH & INCOME FD INC COM      018597104     247908      71857               X                71857          0          0
 ALLIANCE NORTH AMERN GOVT INCOME TR      018715201     145891      19171   X                            19171          0          0
 ALLSTATE CORP COM                        020002101     776314      20164   X                            20164          0          0
 ALLSTATE CORP COM                        020002101     250905       6517               X                 6517          0          0
 ALLTEL CORP COM                          020039103     371199       6206   X                             6206          0          0
 ALLTEL CORP COM                          020039103     436276       7294               X                 5194          0       2100
 ALUMINUM CO OF AMERICA COM               022249106     478322       6415   X                             6415          0          0
 ALUMINUM CO OF AMERICA COM               022249106     376543       5050               X                 4750        300          0
 AMCOR LTD                                02341R302     234500      14000               X                14000          0          0
 AMERICA ONLINE INC DEL COM               02364J104      69806        450   X                              450          0          0
 AMERICA ONLINE INC DEL COM               02364J104     139613        900               X                  400        500          0
 AMERICAN ELEC PWR INC COM                025537101     303603       6451   X                             6451          0          0
 AMERICAN ELEC PWR INC COM                025537101     172721       3670               X                 3670          0          0
 AMERICAN EXPRESS CO COM                  025816109      59860        584   X                              584          0          0
 AMERICAN EXPRESS CO COM                  025816109     480315       4686               X                 4686          0          0
 AMERICAN GEN CORP COM                    026351106    1609530      20635   X                            20635          0          0
 AMERICAN GEN CORP COM                    026351106     709800       9100               X                 8550        550          0
 AMERICAN HOME PRODS CORP COM             026609107    3913834      69425   X                            69026          0        399
 AMERICAN HOME PRODS CORP COM             026609107    8370729     148483               X               147783          0        700
 AMERICAN INTL GROUP INC COM              026874107    1810753      18740   X                            18740          0          0
 AMERICAN INTL GROUP INC COM              026874107    4850865      50203               X                49651          0        552
 AMERICAN WTR WKS INC COM                 030411102     286875       8500   X                             8200          0        300
 AMERICAN WTR WKS INC COM                 030411102     168750       5000               X                 5000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              52230484     988796                               980595       3285       4916
</TABLE>
<PAGE>   74
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 85

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 AMERITECH CORP NEW COM                   030954101    5657106      89264   X                            89264          0          0
 AMERITECH CORP NEW COM                   030954101    8422221     132895               X               131849        650        396
 AMGEN INC COM                            031162100     149002       1425   X                             1425          0          0
 AMGEN INC COM                            031162100     969822       9275               X                 9275          0          0
 AMP INC COM                              031897101     646675      12421   X                            12421          0          0
 AMP INC COM                              031897101     260471       5003               X                 5003          0          0
 AMOCO CORP COM                           031905102    2298302      38385   X                            38385          0          0
 AMOCO CORP COM                           031905102    1965636      32829               X                31929        900          0
 ANHEUSER BUSCH                           035229103      39375        600   X                              600          0          0
 ANHEUSER BUSCH                           035229103     721022      10987               X                10900         87          0
 AON CORP COM                             037389103    1806665      32626   X                            32626          0          0
 APPLEBEE'S INTL COM                      037899101     383625      18600               X                18600          0          0
 APPLIED INDL TECHNOLOGIES IN             03820C105      59316       4275   X                             4275          0          0
 APPLIED INDL TECHNOLOGIES IN             03820C105     138750      10000               X                10000          0          0
 APPLIED MATLS INC COM                    038222105    1673370      39200               X                39200          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     185378      10825   X                            10825          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     306109      17875               X                17875          0          0
 ARDEN RLTY INC COM                       039793104     147244       6350   X                             6350          0          0
 ARDEN RLTY INC COM                       039793104     266894      11510               X                10800        710          0
 ARMADA FDS                               042086272    9502684     905017   X                           905017          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330   26562098    2220911   X                          2220911          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330   23492221    1964233               X              1964233          0          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     764654      75559   X                            75559          0          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363     195152      19284               X                19284          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579    7310367     642952   X                           638167          0       4785
 ARMADA SMALL CAP GROWTH FUND #519        042086579     580589      51063               X                51063          0          0
 ARMADA CORE EQUITY FUND #681             042086595     345094      26525   X                            26525          0          0
 ARMADA CORE EQUITY FUND #681             042086595     115990       8915               X                 8915          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    5213369     470521   X                           462760          0       7761
 ARMADA INTERNATIONAL EQUITY FD           042086629     445635      40220               X                39203       1017          0
 ARMADA EQUITY INDEX FUND #42             042086645   12677647    1189273   X                          1134683          0      54590
 ARMADA EQUITY INDEX FUND #42             042086645     108256      10155               X                10155          0          0
 ARMADA GNMA INSTL CL #666                042086660    4257778     412575   X                           408428          0       4148
 ARMADA GNMA INSTL CL #666                042086660      72527       7028               X                 7028          0          0
 ARMADA BOND FD INSTL CL #630             042086686   42350399    4087876   X                          3982945      11254      93677
 ARMADA BOND FD INSTL CL #630             042086686   14273357    1377737               X              1369327          0       8410
 ARMADA PA MUN FD INSTL CL #629           042086710     166512      15768   X                            15768          0          0
 ARMADA OHIO TAX EXEMPT FUND #612         042086751    9658332     861582   X                           852024          0       9557
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   14839841    1323804               X              1290078          0      33726
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777   26699392    2550085   X                          2531402       3384      15299
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    4212688     402358               X               393713       8645          0
 ARMADA INTERMEDIATE BD FUND              042086793   36944418    3443096   X                          3421419      11391      10285
 ARMADA INTERMEDIATE BD FUND              042086793    2109397     196589               X               196589          0          0
 ARMADA ENHANCED INCOME FUND              042086827    7701697     763300   X                           752607          0      10693
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             276697077   23550771                             23259405      38038     253327
</TABLE>
<PAGE>   75
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 86

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 ENHANCED INCOME FUND              042086827     181815      18019               X                18019          0          0
 ARMADA SMALL CAP VALUE FUND #616         042086843   12204428     931636   X                           910496       3788      17352
 ARMADA SMALL CAP VALUE FUND #616         042086843    2286621     174551               X               165253       6263       3036
 ARMADA EQUITY INCOME FUND #614           042086868   22126705    1271650   X                          1235819      11474      24356
 ARMADA EQUITY INCOME FUND #614           042086868    3494704     200845               X               194641       6204          0
 ARMADA EQUITY GROWTH FUND                042086884   83172957    3435479   X                          3401412      11165      22902
 ARMADA EQUITY GROWTH FUND                042086884    8891919     367283               X               344028      23255          0
 ARMADA FUNDS MONEY MARKET PORTFOLIO      042086983     127365     127365   X                           127365          0          0
 ARVIN INDS INC COM                       043339100     262634       6300               X                 6300          0          0
 ASCEND COMMUNICATIONS COM                043491109     341900       5200               X                 5200          0          0
 ASSOCIATED BRIT FOODS LTD ADR            045519303     466400      50000               X                50000          0          0
 ASSOCIATES FIRST CAP CORP COM            046008108     653677      15426   X                            15060        366          0
 ASSOCIATES FIRST CAP CORP COM            046008108     802583      18940               X                18940          0          0
 ASTRA AB CLASS-A ADR                     046298105     724080      35000               X                35000          0          0
 ATLANTIC RICHFIELD CO COM                048825103    1515131      23176   X                            22476        300        400
 ATLANTIC RICHFIELD CO COM                048825103     785742      12019               X                11519        500          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    2208057      27536   X                            27536          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    1756598      21906               X                21556          0        350
 AVALONBAY CMNTYS INC                     053484101     117786       3439   X                             3209          0        230
 AVALONBAY CMNTYS INC                     053484101     289310       8447               X                 7679          0        768
 BASF A G NEW ADR                         055262406     477338      12500               X                12500          0          0
 BALTIMORE GAS & ELEC CO COM              059165100     209518       6786   X                             6786          0          0
 BALTIMORE GAS & ELEC CO COM              059165100      71445       2314               X                 1164       1150          0
 BANCWEST CORP NEW                        059790105     268800       5600               X                 5600          0          0
 BANK ONE CORP COM                        06423A103    9659077     189160   X                           187997       1163          0
 BANK ONE CORP COM                        06423A103    5774715     113090               X               103540       8889        661
 BANKAMERICA CORP NEW                     06605F102     522607       8692   X                             8692          0          0
 BANKAMERICA CORP NEW                     06605F102    2181395      36281               X                35811        470          0
 BANKERS TRUST CORP COM                   066365107    1217492      14250   X                            13950        300          0
 BANKERS TRUST CORP COM                   066365107     209323       2450               X                 2150          0        300
 BAXTER INTL INC COM                      071813109     201879       3139   X                             3139          0          0
 BAXTER INTL INC COM                      071813109     658244      10235               X                 9835        400          0
 BAYER A G SPONSORED ADR'S                072730302     522063      12500               X                12500          0          0
 BECKMAN COULTER INC                      075811109     200725       3700               X                 3700          0          0
 BELL ATLANTIC CORP COM                   077853109    2008476      37194   X                            37194          0          0
 BELL ATLANTIC CORP COM                   077853109    2293056      42464               X                41992        472          0
 BELLSOUTH CORP COM                       079860102    4588600      92002   X                            92002          0          0
 BELLSOUTH CORP COM                       079860102    6300310     126322               X               125422          0        900
 BEST FOODS                               08658U101     455820       8560   X                             7660        900          0
 BEST FOODS                               08658U101     808655      15186               X                15186          0          0
 BLACK & DECKER CORP COM                  091797100     500306       8924               X                 8924          0          0
 BLOCK DRUG INC                           093644102     201737       4651               X                 4651          0          0
 BOEING CO COM                            097023105     293919       9009   X                             8609          0        400
 BOEING CO COM                            097023105     978228      29984               X                29737          0        247
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             183014140    7549210                              7400249      77059      71902
</TABLE>
<PAGE>   76
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 87

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BRENLIN GROUP INC                        1071459A4       1002      40751   X                            40751          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108    8241409      61589   X                            61269          0        320
 BRISTOL MYERS SQUIBB CO COM              110122108   14042202     104939               X                99696       1343       3900
 BRITISH AIRWAYS PLC ADR                  110419306     488254       7200               X                 7200          0          0
 BRITISH TELECOMMUNICATIONS PLC           111021408     530908       3500               X                 3500          0          0
 BROWNING FERRIS INDS INC COM             115885105     201910       7100   X                             7100          0          0
 BROWNING FERRIS INDS INC COM             115885105     147679       5193               X                 5193          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104      82200       2400   X                             2400          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     345651      10092               X                10092          0          0
 BURLINGTON RES INC COM                   122014103     144470       4034   X                             4034          0          0
 BURLINGTON RES INC COM                   122014103     217349       6069               X                 6069          0          0
 CIGNA CORP COM                           125509109     100507       1300   X                             1300          0          0
 CIGNA CORP COM                           125509109     225677       2919               X                 2919          0          0
 CMP GROUP INC                            125887109     213288      11300               X                11300          0          0
 CSX CORP COM                             126408103     985999      23759   X                            23759          0          0
 CSX CORP COM                             126408103     713053      17182               X                15710       1472          0
 CUNO INC                                 126583103    1377025      84740   X                            84740          0          0
 CUNO INC                                 126583103    8502114     523207               X               385656     137551          0
 CVS CORPORATION (DEL)                    126650100    1146145      20839   X                            20839          0          0
 CVS CORPORATION (DEL)                    126650100     331760       6032               X                 6032          0          0
 CANON INC ADR REPSTG 5 SHS               138006309     537500      25000               X                25000          0          0
 CARDINAL HEALTH INC COM                  14149Y108     795929      10490   X                            10490          0          0
 CARDINAL HEALTH INC COM                  14149Y108     298265       3931               X                 3931          0          0
 CAROLINA PWR & LT CO COM                 144141108     129423       2750   X                             2750          0          0
 CAROLINA PWR & LT CO COM                 144141108     367091       7800               X                 7800          0          0
 CATERPILLAR INC COM                      149123101     448270       9745   X                             9745          0          0
 CATERPILLAR INC COM                      149123101     299920       6520               X                 6280        240          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106      41600       1600   X                             1600          0          0
 CEDAR FAIR LP DEPOSITARY UNITS           150185106     339456      13056               X                13056          0          0
 CENDANT CORP                             151313103     675955      35000               X                35000          0          0
 CENTURY ALUM CO                          156431108     133076      14100               X                14100          0          0
 CERIDIAN CORP COM                        15677T106     512707       7344   X                             7170          0        174
 CERIDIAN CORP COM                        15677T106     218654       3132               X                 3132          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108     269587       3797   X                             3797          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108     827363      11653               X                11653          0          0
 CHEVRON CORP COM                         166751107    2875875      34675   X                            34675          0          0
 CHEVRON CORP COM                         166751107    1453406      17524               X                17044        480          0
 CHUBB CORP COM                           171232101    1122959      17343   X                            17343          0          0
 CHUBB CORP COM                           171232101     896529      13846               X                13196        450        200
 CIENA CORP                               171779101     250088      17100               X                17100          0          0
 CINCINNATI FINL CORP COM                 172062101     348121       9505   X                             9505          0          0
 CINCINNATI FINL CORP COM                 172062101     616765      16840               X                16840          0          0
 CIRCUIT CITY STORES-CIRCUIT CITY         172737108     461927       9250               X                 9250          0          0
 CISCO SYS INC COM                        17275R102    4421426      47638   X                            47238          0        400
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              56380494    1283784                              1137254     141536       4994
</TABLE>
<PAGE>   77
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 88

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CISCO SYS INC COM                        17275R102    9044998      97454               X                91669          0       5785
 CINTAS CORP COM                          172908105     266256       3780   X                             3780          0          0
 CINTAS CORP COM                          172908105     163768       2325               X                 2325          0          0
 CITIGROUP INC COM                        172967101     265334       5340   X                             5340          0          0
 CITIGROUP INC COM                        172967101    2076114      41783               X                41783          0          0
 COCA-COLA CO COM                         191216100    6124336      91408   X                            91408          0          0
 COCA-COLA CO COM                         191216100    5310688      79264               X                75464       3800          0
 COLGATE-PALMOLIVE CO COM                 194162103     105320       1134   X                             1024          0        110
 COLGATE-PALMOLIVE CO COM                 194162103     185750       2000               X                 2000          0          0
 COMCAST CORP CL A SPL                    200300200     366507       6245   X                             6245          0          0
 COMCAST CORP CL A SPL                    200300200     264096       4500               X                 4500          0          0
 COMERICA INC COM                         200340107     503705       7387   X                             7387          0          0
 COMERICA INC COM                         200340107     234499       3439               X                 3439          0          0
 COMMERCIAL INTERTECH CORP                201709102    1375827     106340   X                           106340          0          0
 COMMERCIAL INTERTECH CORP                201709102    7168389     554057               X               410748     140551       2758
 COMPAQ COMPUTER CORP COM                 204493100    1153824      27472   X                            27237          0        235
 COMPAQ COMPUTER CORP COM                 204493100    2676576      63728               X                63728          0          0
 CONAGRA INC COM                          205887102       6300        200   X                              200          0          0
 CONAGRA INC COM                          205887102     208089       6606               X                 6606          0          0
 CONSOLIDATED EDISON INC                  209115104    1581914      29918   X                            29918          0          0
 CONSOLIDATED EDISON INC                  209115104     934301      17670               X                16240       1430          0
 CONSOLIDATED NAT GAS CO COM              209615103    1496934      27721   X                            27721          0          0
 CONSOLIDATED NAT GAS CO COM              209615103     691416      12804               X                12044        560        200
 COOPER INDS INC COM                      216669101     537444      11270   X                            11270          0          0
 COOPER INDS INC COM                      216669101     416412       8732               X                 8382        350          0
 COPLEY PHARMACEUTICAL INC COM            21745K101     234475      22600               X                22600          0          0
 CORTLAND BANCORP                         220587109     252725       8946               X                    0       8946          0
 COSTCO COMPANIES INC                     22160Q102     913539      12655   X                            12655          0          0
 COSTCO COMPANIES INC                     22160Q102     485970       6732               X                 6545          0        187
 CRACKER BARREL OLD COUNTRY STORE         224100107     340370      14600               X                14600          0          0
 CROWN CORK & SEAL INC COM                228255105       3081        100   X                              100          0          0
 CROWN CORK & SEAL INC COM                228255105     308130      10000               X                10000          0          0
 DAI NIPPON PRTG LTD JAPAN ADR            233806207     479250       3000               X                 3000          0          0
 DANAHER CORPORATION COM                  235851102     271565       5000   X                             5000          0          0
 DAYTON HUDSON CORP COM                   239753106     452988       8350   X                             8350          0          0
 DAYTON HUDSON CORP COM                   239753106     375139       6915               X                 6915          0          0
 DEERE & CO COM                           244199105     256261       7795   X                             7795          0          0
 DEERE & CO COM                           244199105       6575        200               X                  200          0          0
 DELL COMPUTER CORP COM                   247025109      98804       1350   X                             1350          0          0
 DELL COMPUTER CORP COM                   247025109     285433       3900               X                 3400        500          0
 DEN DANSKE BANK GROUP ADR                248206203     671715       5000               X                 5000          0          0
 DEUTSCHE BANK AG                         251525309     476847       8100               X                 8100          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     305300      17200   X                            17200          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103      95850       5400               X                 5400          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              49472814    1360420                              1195008     156137       9275
</TABLE>
<PAGE>   78
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 89

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DIEBOLD INC COM                          253651103     661085      18524   X                            17624          0        900
 DIEBOLD INC COM                          253651103     504093      14125               X                14125          0          0
 DILLARD'S INC                            254067101     112081       3950   X                             3950          0          0
 DILLARD'S INC                            254067101     331704      11690               X                11690          0          0
 DIMON INC COM                            254394109     189669      25500               X                25500          0          0
 DISNEY WALT CO COM                       254687106    1559850      51995   X                            50695          0       1300
 DISNEY WALT CO COM                       254687106    1122270      37409               X                36434          0        975
 DOMINION RES INC VA                      257470104    1266925      27100   X                            26400        700          0
 DOMINION RES INC VA                      257470104     931260      19920               X                18995        925          0
 DOW CHEM CO COM                          260543103    1930432      21228   X                            20828        400          0
 DOW CHEM CO COM                          260543103    1536034      16891               X                16441        250        200
 DREYFUS MUN BD FD INC COM                26201Q104      71625       5703   X                             5703          0          0
 DREYFUS MUN BD FD INC COM                26201Q104    2709857     215753               X               215753          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    1851899      34900   X                            34900          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109    2005941      37803               X                36403       1400          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104      67849       6031   X                             6031          0          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104      53606       4765               X                 4765          0          0
 DUKE REALTY INVST CO NEW                 264411505    1484164      63835   X                            63835          0          0
 DUKE REALTY INVST CO NEW                 264411505     678668      29190               X                27490       1700          0
 DUN & BRADSTREET CORP DEL                26483B106     609766      19319   X                            19319          0          0
 DUN & BRADSTREET CORP DEL                26483B106     384059      12168               X                11588        580          0
 EASTERN UTILS ASSOC COM                  277173100     240125       8500               X                 8500          0          0
 EASTMAN KODAK CO COM                     277461109     762408      10589   X                            10589          0          0
 EASTMAN KODAK CO COM                     277461109    1499544      20827               X                20589        238          0
 EATON VANCE SPL INVT TR                  277905832      41576       4096   X                             4096          0          0
 EATON VANCE SPL INVT TR                  277905832     123615      12179               X                12179          0          0
 EATON VANCE SPL INVT TR                  277905865      88696      10896               X                10896          0          0
 EATON CORP COM                           278058102     299081       4231   X                             4231          0          0
 EATON CORP COM                           278058102     499764       7070               X                 7070          0          0
 EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801     139192      12608   X                            12608          0          0
 EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801      81387       7372               X                 7372          0          0
 EDISON INTL COM                          281020107      55750       2000   X                             2000          0          0
 EDISON INTL COM                          281020107     312702      11218               X                11218          0          0
 EL PASO ELEC CO COM NEW                  283677854     133875      15300               X                15300          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     177264       3532   X                             3532          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     734903      14643               X                14643          0          0
 ELF AQUITAINE SPONSORED ADR              286269105     396375       7000               X                 7000          0          0
 EMERSON ELEC CO COM                      291011104    1993596      32952   X                            32952          0          0
 EMERSON ELEC CO COM                      291011104    2446136      40432               X                39994          0        438
 ENDESA S A                               29258N107     675000      25000               X                25000          0          0
 ENRON CORP COM                           293561106      79888       1400   X                             1400          0          0
 ENRON CORP COM                           293561106     504437       8840               X                 8300        540          0
 ERICSSON L M TEL CO                      294821400     431602      18030   X                            18030          0          0
 ERICSSON L M TEL CO                      294821400      67074       2802               X                 2802          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              31846827     959316                               948770       6733       3813
</TABLE>
<PAGE>   79
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                            PAGE 90

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 EXCEL IND INC COM                        300657103     199500      11400               X                11400          0          0
 EXXON CORP COM                           302290101   10238012     140007   X                           140007          0          0
 EXXON CORP COM                           302290101    9939808     135929               X               133481       1760        688
 F N B CORP COM                           302520101    1091411      38634   X                            38634          0          0
 F N B CORP COM                           302520101     448610      15880               X                  738      15142          0
 FPL GROUP INC COM                        302571104     299374       4858   X                             4858          0          0
 FPL GROUP INC COM                        302571104     200281       3250               X                 3250          0          0
 FARMERS NATL BANC CORP COM               309627107    2238600      53300   X                            53300          0          0
 FARMERS NATL BANC CORP COM               309627107    1139208      27124               X                11000      16124          0
 FDX CORP                                 31304N107      35675        400   X                              400          0          0
 FDX CORP                                 31304N107    1313561      14728               X                14728          0          0
 FREDDIE MAC COM                          313400301    1588397      24650   X                            24650          0          0
 FREDDIE MAC COM                          313400301     361239       5606               X                 5606          0          0
 FANNIE MAE COM                           313586109    4294960      58040   X                            57640          0        400
 FANNIE MAE COM                           313586109    2061048      27852               X                26522        380        950
 FEDERATED STK TR                         313900102    5628004     152810   X                           152810          0          0
 FEDERATED STK TR                         313900102     959132      26042               X                26042          0          0
 FIDELITY CONTRAFUND INC COM              316071109     837122      14772   X                            14772          0          0
 FIDELITY MAGELLAN FUND INC               316184100      73201        608   X                              608          0          0
 FIDELITY MAGELLAN FUND INC               316184100     834009       6925               X                 6925          0          0
 FIFTH THIRD BANCORP                      316773100      22749        319   X                              319          0          0
 FIFTH THIRD BANCORP                      316773100     328967       4613               X                 4613          0          0
 FIRST UNION CORP COM                     337358105      53515        880   X                              880          0          0
 FIRST UNION CORP COM                     337358105     386771       6360               X                 6080        280          0
 FIRSTMERIT CORP COM                      337915102     620947      23105   X                            23105          0          0
 FIRSTMERIT CORP COM                      337915102    3490686     129886               X               129286          0        600
 FIRSTENERGY CORP                         337932107     359743      11048   X                            11048          0          0
 FIRSTENERGY CORP                         337932107     369167      11337               X                10636        513        188
 FLEET FINL GROUP INC NEW COM             338915101     138533       3100   X                             3100          0          0
 FLEET FINL GROUP INC NEW COM             338915101     299320       6698               X                 6698          0          0
 FORD MOTOR CO DEL COM                    345370100    2478746      42236   X                            41319        700        217
 FORD MOTOR CO DEL COM                    345370100    2602871      44351               X                43671        680          0
 FORTUNE BRANDS INC                       349631101     834109      26375   X                            26375          0          0
 FORTUNE BRANDS INC                       349631101     694612      21964               X                21264        700          0
 FRANKLIN CUSTODIAN FDS INC               353496300      26277      11134               X                11134          0          0
 FRANKLIN MONEY FD                        354014102      45065      45065               X                45065          0          0
 FRANKLIN RES INC COM                     354613101     724704      22647   X                            22647          0          0
 FRANKLIN RES INC COM                     354613101     268000       8375               X                 8375          0          0
 FRANKLIN TAX FREE TR OHIO INSD           354723504      62087       4959   X                             4959          0          0
 FRANKLIN TAX FREE TR OHIO INSD           354723504     557403      44521               X                44521          0          0
 FUJI PHOTO FILM LTD                      359586302     549375      15000               X                15000          0          0
 GTE CORP COM                             362320103    7402395     113883   X                           112783        700        400
 GTE CORP COM                             362320103    4253860      65444               X                62887        940       1617
 GALLAHER GROUP PLC                       363595109     157690       5800   X                             5800          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              70508744    1431915                              1388936      37919       5060
</TABLE>
<PAGE>   80
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 91

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 GALLAHER GROUP PLC                       363595109     258803       9519               X                 9519          0          0
 GAP INC COM                              364760108     713293      12709   X                            12709          0          0
 GAP INC COM                              364760108      36201        645               X                  180          0        465
 GENERAL DYNAMICS CORP COM                369550108     661980      11220   X                            11220          0          0
 GENERAL DYNAMICS CORP COM                369550108     395890       6710               X                 6320        390          0
 GENERAL ELEC CO COM                      369604103   15606408     153004   X                           152604          0        400
 GENERAL ELEC CO COM                      369604103   20498838     200969               X               196694          0       4275
 GENERAL MILLS INC COM                    370334104     534143       6870   X                             6870          0          0
 GENERAL MILLS INC COM                    370334104    1203259      15476               X                15296        180          0
 GENERAL MTRS CORP COM                    370442105     556045       7770   X                             7770          0          0
 GENERAL MTRS CORP COM                    370442105     429521       6002               X                 6002          0          0
 GENERAL RE CORP COM                      370563108     143357        716   X                              716          0          0
 GENERAL RE CORP COM                      370563108     354187       1769               X                 1769          0          0
 GENUINE PARTS CO COM                     372460105     705542      21100   X                            20300          0        800
 GENUINE PARTS CO COM                     372460105     617266      18460               X                17650        810          0
 GEORGIA PACIFIC CORP COM                 373298108     449237       7671   X                             7671          0          0
 GEORGIA PACIFIC CORP COM                 373298108     231324       3950               X                 3350        600          0
 GILLETTE CO COM                          375766102    1660641      34732   X                            34732          0          0
 GILLETTE CO COM                          375766102    3370530      70494               X                70494          0          0
 GLAXO WELLCOME PLC                       37733W105     375300       5400   X                             5400          0          0
 GLAXO WELLCOME PLC                       37733W105     757550      10900               X                10900          0          0
 GOLDEN WEST FINL CORP                    381317106     556546       6070   X                             6070          0          0
 GOLDEN WEST FINL CORP                    381317106     157795       1721               X                 1721          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101     372333       7382   X                             7382          0          0
 GOODYEAR TIRE & RUBBER CO COM            382550101    1335497      26478               X                26478          0          0
 GREAT LAKES CHEM CORP COM                390568103     320000       8000               X                 8000          0          0
 GREIF BROTHERS CORP                      397624206     336250      10000   X                            10000          0          0
 GROUPE DANONE                            399449107     562500      10000               X                10000          0          0
 GUIDANT CORP COM                         401698105     132000       1200   X                             1200          0          0
 GUIDANT CORP COM                         401698105     341220       3102               X                 3102          0          0
 HMT TECHNOLOGY CORP COM                  403917107     151193      11800               X                11800          0          0
 HBO & CO COM                             404100109     813592      28360   X                            28360          0          0
 HBO & CO COM                             404100109     168657       5879               X                 5555          0        324
 HSBC HLDGS PLC                           404280307     685094       2750               X                 2750          0          0
 HALLIBURTON CO COM                       406216101     460017      15528   X                            15528          0          0
 HALLIBURTON CO COM                       406216101     150465       5079               X                 5079          0          0
 HARLEY DAVIDSON INC COM                  412822108    1466067      30946   X                            30946          0          0
 HARLEY DAVIDSON INC COM                  412822108    1726250      36438               X                33270          0       3168
 HARRIS CORP COM                          413875105     256375       7000               X                 7000          0          0
 HEALTHSOUTH CORP COM                     421924101     220223      14265   X                            14265          0          0
 HEALTHSOUTH CORP COM                     421924101       7240        469               X                  469          0          0
 HEINZ H J CO COM                         423074103    2007809      35458   X                            35458          0          0
 HEINZ H J CO COM                         423074103    2255374      39830               X                39830          0          0
 HERSHEY FOODS CORP                       427866108    1257504      20221   X                            20221          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              65299316     934062                               922650       1980       9432
</TABLE>
<PAGE>   81
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 92

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 HERSHEY FOODS CORP                       427866108     186564       3000               X                 3000          0          0
 HEWLETT PACKARD CO COM                   428236103    2451617      35888   X                            34626          0       1262
 HEWLETT PACKARD CO COM                   428236103    3353349      49088               X                47483          0       1605
 HITACHI LTD                              433578507     241752       4000               X                 4000          0          0
 HOME DEPOT INC COM                       437076102    5107056      83465   X                            82651          0        814
 HOME DEPOT INC COM                       437076102    5797012      94741               X                93841          0        900
 HONEYWELL INC COM                        438506107     239721       3183   X                             3183          0          0
 HONEYWELL INC COM                        438506107      91807       1219               X                 1219          0          0
 HOVNANIAN ENTERPRISES INC CL A           442487203     140588      16300               X                16300          0          0
 HUBBELL INC CL B                         443510201     505932      13314   X                            13314          0          0
 HUBBELL INC CL B                         443510201     267064       7028               X                 6658        370          0
 HUNTINGTON BANCSHARES INC COM            446150104     265757       8840   X                             8840          0          0
 IKON OFFICE SOLUTIONS INC                451713101     270163      31550               X                31550          0          0
 ILLINOIS TOOL WORKS INC COM              452308109     269874       4653   X                             4653          0          0
 ILLINOIS TOOL WORKS INC COM              452308109     162980       2810               X                 2810          0          0
 IMPERIAL WHOLESALERS INC                 4531929A6     312338        501               X                  501          0          0
 ING GROEP N V                            456837103     528598       8500               X                 8500          0          0
 INSO CORP COM                            457674109     372500      14900               X                14900          0          0
 INSURANCE AUTO AUCTIONS INC COM          457875102     191188      16100               X                16100          0          0
 INTERGRATED DEVICE TECHNOLOGY COM        458118106      73500      12000               X                12000          0          0
 INTEL CORP COM                           458140100    3584634      30234   X                            30084          0        150
 INTEL CORP COM                           458140100    5572580      47001               X                43199       1500       2302
 INTERNATIONAL BUSINESS MACHS CORP        459200101    4944569      26818   X                            26818          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101    5906269      32034               X                31623         61        350
 INTERPUBLIC GROUP COS INC COM            460690100    1116819      14004   X                            14004          0          0
 INTERPUBLIC GROUP COS INC COM            460690100    1685038      21129               X                20754          0        375
 SCUDDER GROWTH & INCOME FUND             460965882     271773      10330   X                            10330          0          0
 SCUDDER GROWTH & INCOME FUND             460965882      12241        465               X                  465          0          0
 INVESCO INCOME FDS INC                   461277303      79618      12363               X                12363          0          0
 JANUS FD INC COM                         471023101    2156578      64088   X                            64088          0          0
 JANUS FD INC COM                         471023101     735227      21849               X                20808       1042          0
 JEFFERSON-PILOT CORP COM                 475070108     189000       2520   X                             2520          0          0
 JEFFERSON-PILOT CORP COM                 475070108      93750       1250               X                 1250          0          0
 JOHN HANCOCK SER TR                      478032204     330435      34420               X                34420          0          0
 JOHNSON & JOHNSON COM                    478160104    1919815      22889   X                            22889          0          0
 JOHNSON & JOHNSON COM                    478160104    3462444      41281               X                39236        840       1205
 K MART CORP COM                          482584109      36322       2372   X                             2372          0          0
 K MART CORP COM                          482584109     352199      23000               X                23000          0          0
 KEMPER PORTFOLIOS                        487902843      89923      12719               X                12719          0          0
 KEYCORP NEW COM                          493267108    2872608      89769   X                            89769          0          0
 KEYCORP NEW COM                          493267108    2735872      85496               X                84536          0        960
 KIMBERLY-CLARK CORP COM                  494368103    1255353      23034   X                            23034          0          0
 KIMBERLY-CLARK CORP COM                  494368103     814939      14953               X                14953          0          0
 KIRIN BREWERY ADR                        497350207     278438       2250               X                 2250          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              61325804    1047348                              1033613       3813       9923
</TABLE>
<PAGE>   82
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 93

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 KROGER CO COM                            501044101     221793       3666   X                             3666          0          0
 KROGER CO COM                            501044101     329725       5450               X                 5450          0          0
 KYOCERA CORP ADR                         501556203     675194      13000               X                13000          0          0
 LG & E ENERGY CORP COM                   501917108     443976      15681   X                            15681          0          0
 LG & E ENERGY CORP COM                   501917108     275032       9714               X                 9204        510          0
 LILLY ELI & CO COM                       532457108    7914230      89049   X                            88549          0        500
 LILLY ELI & CO COM                       532457108    6246135      70280               X                68275       1785        220
 LINEAR TECHNOLOGY CORP COM               535678106    1665872      18600               X                18600          0          0
 LOUIS DREYFUS NATURAL GAS CORP           546011107     172425      12100               X                12100          0          0
 LOWES COS INC COM                        548661107     134624       2630   X                             2630          0          0
 LOWES COS INC COM                        548661107     107495       2100               X                 1700          0        400
 LUCENT TECHNOLOGIES INC COM              549463107    5567370      50641   X                            49813         32        796
 LUCENT TECHNOLOGIES INC COM              549463107    5088150      46282               X                45558        128        596
 MBNA CORP COM                            55262L100    1477614      59550               X                59550          0          0
 MCI WORLDCOM INC                         55268B106    2256609      31451   X                            31451          0          0
 MCI WORLDCOM INC                         55268B106     705087       9827               X                 9827          0          0
 MAHONING NATL BANCORP INC COM            560090102     931341      30043   X                            30043          0          0
 MAHONING NATL BANCORP INC COM            560090102    1673969      53999               X                49302       2297       2400
 MALLINCKRODT INC                         561232109       6163        200   X                              200          0          0
 MALLINCKRODT INC                         561232109     496089      16100               X                16100          0          0
 MARSH & MCLENNAN COS COM                 571748102     461952       7905   X                             7455          0        450
 MARSH & MCLENNAN COS COM                 571748102    1072571      18354               X                18354          0          0
 MASCO CORP COM                           574599106    1447563      50350   X                            50350          0          0
 MASCO CORP COM                           574599106     630200      21920               X                20770       1150          0
 MATTEL INC COM                           577081102     292575      12450   X                            12450          0          0
 MATTEL INC COM                           577081102     241416      10273               X                10273          0          0
 MAXIM INTEGRATED PRODS INC COM           57772K101    1371803      31400               X                31400          0          0
 MAY DEPT STORES CO COM                   577778103    7760059     128531   X                           128531          0          0
 MAY DEPT STORES CO COM                   577778103   12716484     210625               X               210075        550          0
 MCDONALDS CORP COM                       580135101     755302       9833   X                             9833          0          0
 MCDONALDS CORP COM                       580135101    1080759      14070               X                14070          0          0
 MEDIAONE GROUP INC                       58440J104     300424       6392   X                             6392          0          0
 MEDIAONE GROUP INC                       58440J104     718677      15291               X                14291          0       1000
 MEDTRONIC INC COM                        585055106     840118      11310   X                            11310          0          0
 MEDTRONIC INC COM                        585055106    2330789      31378               X                31378          0          0
 MELLON BANK CORPORATION                  585509102    1880038      27346   X                            27346          0          0
 MELLON BANK CORPORATION                  585509102     138188       2010               X                 1620        390          0
 MENTOR GRAPHICS CORP COM                 587200106     107100      12600               X                12600          0          0
 MERCK & CO INC COM                       589331107    4538133      30767   X                            30467          0        300
 MERCK & CO INC COM                       589331107   11775220      79832               X                78344          0       1488
 MERITOR AUTOMOTIVE INC                   59000G100      30057       1427   X                             1427          0          0
 MERITOR AUTOMOTIVE INC                   59000G100     482427      22904               X                22904          0          0
 MERRILL LYNCH & CO INC COM               590188108     160200       2400   X                             2400          0          0
 MERRILL LYNCH & CO INC COM               590188108     133500       2000               X                 2000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              87654448    1301731                              1286739       6842       8150
</TABLE>
<PAGE>   83
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 94

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 MUN BD FD INC              590193108     178981      21961               X                21961          0          0
 MERRILL LYNCH MUNI NATL PORTFOLIO        590193207     113061      10626   X                            10626          0          0
 MICROSOFT CORP COM                       594918104    2697204      19448   X                            19448          0          0
 MICROSOFT CORP COM                       594918104    3780496      27259               X                26991          0        268
 MICRON TECHNOLOGY INC COM                595112103     827817      16372   X                            16372          0          0
 MILLIPORE CORP COM                       601073109     260480       9200   X                             9200          0          0
 MINNESOTA MINING & MFG CO COM            604059105    2983765      41951   X                            41551          0        400
 MINNESOTA MINING & MFG CO COM            604059105    2818897      39633               X                39053        230        350
 MOBIL CORP COM                           607059102    6881394      78983   X                            78983          0          0
 MOBIL CORP COM                           607059102    3633722      41707               X                40477        630        600
 MONSANTO CO COM                          611662107    2387730      50268   X                            49668          0        600
 MONSANTO CO COM                          611662107     881268      18553               X                18350          0        203
 MORGAN J P & CO INC COM                  616880100    1477291      14061   X                            14061          0          0
 MORGAN J P & CO INC COM                  616880100     903227       8597               X                 8417        180          0
 MORGAN STANLEY DEAN WITTER EQUITY FD     616926200     114395      11053               X                11053          0          0
 MSDW DIVIDEND GROWTH SECS IN             616938205     774549      12623               X                12623          0          0
 MORGAN STANLEY DEAN WITTER & CO          617446448     172388       2428   X                             2428          0          0
 MORGAN STANLEY DEAN WITTER & CO          617446448      47286        666               X                  666          0          0
 MOTOROLA INC COM                         620076109     802795      13147   X                            12347          0        800
 MOTOROLA INC COM                         620076109     658137      10778               X                10778          0          0
 FEDERATED OHIO MUN INCOME FD CL F        625922307     155047      13162               X                13162          0          0
 MYERS INDUSTRIES INC COM                 628464109    9204430     320846               X               320846          0          0
 NAC RE CORP COM                          628907107     211221       4500               X                 4500          0          0
 NATL AUSTRALIA BK LTD ADR                632525408     744380      10000               X                10000          0          0
 NATIONAL CITY CORP COM                   635405103   11208500     154600   X                           154600          0          0
 NATIONAL CITY CORP COM                   635405103    9660698     133251               X               124494       7982        775
 NATIONWIDE INVESTING FNDTN I             638652875     228873       7062   X                             7062          0          0
 NESTLE S A SPONSORED ADR                 641069406     114285       1050   X                             1050          0          0
 NESTLE S A SPONSORED ADR                 641069406     696595       6400               X                 6400          0          0
 NEW PERSPECTIVE FD INC COM               648018109     193938       8450   X                             8450          0          0
 NEW PERSPECTIVE FD INC COM               648018109     226716       9879               X                 9879          0          0
 NEWELL CO COM                            651192106     703725      17060   X                            17060          0          0
 NEWELL CO COM                            651192106     186780       4528               X                 4528          0          0
 NICHOLAS FD INC COM                      653735100     305929       3565   X                             3565          0          0
 NICHOLAS FD INC COM                      653735100      65560        764               X                  764          0          0
 NORFOLK SOUTHN CORP COM                  655844108     505012      15937   X                            15937          0          0
 NORFOLK SOUTHN CORP COM                  655844108    1506543      47543               X                47510         33          0
 NORSK HYDRO A S                          656531605     376068      11000               X                11000          0          0
 NORTHERN TR CORP COM                     665859104    1191648      13648   X                            13450          0        198
 NORTHERN TR CORP COM                     665859104    1783368      20425               X                20425          0          0
 NORTHROP GRUMMAN CORP COM                666807102     713919       9763   X                             9763          0          0
 NORTHROP GRUMMAN CORP COM                666807102     274219       3750               X                 3520        230          0
 NORTHSTAR ADVANTAGE HIGH YIELD           666904602     237996      61339   X                            61339          0          0
 NOVARTIS AG                              66987V109     688030       7000               X                 7000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              73578363    1334836                              1321357       9285       4194
</TABLE>
<PAGE>   84
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 95

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 NOVELL INC COM                           670006105     362500      20000               X                20000          0          0
 NOVO INDUSTRI A S ADR                    670100205     432250       6500               X                 6500          0          0
 NUCOR CORP COM                           670346105     462775      10700               X                10700          0          0
 NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     117173       9964   X                             9964          0          0
 NUVEEN FLAGSHIP MULTISTATE TR IV         67065R762     176927      15045               X                15045          0          0
 OGDEN CORP COM                           676346109      30076       1200   X                             1200          0          0
 OGDEN CORP COM                           676346109     189226       7550               X                 7550          0          0
 OHIO INSD MUNS INCOME TR                 67738G672     244788        252               X                  252          0          0
 OLSTEN CORP                              681385100     331875      45000               X                45000          0          0
 OPPENHEIMER CASH RESVS                   683953202      33498      33498               X                33498          0          0
 ORYX ENERGY CO COM                       68763F100     274646      20438               X                20438          0          0
 O'SULLIVAN INDS HLDGS INC COM            688609106     149100      14200               X                14200          0          0
 PNC BANK CORP COM                        693475105     876150      16225   X                            16225          0          0
 PNC BANK CORP COM                        693475105     769878      14257               X                13453        804          0
 PPG INDS INC COM                         693506107     466435       8016   X                             8016          0          0
 PPG INDS INC COM                         693506107     711523      12228               X                12228          0          0
 PARAMETRIC TECH CORP COM                 699173100     628875      38700               X                38700          0          0
 PAYLESS SHOESOURCE INC COM               704379106     589203      12437   X                            12437          0          0
 PAYLESS SHOESOURCE INC COM               704379106     540028      11399               X                11399          0          0
 PENNEY J C CO INC COM                    708160106     901172      19225   X                            19225          0          0
 PENNEY J C CO INC COM                    708160106     435656       9294               X                 8844        450          0
 PEOPLES BANCORP INC COM                  709789101     256839      10537   X                            10537          0          0
 PEOPLES BANCORP INC COM                  709789101     225518       9252               X                 9252          0          0
 PEOPLES ENERGY CORP COM                  711030106     527347      13225   X                            13225          0          0
 PEOPLES ENERGY CORP COM                  711030106     264491       6633               X                 5833        800          0
 PEP BOYS MANNY MOE & JACK COM            713278109     401613      25600               X                25600          0          0
 PEPSICO INC COM                          713448108    3066933      75032   X                            74582          0        450
 PEPSICO INC COM                          713448108    4256559     104136               X               101036       1000       2100
 PHARMACIA & UPJOHN INC COM               716941109      73046       1290   X                             1290          0          0
 PHARMACIA & UPJOHN INC COM               716941109     490486       8662               X                 8662          0          0
 PFIZER INC COM                           717081103    4161500      33292   X                            33292          0          0
 PFIZER INC COM                           717081103    5941875      47535               X                45960        800        775
 PHILIP MORRIS COS INC COM                718154107    2692976      50336   X                            50336          0          0
 PHILIP MORRIS COS INC COM                718154107    2246840      41997               X                40277        727        993
 PHILLIPS PETROLEUM CO CAP                718507106     108950       2556   X                             2556          0          0
 PHILLIPS PETROLEUM CO CAP                718507106     203364       4771               X                 4771          0          0
 PITNEY BOWES INC COM                     724479100    2647673      40078   X                            39678          0        400
 PITNEY BOWES INC COM                     724479100    2995627      45345               X                44745          0        600
 POTTERS FINL CORP COM                    738140102     215840      12117   X                            12117          0          0
 POWERGEN PLC                             738905405     535000      10000               X                10000          0          0
 PROCTER & GAMBLE CO COM                  742718109    9200789     100761   X                           100161          0        600
 PROCTER & GAMBLE CO COM                  742718109   11411934     124976               X               124120          0        856
 PROVIDIAN FINL CORP                      74406A102     112500       1500   X                             1500          0          0
 PROVIDIAN FINL CORP                      74406A102     627150       8362               X                 8362          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              61388604    1104121                              1092766       4581       6774
</TABLE>
<PAGE>   85
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 96

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 QUAKER OATS CO COM                       747402105     297500       5000   X                             5000          0          0
 QUAKER OATS CO COM                       747402105     881017      14807               X                14807          0          0
 QUESTAR CORP COM                         748356102     290625      15000   X                            15000          0          0
 QUESTAR CORP COM                         748356102     118188       6100               X                 6100          0          0
 RPM INC OHIO COM                         749685103    1140576      71286   X                            71286          0          0
 RPM INC OHIO COM                         749685103     836928      52308               X                46349       5959          0
 RWE AG                                   74975E303     547810      10000               X                10000          0          0
 RELIANCE GROUP HLDGS INC COM             759464100     168663      13100               X                13100          0          0
 REPSOL S A SPONSORED ADR                 76026T205     655500      12000               X                12000          0          0
 REUTERS GROUP PLC-SPONS ADR              76132M102     247099       3899               X                 3899          0          0
 RIO TINTO LTD                            767202104     284904       6000               X                 6000          0          0
 ROADWAY EXPRESS INC COM                  769742107    4480458     310324               X                10324     300000          0
 ROCHESTER GAS & ELEC CO COM              771367109     237500       7600               X                 7600          0          0
 ROCKWELL INTL CORP NEW                   773903109     250391       5156   X                             5156          0          0
 ROCKWELL INTL CORP NEW                   773903109    4211286      86718               X                86718          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     932126      19470   X                            19270          0        200
 ROYAL DUTCH PETROLEUM CO                 780257804    1823367      38086               X                37886        200          0
 SBC COMMUNICATIONS INC COM               78387G103    7697225     143538   X                           141600        328       1610
 SBC COMMUNICATIONS INC COM               78387G103    8417141     156963               X               154563          0       2400
 SEI DAILY INCOME TR                      783965726      16352      16352   X                            16352          0          0
 SLM HLDG CORP                            78442A109     480000      10000               X                10000          0          0
 SAFEWAY INC COM NEW                      786514208     729428      11970   X                            11970          0          0
 SAFEWAY INC COM NEW                      786514208     651976      10699               X                10699          0          0
 SANTA FE ENERGY RES INC COM              802012104     102225      14100               X                14100          0          0
 SARA LEE CORP COM                        803111103    1038502      36842   X                            35642          0       1200
 SARA LEE CORP COM                        803111103    2057386      72988               X                70188          0       2800
 SCHERING-PLOUGH CORP COM                 806605101    2849740      51579   X                            51275          0        304
 SCHERING-PLOUGH CORP COM                 806605101    3397986      61502               X                61502          0          0
 SCHLUMBERGER LTD COM                     806857108    1609213      34700   X                            34200        500          0
 SCHLUMBERGER LTD COM                     806857108    1494203      32220               X                31925          0        295
 SCHULMAN A INC COM                       808194104     314297      13853               X                13853          0          0
 CHARLES SCHWAB CORP NEW                  808513105     284424       5062               X                 5062          0          0
 SCUDDER MANAGED MUN                      811170109     177596      19346   X                            19346          0          0
 SCUDDER MANAGED MUN                      811170109      11922       1299               X                 1299          0          0
 SCUDDER OHIO TAX FREE FD                 811184407       8498        627   X                              627          0          0
 SCUDDER OHIO TAX FREE FD                 811184407     166371      12278               X                12278          0          0
 SEARS ROEBUCK & CO CAP                   812387108     225760       5312   X                             5312          0          0
 SEARS ROEBUCK & CO CAP                   812387108     187043       4401               X                 4401          0          0
 SECOND BANCORP INC COM                   813114105    1736702      78054   X                            78054          0          0
 SECOND BANCORP INC COM                   813114105     155750       7000               X                 5000       2000          0
 SELIGMAN TAX-EXEMPT FD OHIO              816346506     128398      15754   X                            15754          0          0
 SERVICE CORP INTERNATIONAL COM           817565104    1535652      40345   X                            40345          0          0
 SERVICE CORP INTERNATIONAL COM           817565104    1007147      26460               X                25785          0        675
 SHAW INDUSTRIES INC COM                  820286102     485000      20000               X                20000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              54369875    1580098                              1261627     308987       9484
</TABLE>
<PAGE>   86
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 97

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SHELL TRANS & TRADING PLC                822703609     557820      15000               X                15000          0          0
 SHERWIN WILLIAMS CO COM                  824348106     532510      18128   X                            18128          0          0
 SHERWIN WILLIAMS CO COM                  824348106     203510       6928               X                 6928          0          0
 SIGMA ALDRICH CORP COM                   826552101     110156       3750   X                             3750          0          0
 SIGMA ALDRICH CORP COM                   826552101     323419      11010               X                10510          0        500
 SKY FINL GROUP INC                       83080P103    1157456      43780   X                            43780          0          0
 SKY FINL GROUP INC                       83080P103      93062       3520               X                 3520          0          0
 SMUCKER J M CO CL A                      832696108     577913      23350   X                            23350          0          0
 SMUCKER J M CO CL A                      832696108     104470       4221               X                 4221          0          0
 SMUCKER J M CO                           832696207     522150      23600   X                            23600          0          0
 SMUCKER J M CO                           832696207      54627       2469               X                 2469          0          0
 SOCIETE GENERALE FRANCE                  83364L109     648120      20000               X                20000          0          0
 SOUTHERN CO COM                          842587107     145315       5000   X                             5000          0          0
 SOUTHERN CO COM                          842587107     148221       5100               X                 4100       1000          0
 SPORTS AUTHORITY INC COM                 849176102      69300      13200               X                13200          0          0
 SPRINT CORP COM                          852061100     175485       2086   X                             2086          0          0
 SPRINT CORP COM                          852061100     333976       3970               X                 3970          0          0
 STANCORP INC                             852890904    6349200       1320   X                             1320          0          0
 STANCORP INC                             852890904    5276570       1097               X                 1097          0          0
 STATE STR CORP                           857477103     792132      11296   X                            11296          0          0
 STATE STR CORP                           857477103     648586       9249               X                 9249          0          0
 STEINER OPTICS INTL INC                  858468101        100      10000               X                10000          0          0
 SUN MICROSYSTEMS INC COM                 866810104     385056       4497   X                             4222          0        275
 SUN MICROSYSTEMS INC COM                 866810104    1041971      12169               X                10834          0       1335
 SUNAMERICA INC COM                       866930100     556206       6783   X                             6783          0          0
 SUNAMERICA INC COM                       866930100     248788       3034               X                 3034          0          0
 SYSCO CORP COM                           871829107      65851       2400   X                             2400          0          0
 SYSCO CORP COM                           871829107     192066       7000               X                 7000          0          0
 TECO ENERGY INC COM                      872375100      50738       1800   X                             1800          0          0
 TECO ENERGY INC COM                      872375100     242417       8600               X                 8600          0          0
 TNP ENTERPRISES INC                      872594106     242803       6400               X                 6400          0          0
 TELECOM ITALIA SPA SP ADR                87927W106     652500       7500               X                 7500          0          0
 TELEFONOS DE MEXICO S A SPONSORED        879403780     258046       5300               X                 5300          0          0
 TELLABS INC COM                          879664100     857038      12500               X                12500          0          0
 TEMPLETON FOREIGN FD                     880196209     584197      69630   X                            69630          0          0
 TEMPLETON FOREIGN FD                     880196209     487749      58135               X                58135          0          0
 TEMPLETON INSTL FDS INC                  880210505    2295696     129262   X                           128617          0        645
 TEMPLETON INSTL FDS INC                  880210505     264829      14912               X                13334          0       1578
 TEXACO INC COM                           881694103    1631128      30776   X                            30376          0        400
 TEXACO INC COM                           881694103     926440      17480               X                16910        570          0
 TEXAS INSTRS INC COM                     882508104     368188       4300   X                             4300          0          0
 TEXAS INSTRS INC COM                     882508104      84169        983               X                  217        766          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     401750       8605   X                             8605          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     137387       2943               X                 2643        300          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              30799111     653083                               645714       2636       4733
</TABLE>
<PAGE>   87
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 98

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 THOMAS & BETTS CORP COM                  884315102     572598      13220   X                            13220          0          0
 THOMAS & BETTS CORP COM                  884315102     305790       7060               X                 6640        420          0
 3COM CORP COM                            885535104     282322       6300               X                 4900       1400          0
 TIME WARNER INC COM                      887315109    1590426      25626   X                            25626          0          0
 TIME WARNER INC COM                      887315109     738239      11895               X                11600          0        295
 TORCHMARK CORP COM                       891027104     405746      11490   X                            11490          0          0
 TORCHMARK CORP COM                       891027104     226003       6400               X                 6400          0          0
 TOYS R US INC COM                        892335100      12280        725   X                              725          0          0
 TOYS R US INC COM                        892335100     431072      25450               X                25450          0          0
 TRI-CONTINENTAL CORP COM                 895436103      39644       1391   X                             1391          0          0
 TRI-CONTINENTAL CORP COM                 895436103     170590       5986               X                 5986          0          0
 TRINITY INDS INC COM                     896522109     331639       8614   X                             8614          0          0
 TYCO INTL LTD NEW                        902124106    1325823      17575   X                            17575          0          0
 TYCO INTL LTD NEW                        902124106     632548       8385               X                 8277          0        108
 UST INC COM                              902911106     989055      28360   X                            28360          0          0
 UST INC COM                              902911106     575438      16500               X                15820        680          0
 UNIGATE LTD                              904750403     431220      60000               X                60000          0          0
 UNILEVER N V                             904784501     829380      10000               X                10000          0          0
 UNION PAC CORP CO COM                    907818108     827807      18370   X                            18370          0          0
 UNION PAC CORP CO COM                    907818108     883685      19610               X                19610          0          0
 UNITED CMNTY FINL CORP OHIO              909839102   17953203    1206938   X                          1206938          0          0
 UNITED CMNTY FINL CORP OHIO              909839102     429471      28872               X                28872          0          0
 UNITED DOMINION RLTY TR INC COM          910197102     319703      31000               X                31000          0          0
 U S WEST INC NEW                         91273H101     889563      13765   X                            13765          0          0
 U S WEST INC NEW                         91273H101    1791082      27715               X                26688          0       1027
 UNITED TECHNOLOGIES CORP COM             913017109    1445288      13290   X                            13290          0          0
 UNITED TECHNOLOGIES CORP COM             913017109     728516       6699               X                 6039        660          0
 UNOCAL CORP COM                          915289102     291267       9979   X                             9979          0          0
 UNOCAL CORP COM                          915289102     142437       4880               X                 4880          0          0
 U S FREIGHTWAYS CORP COM                 916906100     247563       8500               X                 8500          0          0
 VAN KAMPEN MERRITT PRIME RATE            920914108     311757      31396               X                31396          0          0
 VAN KAMPEN AMERN CAP TAX EXEMPT TR       92113R200     160203      13763   X                            13763          0          0
 VANGUARD FIXED INCOME SECS FD INC        922031802     161294      14479   X                            14479          0          0
 VOLVO AKTIEBOLAGET ADR B                 928856400     466260      20000               X                20000          0          0
 WACHOVIA CORP COM                        929771103    1336228      15282   X                            14982          0        300
 WACHOVIA CORP COM                        929771103    2947098      33705               X                33005        300        400
 WAL MART STORES INC                      931142103    4126301      50668   X                            50668          0          0
 WAL MART STORES INC                      931142103    3360783      41268               X                40968          0        300
 WALGREEN CO COM                          931422109    4757717      81241   X                            81241          0          0
 WALGREEN CO COM                          931422109    1526503      26066               X                25807          0        259
 WARNER LAMBERT CO COM                    934488107    3173535      42208   X                            42008          0        200
 WARNER LAMBERT CO COM                    934488107    4433098      58960               X                58960          0          0
 WASHINGTON FEDERAL INC COM               938824109     200961       7530               X                 7530          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109     642166      13773   X                            13773          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              63443302    2104934                              2098585       3460       2889
</TABLE>
<PAGE>   88
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                             PAGE 99

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 WASTE MANAGEMENT INC NEW COM             94106L109     522107      11198               X                10908        290          0
 WELLS FARGO & CO NEW                     949746101    2260211      56593   X                            56593          0          0
 WELLS FARGO & CO NEW                     949746101     806348      20190               X                20190          0          0
 WESBANCO INC                             950810101     287625       9750   X                             9750          0          0
 WESTERN GAS RES INC                      958259103      75900      13200               X                13200          0          0
 WEYERHAEUSER CO COM                      962166104     983232      19350   X                            19350          0          0
 WEYERHAEUSER CO COM                      962166104     737297      14510               X                13880        410        220
 WISCONSIN ENERGY CORP COM                976657106     110033       3500   X                             3500          0          0
 WISCONSIN ENERGY CORP COM                976657106     388291      12351               X                12351          0          0
 WORTHINGTON INDS INC                     981811102     441725      35338   X                            35338          0          0
 WORTHINGTON INDS INC                     981811102      17200       1376               X                 1053        323          0
 WRIGLEY WILLIAM JR CO COM                982526105     214951       2400   X                             2400          0          0
 XILINX INC COM                           983919101     950825      14600               X                14600          0          0
 XEROX CORP COM                           984121103    1312160      11120   X                            11120          0          0
 XEROX CORP COM                           984121103     918276       7782               X                 7642        140          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              10026181     233258                               231875       1163        220
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                         1228035584   47417683                             46205143     803454     409086
</TABLE>
<PAGE>   89

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                            PAGE 100

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   90
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                            PAGE 101

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 NORAM ENERGY CORP                        655419AC3      19200      20000               X                20000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                                 19200      20000                                20000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR OTHER                                     19200      20000                                20000          0          0
</TABLE>
<PAGE>   91
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 14-NATIONAL CITY BANK                   ON 05/11/99 AS OF 12/31/98

DEPT ID# 014                                                            PAGE 102

 **SUMMARY PAGE FOR: 14-NATIONAL CITY BANK               **

<TABLE>
<CAPTION>
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                 <C>          <C>                                  <C>          <C>        <C>   
 A. COMMON STOCK                                    1228035584   47417683                             46205143     803454     409086
 B. PREFERRED STOCK                                          0          0                                    0          0          0
 C. OTHER                                                19200      20000                                20000          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                   1228054784   47437683                             46225143     803454     409086
</TABLE>
<PAGE>   92
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 103

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     259082       2697   X                             2697          0          0
 DAIMLERCHRYSLER AG                       D1668R123    2976608      30986               X                  997          0      29989
 ANNUITY AND LIFE RE (HLDGS)              G03910109    1036800      38400               X                    0          0      38400
 GLOBAL CROSSING LTD COM                  G3921A100    1019825      22600               X                    0          0      22600
 RENAISSANCERE HOLDINGS COM               G7496G103    3186375      87000               X                    0          0      87000
 MARDOT L.P. CLASS "B" LIMITED            LP0000366    1248300        146   X                              146          0          0
 STEINER LEISURE LTD                      P8744Y102    1017600      31800               X                    0          0      31800
 INDUSTRIAL TRANSMISSION                  VA0000020     555452        833   X                              833          0          0
 TUDOR INN                                VA0000244     633100        200   X                              200          0          0
 OMI CORP NEW                             Y6476W104     121550      37400               X                    0          0      37400
 AARP GROWTH & INCOME FD                  00036J106     221578       4479   X                             4479          0          0
 MORRIS MACHINE COMPANY INCORPORATED      000577999     433198       2018               X                    0          0       2018
 ABC RAIL PRODS CORP COM                  000752105     716654      58800               X                    0          0      58800
 ABT BLDG PRODS CORP                      000782102     293150      28600               X                    0          0      28600
 AIRCOM METAL PRODUCTS INCORPORATED       000821991     238410       1422   X                             1422          0          0
 ADE CORP MASS                            00089C107     434200      33400               X                    0          0      33400
 ACT MFG INC                              000973107     376432      26300               X                    0          0      26300
 ACT NETWORKS INC COM                     000975102     279300      22800               X                    0          0      22800
 AEP INDS INC                             001031103     328425      15100               X                    0          0      15100
 AG ASSOCS INC                            001073105      51000      13600               X                    0          0      13600
 AGCO CORP                                001084102       2756        350   X                              350          0          0
 AGCO CORP                                001084102     926888     117700               X                    0          0     117700
 AMR CORP DEL                             001765106     118750       2000   X                             2000          0          0
 AMR CORP DEL                             001765106    1359688      22900               X                    0          0      22900
 ANB CORPORATION COMMON                   001926104     225057       9186   X                             9186          0          0
 ANB CORPORATION COMMON                   001926104      11760        480               X                  114          0        366
 ARM FINL GROUP INC                       001944107     634577      28600               X                    0          0      28600
 AT&T CORP COM                            001957109    4384283      57878   X                            56528          0       1350
 AT&T CORP COM                            001957109   19476007     257109               X                21092        870     235147
 ARV ASSISTED LIVING INC                  00204C107     282975      46200               X                    0          0      46200
 ATMI INC                                 00207R101    1512475      59900               X                    0          0      59900
 AAMES FINANCIAL CORP COM                 00253A101     227623      71400               X                    0          0      71400
 ABBOTT LABS COM                          002824100   23011870     469630   X                           460950         50       8630
 ABBOTT LABS COM                          002824100   16717036     341164               X               284964        200      56000
 ABRAXAS PETE CORP                        003830106      75250      17200               X                    0          0      17200
 ACCEL INTL CORP                          004299103      29900      10400               X                    0          0      10400
 ACCEPTANCE INSURANCE CO INC              004308102     765450      37800               X                    0          0      37800
 ACETO CORP COM                           004446100     262350      19800               X                    0          0      19800
 ACME METALS INC COM                      004724100       6148      20700               X                    0          0      20700
 ACORN INVT TR                            004851101     513700      30487   X                            28563          0       1923
 ACORN INVT TR                            004851101     198584      11785               X                10980          0        805
 ACTIVE VOICE CORP COM                    004938106      88450      11600               X                    0          0      11600
 ACX TECHNOLOGIES INC COM                 005123104     947375      71500               X                    0          0      71500
 ADEPT TECHNOLOGY INC                     006854103     138417      21500               X                    0          0      21500
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              87344408    2195850                               885501       1120    1309228
</TABLE>
<PAGE>   93
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 104

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ADFLEX SOLUTIONS INC                     006866107     151248      21800               X                    0          0      21800
 ADOBE SYS INC                            00724F101     229075       4900               X                    0          0       4900
 ADVANCED DIGITAL INFORMATION CORP        007525108     390400      24400               X                    0          0      24400
 ADVANCED MAGNETICS                       00753P103     122127      16700               X                    0          0      16700
 ADVANCED HEALTH CORP                     00756H108      35700      20400               X                    0          0      20400
 ADVEST GROUP INCORPORATED                007566102     307100      16600               X                    0          0      16600
 ADVANCED NEUROMODULATION SYS             00757T101      67549      10700               X                    0          0      10700
 ADVOCAT INC COM                          007586100      75350      13700               X                    0          0      13700
 ADVANCED MICRO DEVICES COM               007903107     304500      10500               X                    0          0      10500
 ADVANTA CORP                             007942105     337875      25500               X                    0          0      25500
 ADVANTA CORP CL B                        007942204     440307      39800               X                    0          0      39800
 AEROVOX INC                              00808M105      45475      21400               X                    0          0      21400
 AETNA INC COM NEW                        008117103       9907        126   X                              126          0          0
 AETNA INC COM NEW                        008117103    1692482      21526               X                  626          0      20900
 AGOURON PHARMACEUTICALS INC COM          008488108    1298375      22100   X                            22100          0          0
 AGOURON PHARMACEUTICALS INC COM          008488108     229125       3900               X                 3800          0        100
 AIR METHODS CORP                         009128307      59405      22100               X                    0          0      22100
 AIR PRODS & CHEM INC COM                 009158106    5543760     138594   X                           137794          0        800
 AIR PRODS & CHEM INC COM                 009158106    2656000      66400               X                47500          0      18900
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     555744       7672   X                             7622          0         50
 AIRTOUCH COMMUNICATIONS INC COM          00949T100    2645870      36526               X                 2796        318      33412
 ALAMO GROUP INC COM                      011311107     129249      11300               X                    0          0      11300
 ALBANY INTL CORP                         012348108     399686      21105               X                    0          0      21105
 ALBEMARLE CORP COM                       012653101    3716875     156500               X                  900          0     155600
 ALBERTSONS INC                           013104104   11373212     178577   X                           171477         60       7040
 ALBERTSONS INC                           013104104    4749533      74575               X                31785       1200      41590
 ALCAN ALUM LTD                           013716105    1112289      41100               X                    0          0      41100
 ALDILA INC                               014384101      98000      39200               X                    0          0      39200
 ALICO INC                                016230104     291600      16200               X                    0          0      16200
 ALIGN-RITE INTL INC COM                  016251100     123225      10600               X                    0          0      10600
 ALLEGHENY ENERGY INC                     017361106      59340       1720   X                             1720          0          0
 ALLEGHENY ENERGY INC                     017361106     324300       9400               X                 1400          0       8000
 ALLEGHENY TELEDYNE INC COM               017415100     682629      33400               X                    0          0      33400
 ALLEN TELECOM INC                        018091108     481536      72000               X                    0          0      72000
 ALLERGAN INC COM                         018490102     297850       4600   X                             4100          0        500
 ALLERGAN INC COM                         018490102     310800       4800               X                    0          0       4800
 ALLIANCE BANCORP                         01852J105     414736      21200               X                    0          0      21200
 ALLIANCE FD INC                          01859K105      86588      14241   X                            14241          0          0
 ALLIANCE GROWTH & INCOME FD INC          018597104     103710      30061   X                            30061          0          0
 ALLIANCE SEMICONDUCTOR CORP COM          01877H100     296599      73000               X                    0          0      73000
 ALLIANCE PHARMACEUTICAL CORP COM         018773101     256246      78100               X                    0          0      78100
 ALLIED CAP CORP NEW                      01903Q108     386080      22300               X                    0          0      22300
 ALLIED HEALTHCARE PRODS INC              019222108      25025      15400               X                    0          0      15400
 ALLIED HLDGS INC                         019223106    1052250      73200               X                    0          0      73200
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              43968732    1547923                               478048       1578    1068297
</TABLE>
<PAGE>   94
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 105

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 PROD DEL                          019411107     212117      33600               X                    0          0      33600
 ALLIED RESH CORP                         019483106     111375      13500               X                    0          0      13500
 ALLIED SIGNAL INC COM                    019512102     726642      16398   X                            16398          0          0
 ALLIED SIGNAL INC COM                    019512102    4549173     102660               X                10260          0      92400
 ALLOU HEALTH & BEAUTY CARE I             019782101     122550      11400               X                    0          0      11400
 ALLSTATE CORP                            020002101     520324      13515   X                            13365          0        150
 ALLSTATE CORP                            020002101    5497954     142804               X                20954          0     121850
 ALLTEL CORP COM                          020039103    1087559      18183   X                            15728         50       2405
 ALLTEL CORP COM                          020039103    1399265      23394               X                 2746          0      20648
 ALPHARMA INC COM                         020813101     582665      16500               X                    0          0      16500
 ALTERNATIVE LIVING SVCS INC              02145K107    2237200      65800               X                    0          0      65800
 ALUMINUM CO AMER COM                     022249106      41233        553   X                              553          0          0
 ALUMINUM CO AMER COM                     022249106    2281628      30600               X                    0          0      30600
 ALZA CORP COM                            022615108      31350        600   X                              600          0          0
 ALZA CORP COM                            022615108     679250      13000               X                    0          0      13000
 AMBAC FINL GROUP INC COM                 023139108     306959       5100               X                  500          0       4600
 AMCAST INDL CORP                         023395106    1531913      80100               X                    0          0      80100
 AMERADA HESS CORP                        023551104     328350       6600               X                    0          0       6600
 AMERCO                                   023586100     273792       9800               X                    0          0       9800
 AMEREN CORP COM                          023608102     147957       3466   X                             3466          0          0
 AMEREN CORP COM                          023608102     844369      19780               X                  980          0      18800
 AMERICAN ON LINE INC DEL COM             02364J104      62050        400   X                              400          0          0
 AMERICAN ON LINE INC DEL COM             02364J104     604988       3900               X                 1100          0       2800
 AMERICAN BANKNOTE CORP                   024490104      38682      26900               X                    0          0      26900
 AMERICAN BUSINESS PRODS GA               024763104     470000      20000               X                    0          0      20000
 AMERICAN CENTY CAP PORTFOLIOS INC        025076506      84800      14017               X                14017          0          0
 AMERICAN CENTY MUT FDS INC               025083882     155414       4652   X                             4652          0          0
 AMERICAN CENTY MUT FDS INC               025083882     161984       4848               X                 1892          0       2956
 AMERICAN ELEC PWR INC COM                025537101     833956      17720   X                            17520          0        200
 AMERICAN ELEC PWR INC COM                025537101    1042822      22158               X                 7747          0      14411
 AMERICAN EXPRESS CO COM                  025816109     601573       5869   X                             5869          0          0
 AMERICAN EXPRESS CO COM                  025816109    2645628      25811               X                 2511          0      23300
 AMERICAN FREIGHTWAY CORP COM             02629V108    1110435      96300               X                    0          0      96300
 AMERICAN GEN CORP                        026351106     446706       5727   X                             4627          0       1100
 AMERICAN GEN CORP                        026351106    1697748      21766               X                 3266          0      18500
 AMERICAN GREETINGS CORP                  026375105     217634       5300               X                    0          0       5300
 AMERICAN HOME PRODS CORP COM             026609107   49296611     874441   X                           727855          0     146586
 AMERICAN HOME PRODS CORP COM             026609107   39369481     698350               X               261443          0     436907
 AMERICAN HOMEPATIENT INC                 026649103      66356      36600               X                    0          0      36600
 AMERICAN INTL GROUP INC                  026874107   31173158     322620   X                           294245         45      28330
 AMERICAN INTL GROUP INC                  026874107   20893804     216236               X                80464        618     135154
 AMERICAN HERITAGE BANCO, INC CLASS A     026999011     116372      34407   X                            34407          0          0
 AMERICAN ITALIAN PASTA CO                027070101     651463      24700               X                    0          0      24700
 AMERICAN MED SEC GROUP INC               02744P101     314886      22000               X                    0          0      22000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             175570176    3132075                              1547565        713    1583797
</TABLE>
<PAGE>   95
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 106

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 PAC CORP                        028740108     104738      13300               X                    0          0      13300
 AMERICAN PAD & PAPER CO NEW COM          028816106      69710      44600               X                    0          0      44600
 AMERICAN PHYSICIANS SVC GROU             028882108      47250      10500               X                    0          0      10500
 AMERICAN ONCOLOGY RES INC COM            028910107    1229117      84400               X                    0          0      84400
 AMERICAN SOFTWARE INC CL A               029683109      96900      45600               X                    0          0      45600
 AMERICAN STORES CO INC COM               030096101      73876       2000   X                             2000          0          0
 AMERICAN STORES CO INC COM               030096101    2031590      55000               X                    0          0      55000
 AMERICAN TECHNICNAL CERAMICS             030137103      69563      10500               X                    0          0      10500
 AMERIHOST PPTYS INC                      03070D209      63296      16600               X                    0          0      16600
 AMERISTAR CASINOS INC                    03070Q101      94950      42200               X                    0          0      42200
 AMERIN CORP COM                          03070X106    1313550      55600               X                    0          0      55600
 AMERIPATH INC                            03071D109     116194      13000               X                    0          0      13000
 AMERON INC                               030710107     358900       9700               X                    0          0       9700
 AMERITECH CORP NEW COM                   030954101   20674804     326230   X                           313174         90      12966
 AMERITECH CORP NEW COM                   030954101    9356051     147630               X                85770       1140      60720
 AMGEN INC COM                            031162100    5193121      49665   X                            48760        200        705
 AMGEN INC COM                            031162100    5113967      48908               X                 9658       1100      38150
 AMP INC COM                              031897101    6184460     118788   X                           117629          0       1159
 AMP INC COM                              031897101    3036887      58331               X                38696          0      19635
 AMOCO CORP COM                           031905102   54234176     905790   X                           790570          0     115220
 AMOCO CORP COM                           031905102   27625885     461393               X               360291      17824      83278
 AMRESCO INC                              031909104    1066625     121900               X                    0          0     121900
 AMPCO-PITTSBURG CORP                     032037103     346913      31900               X                    0          0      31900
 AMQUEST INTL LTD                         032149106       2340      10000   X                            10000          0          0
 AMREP CORP                               032159105     107100      16800               X                    0          0      16800
 ANADIGICS INC                            032515108     462095      40400               X                    0          0      40400
 ANGELICA CORP                            034663104     420925      22600               X                    0          0      22600
 ANHEUSER BUSCH COS INC                   035229103    5166131      78722   X                            76122          0       2600
 ANHEUSER BUSCH COS INC                   035229103    3028463      46148               X                27948       2000      16200
 ANIXTER INTL INC COM                     035290105    2226305     109600               X                    0          0     109600
 ANN TAYLOR STORES CORP COM               036115103     666502      16900               X                    0          0      16900
 ANTEC CORP                               03664P105     676200      33600               X                    0          0      33600
 AON CORP                                 037389103    1157338      20900   X                            17750          0       3150
 AON CORP                                 037389103    2710496      48948               X                10523      14625      23800
 APPLIED MICROSYSTEMS CORP                037935103      70913      18300               X                    0          0      18300
 APPLIED ANALYTICAL INDUSTRIES            037939105    1495988      86100               X                    0          0      86100
 APPLIED DIGITAL ACCESS INC               038181103      73238      27900               X                    0          0      27900
 APPLIED EXTRUSION TECHNOLOGIES INC       038196101     212000      26500               X                    0          0      26500
 APPLIED INDL TECHNOLOGIES IN             03820C105    1128038      81300               X                    0          0      81300
 APPLIED MAGNETICS                        038213104     389225      62900               X                    0          0      62900
 APPLIED MICRO CIRCUITS CORP              03822W109     808462      23800               X                    0          0      23800
 APPLIED MATLS INC COM                    038222105     102451       2400   X                             2400          0          0
 APPLIED MATLS INC COM                    038222105    1216608      28500               X                 1700          0      26800
 APPLIED PWR INC CL A                     038225108     693750      18500               X                    0          0      18500
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             161317091    3494353                              1912991      36979    1544383
</TABLE>
<PAGE>   96
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 107

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 APPLIED SIGNAL TECHNOLOGY INC            038237103     112875      10500               X                    0          0      10500
 APPLIX INC COM                           038316105      94163      24300               X                    0          0      24300
 APTARGROUP INC COM                       038336103     460233      16400               X                    0          0      16400
 AQUILA GAS PIPELINE CORP                 03839B106     274872      32100               X                    0          0      32100
 AQUILA BIOPHARM INC                      03839F107      51150      13200               X                    0          0      13200
 ARCADIA FINL LTD                         039101100     371200     102400               X                    0          0     102400
 ARCHER DANIELS MIDLAND CO COM            039483102     193067      11274   X                            11274          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     946071      55245               X                11275          0      43970
 ARCTIC CAT INC                           039670104     265907      26100               X                    0          0      26100
 ARDEN RLTY INC COM                       039793104     753610      32500               X                    0          0      32500
 ARGONAUT GROUP INC                       040157109     730100      29800               X                    0          0      29800
 ARGOSY GAMING COMPANY                    040228108      86285      32100               X                    0          0      32100
 ARKANSAS BEST CORP DEL COM               040790107     285187      48800               X                    0          0      48800
 ARMADA FDS                               042086272     545788      51980   X                            51980          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330   50499461    4222363   X                          4202220          0      20142
 ARMADA TAX MANAGED EQUITY FD #233        042086330   10744202     898345               X               777632          0     120712
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363   53624198    5298834   X                          5193033          0     105801
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363   18725894    1850385               X              1683143      14143     153099
 ARMADA SMALL CAP GROWTH FD               042086579    1243107     109332   X                           109095          0        237
 ARMADA SMALL CAP GROWTH FD               042086579      13584       1195               X                  217          0        978
 ARMADA CORE EQUITY FD                    042086595     399688      30722   X                            30722          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629     998173      90088   X                            90088          0          0
 ARMADA EQUITY INDEX FUND #42             042086645    2102783     197259   X                           197259          0          0
 ARMADA EQUITY INDEX FUND #42             042086645     273500      25657               X                    0          0      25657
 ARMADA GNMA FD                           042086660     209226      20274   X                            20274          0          0
 ARMADA BOND FD INSTL CL #630             042086686   77987715    7527772   X                          7493691       3690      30391
 ARMADA BOND FD INSTL CL #630             042086686    7407635     715023               X               678065       3209      33748
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1188587     113523   X                           113523          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777      39522       3775               X                 3775          0          0
 ARMADA INTERMEDIATE BD FUND              042086793   92834893    8651901   X                          8592693      16849      42359
 ARMADA INTERMEDIATE BD FUND              042086793   15080784    1405478               X              1384295          0      21184
 ARMADA ENHANCED INCOME FUND              042086827     158967      15755   X                            15755          0          0
 ARMADA SMALL CAP VALUE FUND              042086843    1598975     122059   X                           116142          0       5917
 ARMADA SMALL CAP VALUE FUND              042086843     293997      22443               X                18391          0       4051
 ARMADA EQUITY INCOME FUND                042086868   73743484    4238131   X                          4170654       8907      58571
 ARMADA EQUITY INCOME FUND                042086868   17400687    1000039               X               820584      28718     150737
 ARMADA EQUITY GROWTH FD                  042086884  187715253    7753625   X                          7699040          0      54585
 ARMADA EQUITY GROWTH FD                  042086884   19808848     818209               X               626298      36184     155727
 ARMCO INC COM                            042170100     393313      89900               X                    0          0      89900
 ARMSTRONG WORLD INDS INC                 042476101      84438       1400   X                             1350          0         50
 ARMSTRONG WORLD INDS INC                 042476101     180939       3000               X                    0          0       3000
 ARNOLD INDUSTRIES INCORPORATED           042595108     765938      47500               X                    0          0      47500
 ARONEX PHARMACEUTICALS INC               042666206      53594      26797               X                  697          0      26100
 ARQULE INC                               04269E107     101229      20500               X                    0          0      20500
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             640843122   45807983                             44113165     111700    1583116
</TABLE>
<PAGE>   97
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 108

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ARTISOFT INC COM                         04314L106      53025      20200               X                  100          0      20100
 ASCEND COMMUNICATIONS INC COM            043491109    1038850      15800               X                    0          0      15800
 ASCENT ENTMT GROUP INC                   043628106     576725      78200               X                    0          0      78200
 ASHLAND INC COM                          044204105      19350        400   X                              400          0          0
 ASHLAND INC COM                          044204105     270900       5600               X                    0          0       5600
 ASHWORTH INC COM                         04516H101     199116      36000               X                    0          0      36000
 ASPECT DEV INC                           045234101    1138844      25700               X                    0          0      25700
 ASPEN TECH INC COM                       045327103     574200      39600               X                    0          0      39600
 ASSOCIATES FIRST CAP CORP COM            046008108     466237      11003   X                            11003          0          0
 ASSOCIATES FIRST CAP CORP COM            046008108    1649489      38926               X                 2326          0      36600
 ASTRO-MED INCORPORATED NEW COMMON        04638F108      76132      14000               X                    0          0      14000
 ASYST TECHNOLOGIES INC COM               04648X107     607175      29800               X                    0          0      29800
 ATALANTA SOSNOFF CAP CORP COM            046499109     155511      18500               X                    0          0      18500
 ATCHISON CASTING CORP                    046613105     179450      19400               X                    0          0      19400
 ATLANTIC AMERN CORP                      048209100      71663      14700               X                    0          0      14700
 ATLANTIC GULF COMMUNITIES CO             048556104       9000      12000               X                    0          0      12000
 ATLANTIC RICHFIELD CO COM                048825103     943034      14425   X                            11272          0       3153
 ATLANTIC RICHFIELD CO COM                048825103    4912735      75147               X                28322        300      46525
 ATMOS ENERGY CORPORATION                 049560105    1928550      59800               X                    0          0      59800
 AU BON PAIN INC CL A                     050103100     198450      29400               X                    0          0      29400
 AUDIOVOX CORP                            050757103     253553      42700               X                    0          0      42700
 AUSPEX SYSTEMS INC COM                   052116100     215534      49800               X                    0          0      49800
 AUTODESK INC                             052769106     242681       5685               X                   85          0       5600
 AUTOMATIC DATA PROCESSING INC COM        053015103   24112131     300695   X                           283265         50      17380
 AUTOMATIC DATA PROCESSING INC COM        053015103    7758991      96760               X                70950        750      25060
 AUTOZONE INC COM                         053332102      26350        800   X                              800          0          0
 AUTOZONE INC COM                         053332102     810275      24600               X                    0          0      24600
 AVADO BRANDS INC                         05336P108     207825      25000               X                    0          0      25000
 AVERY DENNISON CORP COM                  053611109      58582       1300   X                             1100          0        200
 AVERY DENNISON CORP COM                  053611109     412326       9150               X                  550          0       8600
 AVID TECHOLOOGY INC COM                  05367P100     525938      22500               X                    0          0      22500
 AVON PRODS INC COM                       054303102     283200       6400   X                             6400          0          0
 AVON PRODS INC COM                       054303102     840750      19000               X                  800          0      18200
 AVONDALE INDS INC                        054350103     516200      17800               X                    0          0      17800
 AVTEAM INC                               054527205      38750      10000               X                    0          0      10000
 AXSYS TECHNOLOGIES INC                   054615109     168000      12000               X                    0          0      12000
 AYDIN CORP                               054681101     159952      15700               X                    0          0      15700
 AZTAR CORP COM                           054802103     570600     112700               X                    0          0     112700
 BEI TECHNOLOGIES INC                     05538P104     158438      16900               X                    0          0      16900
 BHA GROUP INC                            055446108     265013      19100               X                    0          0      19100
 B I INCORPORATED                         055467203     110426      15100               X                    0          0      15100
 BMC INDUSTRIES INC MINN                  055607105     476875      76300               X                    0          0      76300
 BRC HLDGS INC                            05564D108     586875      31300               X                    0          0      31300
 BMC SOFTWARE INC                         055921100    1189832      26700               X                    0          0      26700
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              55057533    1516591                               417373       1100    1098118
</TABLE>
<PAGE>   98
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 109

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BTU INTL INC                             056032105      54600      18200               X                    0          0      18200
 BAIRNCO CORP                             057097107     161738      22700               X                    0          0      22700
 BAKER HUGHES INC COM                     057224107     217493      12340   X                            12260          0         80
 BAKER HUGHES INC COM                     057224107     541616      30730               X                 2700          0      28030
 J. BAKER INC                             057232100     217925      37900               X                    0          0      37900
 BALDOR ELECTRIC COMPANY COMMON           057741100     301340      14881   X                             1000          0      13881
 BALDWIN TECHNOLOGY CLASS A               058264102     108000      19200               X                    0          0      19200
 BALTIMORE GAS & ELEC CO COM              059165100     251199       8136   X                             8136          0          0
 BALTIMORE GAS & ELEC CO COM              059165100     697775      22600               X                 2100          0      20500
 BANCORPSOUTH INC                         059692103     191468      10600               X                    0          0      10600
 BANTEC INC                               059784108     684684      54500               X                    0          0      54500
 BANDAG INC                               059815100     734859      18400               X                    0          0      18400
 BANDAG INC CL A                          059815308     558000      16000               X                    0          0      16000
 BANCORP SOUTHERN INDIANA COMMON          059902106     416392       6716   X                             6716          0          0
 BANK COMM SAN DIEGO CALIF                061589107     904500      54000               X                    0          0      54000
 BANK NEW YORK INC                        064057102     483483      12012   X                            12012          0          0
 BANK NEW YORK INC                        064057102    2016525      50100               X                    0          0      50100
 BANK ONE CORP COM                        06423A103   12593204     246621   X                           240710        162       5749
 BANK ONE CORP COM                        06423A103   12104586     237052               X               167778        363      68911
 BANK PLUS CORP                           064446107     216563      49500               X                    0          0      49500
 BANK TOKYO-MITSUBISHI LTD                065379109     106323      10126               X                    0          0      10126
 BANK UTD CORP CL A                       065412108    3198875      81500               X                    0          0      81500
 BANKATLANTIC BANCORP                     065908105     183113      25700               X                    0          0      25700
 BANKAMERICA CORP NEW                     06605F102    2993023      49780   X                            48901          0        879
 BANKAMERICA CORP NEW                     06605F102   15133583     251702               X                21660          0     230042
 BANKBOSTON CORP                          06605R106     118839       3052   X                             3052          0          0
 BANKBOSTON CORP                          06605R106    1462122      37550               X                 1150          0      36400
 BANKERS TR CORP COM                      066365107     126021       1475   X                              975          0        500
 BANKERS TR CORP COM                      066365107     610882       7150               X                  450          0       6700
 BANKUNITED FINL CORP CL A                06652B103     369600      46200               X                    0          0      46200
 BANNER AEROSPACE INC COM                 066525106     519090      55000               X                    0          0      55000
 BARBER GROCERY CO INC COM                067132100     797667       1170   X                             1170          0          0
 BARD C R INC                             067383109      39600        800   X                              800          0          0
 BARD C R INC                             067383109     222750       4500               X                    0          0       4500
 BARRICK GOLD CORP COM                    067901108      11700        600   X                              600          0          0
 BARRICK GOLD CORP COM                    067901108     534300      27400               X                  100          0      27300
 BASIN EXPL INC                           070107107     236184      18800               X                    0          0      18800
 BASSETT FURNITURE INDS INC               070203104     726163      30100               X                    0          0      30100
 BATTLE MTN GOLD CO                       071593107     195430      48100               X                 2100          0      46000
 BAUSCH LOMB INC COM                      071707103     828000      13800               X                 2000          0      11800
 BAXTER INTL INC COM                      071813109    1188762      18484   X                            17976          0        508
 BAXTER INTL INC COM                      071813109    2485633      38649               X                15450          0      23199
 BAY VIEW CAP CORP DEL                    07262L101    1075725      49600               X                    0          0      49600
 BAYOU STL CORP LA PLACE CL A             073051104     110550      26800               X                    0          0      26800
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              66729885    1790226                               569796        525    1219905
</TABLE>
<PAGE>   99
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 110

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BEAR STEARNS COS                         073902108     345553       9230   X                             9230          0          0
 BEAR STEARNS COS                         073902108     518516      13850               X                  150          0      13700
 BEAZER HOMES USA INC                     07556Q105     390000      15600               X                    0          0      15600
 BECTON DICKINSON & CO COM                075887109     362848       8500   X                             8500          0          0
 BECTON DICKINSON & CO COM                075887109    1011706      23700               X                 3200          0      20500
 BEL FUSE INC                             077347201     224000       5600               X                    0          0       5600
 BELCO OIL & GAS CORP COM                 077410108     456166      82000               X                    0          0      82000
 BELL ATLANTIC CORP COM                   077853109    1657399      30693   X                            28083          0       2610
 BELL ATLANTIC CORP COM                   077853109    3849714      71291               X                24496       1109      45686
 BELL INDS INC                            078107109     276413      24300               X                    0          0      24300
 BELL MICROPRODUCTS INC                   078137106     197950      21400               X                    0          0      21400
 BELLSOUTH CORP COM                       079860102    4114417      82495   X                            79517          0       2978
 BELLSOUTH CORP COM                       079860102    5150204     103262               X                64262       1924      37076
 BELL WEATHER EXPLORATION CO NEW          079895207     186163      37700               X                    0          0      37700
 BEMA GOLD CORP COM                       08135F107       9350      11500               X                11500          0          0
 BEMIS INC COM                            081437105     512846      13518   X                            12018          0       1500
 BEMIS INC COM                            081437105     202968       5350               X                 1450          0       3900
 BEN & JERRYS HOMEMADE INC CL A           081465106     431838      19300               X                    0          0      19300
 BENICORP COM                             0820469A3          0      21000               X                    0          0      21000
 BENTON OIL & GAS CO COM                  083288100     223500      74500               X                    0          0      74500
 BERGER INVT PORTFOLIO TR                 084045103      71644      18953   X                            18953          0          0
 BERGER INVT PORTFOLIO TR                 084045103        806        213               X                    0          0        213
 BERINGER WINE ESTATES HOLDIN             084102102    1219982      27300               X                    0          0      27300
 BERKSHIRE HATHAWAY INC DEL               084670108     110000         11   X                                9          0          2
 BERKSHIRE HATHAWAY INC DEL               084670108     239500         24               X                    1          0         23
 BEST BUY CO INC COM                      086516101     276188       4500               X                    0          0       4500
 BEST FOODS                               08658U101     823511      15465   X                            15465          0          0
 BEST FOODS                               08658U101    1805814      33912               X                16612          0      17300
 BEVERLY ENTERPRISES INC                  087851309      16875       2500   X                             2500          0          0
 BEVERLY ENTERPRISES INC                  087851309     135000      20000               X                    0          0      20000
 BINDLEY WESTN INDS INC                   090324104    1098275      22300               X                    0          0      22300
 BINDVIEW DEV CORP                        090327107     764500      27800               X                    0          0      27800
 BIO RAD LABS INC CL A                    090572207     619500      29500               X                    0          0      29500
 BIOGAN MED INTL INC                      090596107       3100     100000   X                           100000          0          0
 BIOMET INC                               090613100    1983601      49282   X                            48682          0        600
 BIOMET INC                               090613100    1193533      29653               X                15853        500      13300
 BIOSOURCE INTL INC                       09066H104      70512      24000               X                    0          0      24000
 BIO VASCULAR INCORPORATED COMMON         090923103      35068      11000               X                    0          0      11000
 BIRMINGHAM STEEL CORPORATION COMMON      091250100     327920      78300               X                    0          0      78300
 BLACK & DECKER CORP COM                  091797100     392441       7000               X                  200          0       6800
 BLAIR CORP                               092828102     554700      25000               X                    0          0      25000
 BLIMPIE INTL INC                         093538106      43104      19700               X                    0          0      19700
 H & R BLOCK INC                          093671105     396000       8800               X                 1400          0       7400
 BOB EVANS FARMS INC COM                  096761101      78189       3000   X                             3000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              32381314    1233002                               465081       3533     764388
</TABLE>
<PAGE>   100
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 111

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BOB EVANS FARMS INC COM                  096761101     400901      15382               X                    0          0      15382
 BOCA RESEARCH INC                        096888102      48125      15400               X                    0          0      15400
 BOEING CO                                097023105    1837603      56325   X                            44875          0      11450
 BOEING CO                                097023105    5267600     161459               X                14759        100     146600
 BOISE CASCADE CORP COM                   097383103       6851        221   X                              221          0          0
 BOISE CASCADE CORP COM                   097383103     232500       7500               X                    0          0       7500
 BOLDER TECHNOLOGIES CORP                 097519102     461588      37300               X                    0          0      37300
 BON-TON STORES INC                       09776J101     234850      30800               X                    0          0      30800
 BOMBAY INC COM                           097924104     523050      95100               X                    0          0      95100
 BOOKS-A-MILLION INC                      098570104      13000       1000   X                             1000          0          0
 BOOKS-A-MILLION INC                      098570104     572000      44000               X                    0          0      44000
 BOSTON COMMUNICATIONS GROUP INC          100582105     156000      12000               X                    0          0      12000
 BOSTON SCIENTIFIC CORP COM               101137107     225497       8410   X                             8410          0          0
 BOSTON SCIENTIFIC CORP COM               101137107    1604758      59850               X                 3450          0      56400
 BOSTON FED BANCORP INC COM               101178101     260850      14800               X                    0          0      14800
 BOWNE & CO INC                           103043105     446875      25000               X                    0          0      25000
 BOYD GAMING CORP COM                     103304101     399879     120700               X                    0          0     120700
 BRESEA RES LTD                           10734F108       1740      20000               X                20000          0          0
 BRISTOL-MYERS SQUIBB                     110122108   30968209     231429   X                           220409        200      10820
 BRISTOL-MYERS SQUIBB                     110122108   24070015     179878               X               114942          0      64936
 BRITISH PETE PLC ADR                     110889409    1931523      21284   X                            21284          0          0
 BRITISH PETE PLC ADR                     110889409     498308       5491               X                 3716          0       1775
 BROADWAY INVESTMENT COMPANY INC          110990108     161874         22   X                               22          0          0
 BROADWAY INVESTMENT COMPANY INC          110990108     749136        100               X                  100          0          0
 BRITISH TELECOM FIN P L C                111021408     897841       5919   X                             5544          0        375
 BRITISH TELECOM FIN P L C                111021408      13652         90               X                   90          0          0
 BROADVISION INC                          111412102    1142400      35700               X                    0          0      35700
 BROADWAY & SEYMOR INC COM                111433108      67500      30000               X                    0          0      30000
 BROOKS AUTOMATION INC                    11434A100     367088      25100               X                    0          0      25100
 BROOKSTONE INC COM                       114537103     210638      12300               X                    0          0      12300
 BROWN & SHARPE MFG CL A                  115223109     258400      32300               X                    0          0      32300
 BROWN GROUP INC                          115657108      29857       1700   X                             1700          0          0
 BROWN GROUP INC                          115657108     828974      47200               X                    0          0      47200
 BROWN TOM INC NEW COM                    115660201     701167      69900               X                    0          0      69900
 BROWNING FERRIS INDS INC COM             115885105     880156      30950   X                            27700          0       3250
 BROWNING FERRIS INDS INC COM             115885105     951251      33450               X                 2500          0      30950
 BRUNSWICK TECHNOLOGIES INC               117394106      76500      12000               X                    0          0      12000
 BRUSH WELLMAN INC COM                    117421107     699264      40100               X                    0          0      40100
 BUDGET GROUP INC                         119003101     364157      22939   X                            22939          0          0
 BUDGET GROUP INC                         119003101    1144588      72100               X                    0          0      72100
 BUILDING MATLS HLDG CORP                 120113105     429225      35400               X                    0          0      35400
 BURLINGTON INDS INC NEW                  121693105     828813      74500               X                    0          0      74500
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     193684       5655   X                             5655          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104    2300641      67172               X                 5772          0      61400
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              83458528    1817926                               525088        300    1292538
</TABLE>
<PAGE>   101
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 112

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 RESOURCES INC COM             122014103     121979       3406   X                             3406          0          0
 BURLINGTON RESOURCES INC COM             122014103     562801      15715               X                 2541          0      13174
 BURNHAM PACIFIC PROPERTIES               12232C108    1003642      83200               X                    0          0      83200
 BUSH BOAKE ALLEN INC COM                 123162109    2351175      66700               X                    0          0      66700
 BUSH INDS INC                            123164105     572148      46000               X                    0          0      46000
 BUTLER MFG CO DEL                        123655102     436313      19500               X                    0          0      19500
 CBL & ASSOC PROP                         124830100     655650      25400               X                    0          0      25400
 CBS CORP                                 12490K107     217747       6636   X                             6636          0          0
 CBS CORP                                 12490K107    1834247      55900               X                 2400          0      53500
 CEC ENTMT INC                            125137109     360750      13000               X                    0          0      13000
 CFM TECHNOLOGIES INC                     12525K106     190400      22400               X                    0          0      22400
 C H ROBINSON WORLDWIDE INC               12541W100     975269      37600               X                    0          0      37600
 CIGNA CORP                               125509109     306623       3966   X                              966          0       3000
 CIGNA CORP                               125509109    1198738      15505               X                    5          0      15500
 CLECO CORP                               12561M107    1832314      53400               X                    0          0      53400
 CMC INDUSTRIES INC COM                   125708107     106925      18200               X                    0          0      18200
 CMP GROUP INC                            125887109       7550        400   X                                0          0        400
 CMP GROUP INC                            125887109     698375      37000               X                    0          0      37000
 CMS ENERGY CORP                          125896100       9688        200   X                                0          0        200
 CMS ENERGY CORP                          125896100     319691       6600               X                    0          0       6600
 CNET INC COM                             125945105     878625      16500               X                    0          0      16500
 CTG RES INC                              125957100     294000      11200               X                    0          0      11200
 CNB BANCSHARES INC COMMON                126126101    1111773      23845   X                             6510          0      17335
 CNB BANCSHARES INC COMMON                126126101      14221        305               X                  305          0          0
 CNS INC                                  126136100     156085      45400               X                    0          0      45400
 CPAC INC                                 126145101     118500      15800               X                    0          0      15800
 C P CLARE CORP                           12615K107     112750      22000               X                    0          0      22000
 CSG SYS INTL INC                         126349109    2733400      34600               X                    0          0      34600
 CSX CORP                                 126408103     178450       4300   X                             4300          0          0
 CSX CORP                                 126408103    1660332      40008               X                12208          0      27800
 CVS CORPORATION (DEL)                    126650100    2196425      39935   X                            36970        288       2677
 CVS CORPORATION (DEL)                    126650100     423555       7701               X                 6971          0        730
 CABLETRON SYS INC                        126920107     103431      12350               X                    0          0      12350
 CADMUS COMMUNICATIONS CORP COM           127587103     447338      23700               X                    0          0      23700
 CAL MAINE FOODS INC                      128030202     126927      28600               X                    0          0      28600
 CALCOMP TECHNOLOGY INC                   128701109       2628      12000               X                    0          0      12000
 CALIFORNIA MICRO DEVICES CORP            130439102      43000      17200               X                    0          0      17200
 CALIFORNIA MICROWAVE INC COM             130442106     230625      24600               X                    0          0      24600
 CALIFORNIA WTR SVC GROUP                 130788102     316261      10100               X                    0          0      10100
 CALLON PETROLEUM CO DEL                  13123X102     244125      21000               X                    0          0      21000
 CALMAT CO                                131271108    1729000      56000               X                    0          0      56000
 CAMERON ASHLEY BUILDING PRODUCTS         133290106     296530      22700               X                    0          0      22700
 CAMPBELL SOUP CO COM                     134429109      55000       1000   X                             1000          0          0
 CAMPBELL SOUP CO COM                     134429109    1575750      28650               X                 3050          0      25600
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              28810756    1050222                                87268        288     962666
</TABLE>
<PAGE>   102
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 113

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CANANDAIGUA BRANDS INC CL A              137219200     930789      16100               X                    0          0      16100
 CANNONDALE CORP                          137798104     171900      19100               X                    0          0      19100
 CAPITAL ONE FINANCIAL CORP COM           14040H105     368000       3200   X                             3200          0          0
 CAPITAL ONE FINANCIAL CORP COM           14040H105     391000       3400               X                    0          0       3400
 CAPITAL PAC HLDGS INC                    14040M104      97907      38200               X                    0          0      38200
 CAPITAL PRESERVATION FUND #04            140411DV8    3704596     370460   X                           370460          0          0
 CAPITAL PRESERVATION FUND #4             140411109    5004403     500440   X                           458512          0      41929
 CAPITAL PRESERVATION FUND #4             140411109      47376       4738               X                 4738          0          0
 CAPITAL RE CORP COM                      140432105     200630      10000               X                    0          0      10000
 CAPITOL TRANSAMERICA CORP                140640103     612966      32800               X                    0          0      32800
 CARBIDE/GRAPHITE GROUP INC COM           140777103     312700      21200               X                    0          0      21200
 CARAUSTAR INDUSTRIES                     140909102    2522113      88300               X                    0          0      88300
 CARDINAL HEALTH INC COM                  14149Y108    1529640      20160   X                            17780         52       2328
 CARDINAL HEALTH INC COM                  14149Y108    1316431      17350               X                 4350          0      13000
 CARDIOVASCULAR DYNAMICS INC              14160K102      71981      23500               X                    0          0      23500
 CARIBINER INTL INC COM                   141888107     256413      28100               X                    0          0      28100
 CARMIKE CINEMAS CL A COM                 143436103     530169      26100               X                    0          0      26100
 CARNIVAL CORP COM                        143658102    1315200      27400   X                            27400          0          0
 CARNIVAL CORP COM                        143658102     396240       8255               X                 8255          0          0
 CAROLINA PWR & LT CO COM                 144141108     103068       2190   X                             2190          0          0
 CAROLINA PWR & LT CO COM                 144141108     564756      12000               X                 1000          0      11000
 CARRINGTON LABS INC                      144525102      64813      30500               X                    0          0      30500
 CARTER WALLACE INC                       146285101     911554      46300               X                    0          0      46300
 CASCADE CORPORATION COM                  147195101     251427      15900               X                    0          0      15900
 CASINO DATA SYS                          147583108      44400      22200               X                    0          0      22200
 CASTLE & COOKE INC NEW COM               148433105     973500      66000               X                    0          0      66000
 CATALINA LTG INC                         148865108      27450      12200               X                    0          0      12200
 CATERPILLAR INC                          149123101     657110      14285   X                            14285          0          0
 CATERPILLAR INC                          149123101    2702960      58760               X                 3960        500      54300
 CATHERINES STORES CORP COM               14916F100     188138      17300               X                    0          0      17300
 CATO CORP CL A                           149205106     228381      23200               X                    0          0      23200
 CAVALIER HOMES INC COM                   149507105     617663      54300               X                    0          0      54300
 CELERITEK INC                            150926103      64500      21500               X                    0          0      21500
 CENDANT CORP                             151313103       8305        430   X                              430          0          0
 CENDANT CORP                             151313103    3041798     157500               X                 5500          0     152000
 CENTEX CORP                              152312104      90126       2000   X                             2000          0          0
 CENTEX CORP                              152312104     198277       4400               X                    0          0       4400
 CENTIGRAM COMMUNICATIONS CORP            152317103     194538      19700               X                    0          0      19700
 CENTRAL & SOUTH WEST CORP COM            152357109      87802       3200   X                             2400          0        800
 CENTRAL & SOUTH WEST CORP COM            152357109    1158707      42230               X                 4030          0      38200
 CENTRAL GARDEN & PET CO COM              153527106     862500      60000               X                    0          0      60000
 CENTRAL HUDSON GAS & ELEC CORP           153609102       8726        195   X                              195          0          0
 CENTRAL HUDSON GAS & ELEC CORP           153609102    2004800      44800               X                    0          0      44800
 CENTRAL SPRINKLER CORP                   155184104     155008      16000               X                    0          0      16000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              34990761    2005893                               930685        552    1074657
</TABLE>
<PAGE>   103

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 114

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CENTRAL VERMONT PUB SVC CORP             155771108     144213      13900               X                    0          0      13900
 CENTRIS GROUP INC                        155904105     293475      30100               X                    0          0      30100
 CENTURY ALUM CO                          156431108     440755      46700               X                    0          0      46700
 CENTURY BUSINESS SVCS INC                156490104     214188      14900               X                    0          0      14900
 CEPHALON INC                             156708109     380070      42230               X                  230          0      42000
 CERIDIAN CORP COM                        15677T106    1136556      16280   X                            14355         40       1885
 CERIDIAN CORP COM                        15677T106     408755       5855               X                  555          0       5300
 CHAMPION INTL CORP COM                   158525105     550800      13600               X                    0          0      13600
 CHART HOUSE                              160902102     196613      32100               X                    0          0      32100
 CHARTER ONE FINL INC COM                 160903100      41625       1500   X                             1500          0          0
 CHARTER ONE FINL INC COM                 160903100     235875       8500               X                    0          0       8500
 CHARMING SHOPPES INC                     161133103    1037708     240600               X                    0          0     240600
 CHARTWELL RE CORP COM                    16139W109     501125      21100               X                    0          0      21100
 CHASE INDS INC                           161568100     225461      21600               X                    0          0      21600
 CHASE MANHATTAN CORP NEW COM             16161A108    1948382      27442   X                            27082        120        240
 CHASE MANHATTAN CORP NEW COM             16161A108    8104082     114142               X                 7342          0     106800
 CHECK TECHNOLOGY CORP                    162780100      37402      12800               X                    0          0      12800
 CHECKPOINT SYS INC COM                   162825103    1037575      84700               X                    0          0      84700
 CHEMED CORP                              163596109     901150      26900               X                    0          0      26900
 CHESAPEAKE ENERGY CORP COM               165167107     111622     119000               X                    0          0     119000
 CHEVRON  CORP                            166751107    2610557      31476   X                            29596         25       1855
 CHEVRON  CORP                            166751107    2242809      27042               X                12162       1240      13640
 CHIC BY HIS INC                          167113109      82250      25800               X                    0          0      25800
 CHILDRENS COMPREHENSIVE SVCS INC COM     16875K202     209050      14800               X                    0          0      14800
 CHIQUITA BRANDS INC COM                  170032106     315579      33000               X                    0          0      33000
 CHIRON CORP COM                          170040109      15713        600   X                              600          0          0
 CHIRON CORP COM                          170040109     343377      13112               X                  212          0      12900
 CHOCK FULL O NUTS CORPORATION            170268106     164150      26800               X                    0          0      26800
 CHUBB CORP                               171232101     229215       3540   X                             2690          0        850
 CHUBB CORP                               171232101    1688551      26078               X                 1278          0      24800
 CIDCO INC COM                            171768104      49450      17200               X                    0          0      17200
 CIFRA S A - UNSPONSORED ADR B            171785207      15295      11164   X                            11164          0          0
 CIFRA S A - UNSPONSORED ADR B            171785207       7647       5582               X                 5582          0          0
 CINCINNATI BELL INC COM                  171870108      49157       1300   X                             1300          0          0
 CINCINNATI BELL INC COM                  171870108     428043      11320               X                 3520          0       7800
 CINAR FILMS INC SUB VTG SH CL B          171905300     748563      29500               X                    0          0      29500
 CINCINNATI FINL CORP COM                 172062101    3822991     104382   X                           103632          0        750
 CINCINNATI FINL CORP COM                 172062101    1992254      54396               X                41640          0      12756
 CINERGY CORP                             172474108     199616       5807   X                             5807          0          0
 CINERGY CORP                             172474108     451447      13133               X                 2276          0      10857
 CIPRICO  INC                             172529109      89775      13300               X                    0          0      13300
 CIRCLE INTL GROUP INC                    172574105     781050      38100               X                    0          0      38100
 CIRCUIT CITY STORES-CIRCUIT CITY         172737108      37454        750   X                              750          0          0
 CIRCUIT CITY STORES-CIRCUIT CITY         172737108     808996      16200               X                    0          0      16200
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              35330421    1418331                               273273       1425    1143633
</TABLE>
<PAGE>   104
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 115

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CISCO SYS INC                            17275R102   19885835     214257   X                           201960        442      11855
 CISCO SYS INC                            17275R102   22648414     244022               X                29073        225     214724
 CIRRUS LOGIC INC COM                     172755100    1588725     161900               X                    0          0     161900
 CITADEL HLDG CORP COM                    172862104      61433      15600               X                    0          0      15600
 CITATION CORP ALA COM                    172895104     612313      48500               X                    0          0      48500
 CINTAS CORP                              172908105    4998985      70970   X                            58895          0      12075
 CINTAS CORP                              172908105    3068279      43560               X                29020        800      13740
 CITIGROUP INC COM                        172967101    2432377      48953   X                            44229        180       4544
 CITIGROUP INC COM                        172967101   15529140     312533               X                19483          0     293050
 CITIZENS INC                             174740100     136125      24200               X                    0          0      24200
 CLAYTON HOME INC COM                     184190106     877885      63555   X                            61806          0       1749
 CLAYTON HOME INC COM                     184190106      82422       5967               X                 4530       1437          0
 CLEAN HARBORS INC                        184496107      37800      25200               X                    0          0      25200
 CLEVELAND CLIFF INC COM                  185896107    1124733      27900               X                    0          0      27900
 CLINTRIALS RESEARCH INC                  188767107     181148      46000               X                    0          0      46000
 CLOROX CO COM                            189054109     344598       2950   X                             2950          0          0
 CLOROX CO COM                            189054109     303714       2600               X                 1700        100        800
 COAST DENTAL SVCS INC                    19034H102     251075      24200               X                    0          0      24200
 COASTAL BANCORP INC                      19041P105     332500      19000               X                    0          0      19000
 COASTAL CORP                             190441105     148298       4222   X                             4222          0          0
 COASTAL CORP                             190441105     547950      15600               X                    0          0      15600
 COASTCAST CORP COM                       19057T108     204750      23400               X                    0          0      23400
 COBRA ELECTRS CORP                       191042100      67976      14500               X                    0          0      14500
 COCA COLA CO COM                         191216100   35818334     534602   X                           513872         50      20680
 COCA COLA CO COM                         191216100   22647273     338019               X               230245       1120     106654
 COEUR D ALENE MINES CORP IDAHO COM       192108108     271488      58700               X                    0          0      58700
 COGNEX CORP COM                          192422103     386000      19300               X                    0          0      19300
 COHERENT INC                             192479103     762449      61300               X                    0          0      61300
 COHESION TECHNOLOGIES INC                19248N101      39150      10800               X                    0          0      10800
 COHO ENERGY INC                          192481109     212382      75500               X                    0          0      75500
 COHR INC                                 192567105      65600      12800               X                    0          0      12800
 COINMACH LAUNDRY CORP                    19259L101     397800      30600               X                    0          0      30600
 COLGATE PALMOLIVE CO COM                 194162103    1909231      20557   X                            20132        120        305
 COLGATE PALMOLIVE CO COM                 194162103    3078528      33147               X                25251       2400       5496
 COLLAGEN AESTHETICS INC COM              194194106     197100      21900               X                    0          0      21900
 COLONIAL BANCGROUP INC                   195493309    1917600     159800               X                    0          0     159800
 COLUMBIA ENERGY GROUP INC COM            197648108        924         16   X                               16          0          0
 COLUMBIA ENERGY GROUP INC COM            197648108     312947       5419               X                  119          0       5300
 COLUMBIA/HCA HEALTHCARE CORP COM         197677107      36787       1486   X                             1486          0          0
 COLUMBIA/HCA HEALTHCARE CORP COM         197677107    2299275      92900               X                    0          0      92900
 COLUMBIA SPORTSWEAR CO                   198516106     334125      19800               X                    0          0      19800
 COLUMBIA REALTY CORP                     198990103     810000        460   X                                0          0        460
 COLUMBUS MCKINNON CORP N Y               199333105     460800      25600               X                    0          0      25600
 COMFORT SYS USA INC                      199908104     622050      34800               X                    0          0      34800
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             148046318    3017095                              1248989       6874    1761232
</TABLE>
<PAGE>   105
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 116

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 COMCAST CORP                             200300200    1184324      20180   X                            18165         50       1965
 COMCAST CORP                             200300200    1971917      33600               X                  600          0      33000
 COMERICA INC                             200340107    2091872      30678   X                            29159         30       1489
 COMERICA INC                             200340107     860874      12625               X                 1025          0      11600
 COMMERCIAL BK NY                         201462108     185850      12600               X                    0          0      12600
 COMMERCIAL FEDERAL CORPORATION           201647104     918245      39600               X                    0          0      39600
 COMMERCIAL METAL CO                      201723103    3638025     131100               X                    0          0     131100
 COMMONWEALTH BANCORP INC                 20268X102     571162      36700               X                    0          0      36700
 COMMOMWEALTH ENERGY SYS                  202800108     903150      22300               X                    0          0      22300
 COMMONWEALTH INDS INC DEL                203004106     405938      43300               X                    0          0      43300
 COMMUNITY FIRST BANKSHARES I             203902101    1524961      72400               X                    0          0      72400
 COMMUNITY TR BANCORP INC                 204149108     289050      12300               X                    0          0      12300
 COMPAQ COMPUTER CORP                     204493100    7885332     187746   X                           174942         65      12739
 COMPAQ COMPUTER CORP                     204493100    6395970     152285               X                51380          0     100905
 COMPUCOM SYS INC COM                     204780100     418950     119700               X                    0          0     119700
 COMPUTER ASSOC. INT'L INC.               204912109      23955        562   X                              562          0          0
 COMPUTER ASSOC. INT'L INC.               204912109    2924075      68600               X                    0          0      68600
 COMPUTER SCIENCES CORP                   205363104      38550        600   X                              600          0          0
 COMPUTER SCIENCES CORP                   205363104     745300      11600               X                    0          0      11600
 COMSTOCK RESOURCES INC COM               205768203     195726      63900               X                    0          0      63900
 CONAGRA INC                              205887102    3514739     111579   X                           103429          0       8150
 CONAGRA INC                              205887102   12730158     404132               X               349366          0      54766
 CONCENTRIC NETWORK CORP                  20589R107    2962575      89100               X                    0          0      89100
 COMSHARE INC                             205912108      93170      27100               X                    0          0      27100
 CONCORD CAMERA CORP COM                  206156101     128000      25600               X                    0          0      25600
 CONCORD COMMUNICATIONS INC               206186108     221325       3900               X                    0          0       3900
 CONDOR TECHNOLOGY SOLUTIONS              206772105     755000      75500               X                    0          0      75500
 CONE MILLS CORP                          206814105     469688      83500               X                    0          0      83500
 CONMED CORP                              207410101    1082400      32800               X                    0          0      32800
 CONNECTICUT GENERAL LIFE INSURANCE       207990102     665367        240   X                              240          0          0
 CONSECO INC COM                          208464107     243116       7971   X                             7971          0          0
 CONSECO INC COM                          208464107    1069178      35055               X                 4035          0      31020
 CONSO PRODS CO                           20854R105      65800      11200               X                    0          0      11200
 CONSOLIDATED EDISON INC                  209115104    1485840      28101   X                            28101          0          0
 CONSOLIDATED EDISON INC                  209115104    1170071      22129               X                21129          0       1000
 CONSOLIDATED FREIGHTWAYS COR             209232107     962025      60600               X                    0          0      60600
 CONSOLIDATED NAT GAS CO COM              209615103     128250       2375   X                             2375          0          0
 CONSOLIDATED NAT GAS CO COM              209615103     375300       6950               X                  750          0       6200
 CONSUMER PORTFOLIO SVCS INC              210502100     147638      38100               X                    0          0      38100
 CONTIFINANCIAL CORP                      21075V107     776625     109000               X                    0          0     109000
 COOKER RESTAURANT CORP NEW               216284208     148800      24800               X                    0          0      24800
 COOPER INDS INC COM                      216669101     228139       4784   X                             4784          0          0
 COOPER INDS INC COM                      216669101    1187431      24900               X                 6800          0      18100
 COORS ADOLPH CO                          217016104     451504       8000               X                    0          0       8000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              64235365    2309792                               805413        145    1504234
</TABLE>
<PAGE>   106
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 117

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 COPLEY PHARMACEUTICAL INC                21745K101     247963      23900               X                    0          0      23900
 CORAM HEALTHCARE CORP                    218103109      90000      48000               X                    0          0      48000
 CORNELL CORRECTIONS INC                  219141108     437000      23000               X                    0          0      23000
 CORNING INC                              219350105      81900       1820   X                             1820          0          0
 CORNING INC                              219350105    1088100      24180               X                 7080          0      17100
 CORPORATE EXPRESS INC COM                219888104     729433     140600               X                    0          0     140600
 CORRPRO COS INC COM                      220317101     148694      12200               X                    0          0      12200
 COSTCO COMPANIES INC                     22160Q102    2715424      37616   X                            33251         95       4270
 COSTCO COMPANIES INC                     22160Q102    1673462      23182               X                 3382          0      19800
 COUNTRYWIDE CR INDS INC DEL              222372104      75282       1500   X                             1500          0          0
 COUNTRYWIDE CR INDS INC DEL              222372104     435130       8670               X                  570          0       8100
 COUSINS PPTYS INC                        222795106    1389975      43100               X                    0          0      43100
 COVENANT TRANSPORT INC CL A              22284P105     473688      26500               X                    0          0      26500
 CRACKER BARRELL OLD CTRY STORE INC       224100107     220891       9475   X                             8975          0        500
 CRACKER BARRELL OLD CTRY STORE INC       224100107      69939       3000               X                 3000          0          0
 CRAIG CORP                               224174102     108851      13500               X                    0          0      13500
 CRANE CO COM                             224399105     158940       5265   X                             5265          0          0
 CRANE CO COM                             224399105     307887      10199               X                 5199          0       5000
 CREDIT ACCEPTANCE CORP COM               225310101     918513     125600               X                    0          0     125600
 CRESTAR FINL CORP                        226091106      57600        800   X                              800          0          0
 CRESTAR FINL CORP                        226091106    1274400      17700               X                    0          0      17700
 CRITICARE SYS INC                        226901106      30200      15100               X                    0          0      15100
 CROSS AT CO                              227478104     192963      35900               X                    0          0      35900
 CROSS-CONTINENT AUTO RETAILERS INC       227480100     189150      19400               X                    0          0      19400
 CROWN CENT PETE CORP                     228219101      87638      12300               X                    0          0      12300
 CROWN CENT PETE CORP                     228219309      94500      13500               X                    0          0      13500
 CROWN CORK & SEAL INC COM                228255105      11339        368   X                              218          0        150
 CROWN CORK & SEAL INC COM                228255105     283480       9200               X                    0          0       9200
 CROWN CRAFTS INC                         228309100     131186      21200               X                    0          0      21200
 CROWN VANTAGE INC COM                    228622106      52425      23300               X                    0          0      23300
 CUBIC CORP                               229669106     397500      21200               X                    0          0      21200
 CULP INC                                 230215105     275625      35000               X                    0          0      35000
 CUSTOMTRACKS CORP                        232046102     238342      22300               X                    0          0      22300
 CYBEROPTICS CORP                         232517102     175000      12500               X                    0          0      12500
 CYBEX INTL INC                           23252E106     103275      24300               X                    0          0      24300
 CYRK INC                                 232817106     308250      41100               X                    0          0      41100
 DPL INC                                  233293109     671002      31029   X                            31029          0          0
 DPL INC                                  233293109    1360342      62906               X                59926          0       2980
 DRS TECHNOLOGIES INC                     23330X100     141100      12900               X                    0          0      12900
 D R HORTON INC                           23331A109    2739300     119100               X                    0          0     119100
 DT INDS INC COM                          23333J108     448875      28500               X                    0          0      28500
 DVI INC COM                              233343102     217500      12000               X                    0          0      12000
 DAILEY PETE SVCS CORP COM                23380G106      10733      15600               X                    0          0      15600
 DAIN RAUSCHER CORP                       233856103    1032500      35000               X                    0          0      35000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              21895297    1223510                               162015         95    1061400
</TABLE>
<PAGE>   107
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 118

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DAMARK INTL INC                          235691102     163313      20100               X                    0          0      20100
 DAMES & MOORE GROUP COM                  235713104     542038      42100               X                    0          0      42100
 DAN RIV INC GA                           235774106     258500      22000               X                    0          0      22000
 DANA CORP COM                            235811106     392482       9602   X                             8342          0       1260
 DANA CORP COM                            235811106    1666065      40760               X                 9260          0      31500
 DANIEL INDUSTRIES INCORPORATED           236235107     145500      12000               X                    0          0      12000
 DARDEN RESTAURANTS INC COM               237194105      42979       2388   X                             2388          0          0
 DARDEN RESTAURANTS INC COM               237194105     183600      10200               X                    0          0      10200
 DATA BROADCASTING CORP COM               237596101     348563      19500               X                    0          0      19500
 DATA I O CORP                            237690102      23550      13700               X                    0          0      13700
 DATA SYS & SOFTWARE INC                  237887104      55388      21100               X                    0          0      21100
 DATAWARE TECHNOLOGIES INC                237920103      47159      18400               X                    0          0      18400
 DATASCOPE CORP COM                       238113104     361100      15700               X                    0          0      15700
 DATUM INC                                238208102      91882      14000               X                    0          0      14000
 DAWSON GEOPHYSICAL CO                    239359102     100632      14000               X                    0          0      14000
 DAYTON HUDSON CORP COM                   239753106    4983731      91866   X                            91566          0        300
 DAYTON HUDSON CORP COM                   239753106    6157918     113510               X                39150          0      74360
 DAYTON SUPERIOR CORP                     240028100     362313      18700               X                    0          0      18700
 DEAN FOODS CO COM                        242361103     581585      14250   X                            14250          0          0
 DEAN FOODS CO COM                        242361103      91993       2254               X                 2254          0          0
 DEB SHOPS INC                            242728103     414000      27600               X                    0          0      27600
 DECKERS OUTDOOR CORP                     243537107      46386      21200               X                    0          0      21200
 DEEP VEIN COAL CO INC COM                2437899A4   37965000      63275               X                39600      23675          0
 DEERE & CO COM                           244199105     343873      10460   X                             9310          0       1150
 DEERE & CO COM                           244199105    1416650      43092               X                 3892          0      39200
 DEFIANCE INC                             244662102     100038      15100               X                    0          0      15100
 DEL GLOBAL TECHNOLOGIES CORP             245073101     251850      21900               X                    0          0      21900
 DELL COMPUTER CORP                       247025109    2670264      36485   X                            35885        260        340
 DELL COMPUTER CORP                       247025109    2032870      27776               X                 4721          0      23055
 DELTA AIRLINES INC DEL COM               247361108     426400       8200   X                             7200          0       1000
 DELTA AIRLINES INC DEL COM               247361108     114400       2200               X                    0          0       2200
 DELTIC TIMBER CORP                       247850100     336188      16500               X                    0          0      16500
 DELTA WOODSIDE INDS INC NEW              247909104     389400      64900               X                    0          0      64900
 DELTA FINANCIAL CORP                     247918105     234551      39500               X                    0          0      39500
 DELUXE CORP                              248019101      25594        700   X                              700          0          0
 DELUXE CORP                              248019101     230347       6300               X                  300          0       6000
 DENAMERICA CORP                          248225104      19364      16300               X                    0          0      16300
 DETECTION SYSTEMS INC                    250644101     129600      14400               X                    0          0      14400
 DETROIT DIESEL CORP                      250837101    1295069      62600               X                    0          0      62600
 DEVON ENERGY CORP                        251799102    1387098      45200               X                    0          0      45200
 DEXTER CORP                              252165105     377256      12000               X                    0          0      12000
 DIAMOND HOME SVCS INC                    252648100      77250      20600               X                    0          0      20600
 DIAMOND MULTIMEDIA SYSTEMS COM           252714100     581400      91200               X                  200          0      91000
 DIEBOLD INC COM                          253651103     229938       6443   X                             1350          0       5093
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              67695077    1190061                               270368      23935     895758
</TABLE>
<PAGE>   108
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 119

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DIEBOLD INC COM                          253651103      45859       1285               X                  150          0       1135
 DIGITAL LINK CORP                        253856108     117075      22300               X                    0          0      22300
 DIGITAL MICROWAVE CORP COM               253859102     466076      68100               X                    0          0      68100
 DIGITAL RIV INC                          25388B104     475700      13400               X                    0          0      13400
 DIME CMNTY BANCORP INC                   253922108     556875      27000               X                    0          0      27000
 DILGARD FROZEN FOODS INC                 253990105     507100        200               X                  200          0          0
 DILLARD'S INC                            254067101     495144      17450               X                  550          0      16900
 DIME BANCORP INC NEW COM                 25429Q102      39375       1500   X                             1500          0          0
 DIME BANCORP INC NEW COM                 25429Q102     391125      14900               X                    0          0      14900
 DIMON INC COM                            254394109     870990     117100               X                    0          0     117100
 DIODES INC                               254543101      57000      11400               X                    0          0      11400
 DISCOUNT AUTO PARTS COM                  254642101     482636      22000               X                    0          0      22000
 DISNEY WALT CO COM                       254687106   20422350     680745   X                           657970        500      22275
 DISNEY WALT CO COM                       254687106   11965080     398836               X               189182       3450     206204
 DIXIE GROUP INC                          255519100     207188      25500               X                    0          0      25500
 DODGE & COX STOCK FD COM                 256219106    2233253      24622   X                            23599          0       1023
 DODGE & COX STOCK FD COM                 256219106     102583       1131               X                  979          0        152
 DOLLAR GENERAL CORPORATION               256669102     355840      15062               X                    0       1562      13500
 DOMINION RES INC VA                      257470104     343846       7355   X                             7355          0          0
 DOMINION RES INC VA                      257470104     703541      15049               X                  649          0      14400
 DONNELLEY R R & SONS CO COM              257867101      61338       1400   X                             1400          0          0
 DONNELLEY R R & SONS CO COM              257867101    1310009      29900               X                 5600          0      24300
 DONNKENNY INC DEL COM                    258006105      26625      14200               X                    0          0      14200
 DOUBLECLICK INC                          258609304     703100      15800               X                    0          0      15800
 DOVER CORP                               260003108     860688      23500               X                 7200          0      16300
 DOW CHEM CO COM                          260543103    1723821      18956   X                            17456          0       1500
 DOW CHEM CO COM                          260543103    4528803      49801               X                11732          0      38069
 DOW JONES & CO INC COM                   260561105     582313      12100               X                 5000          0       7100
 DRESS BARN INC                           261570105     666753      43900               X                    0          0      43900
 DREYFUS INTER MUN BD FD INC              262010101     183802      13054   X                            13054          0          0
 DREYFUS INTER MUN BD FD INC              262010101      89035       6324               X                 6324          0          0
 DRUG EMPORIUM                            262175102     176813      34500               X                    0          0      34500
 DU PONT E I DE NEMOURS & CO COM          263534109    3257856      61396   X                            57746         35       3615
 DU PONT E I DE NEMOURS & CO COM          263534109    9303430     175328               X                35228          0     140100
 DUCKWALL ALCO STORES INC COM             264142100     170925      12900               X                    0          0      12900
 DUFF & PHELPS UTILS INCOME INC COM       264324104      67613       6010   X                             6010          0          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104      73125       6500               X                 6500          0          0
 DUKE ENERGY CORP COM                     264399106    2137718      33369   X                            33369          0          0
 DUKE ENERGY CORP COM                     264399106    2432792      37975               X                 4555          0      33420
 DUKE RLTY INV INC NEW                    264411505     142988       6150   X                             6150          0          0
 DUKE RLTY INV INC NEW                    264411505     127410       5480               X                 3100          0       2380
 DUN & BRADSTREET CORP DEL                26483B106      24461        775   X                              775          0          0
 DUN & BRADSTREET CORP DEL                26483B106     509648      16147               X                 3647          0      12500
 DURAKON INDS INC                         266334101     114450      10900               X                    0          0      10900
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              70114152    2121300                              1106980       5547    1008773
</TABLE>
<PAGE>   109
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 120

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 DYERSBURG CORPORATION COMMON             267575108      88000      32000               X                    0          0      32000
 DYNAMICS RESH CORP                       268057106     125725      21400               X                    0          0      21400
 ECC INTL CORP COM                        268255106      63750      25500               X                    0          0      25500
 EFTC CORP                                268443108     210115      41500               X                    0          0      41500
 EIS INTL INC                             268539103      38675      22100               X                    0          0      22100
 EMC CORPORATION                          268648102    1575900      18540   X                            17710        530        300
 EMC CORPORATION                          268648102    5797000      68200               X                 2300          0      65900
 EMC INS GROUP INC                        268664109     393975      30900               X                    0          0      30900
 ENSCO INTL INC COM                       26874Q100      10260        960   X                              860          0        100
 ENSCO INTL INC COM                       26874Q100      98330       9200               X                 1400          0       7800
 ESCO ELECTRONICS CORP COM                269030201     304517      33600               X                    0          0      33600
 E TOWN CORP COM                          269242103    1288600      27200               X                    0          0      27200
 EAGLE FOOD CENTERS                       269514105      88075      27100               X                    0          0      27100
 EAGLE GEOPHYSICAL INC                    269524104     101525      26200               X                    0          0      26200
 EAGLE HARDWARE & GARDEN INC. COM         26959B101    1053000      32400               X                    0          0      32400
 EAGLE POINT SOFTWARE                     269824108     103500      12000               X                    0          0      12000
 EASCO INC                                27033E103     221650      28600               X                    0          0      28600
 EASTERN UTILITIES ASSOCIATION            277173100     855975      30300               X                 3300          0      27000
 EASTMAN CHEMICAL CO COM                  277432100      46255       1034   X                              634          0        400
 EASTMAN CHEMICAL CO COM                  277432100     363639       8126               X                 2279          0       5847
 EASTMAN KODAK CO COM                     277461109     973242      13517   X                            13267        150        100
 EASTMAN KODAK CO COM                     277461109    4506480      62590               X                 8276        925      53389
 EATON CORP COM                           278058102      14138        200   X                              200          0          0
 EATON CORP COM                           278058102    1032045      14600               X                 3000          0      11600
 ECLIPSYS CORP                            278856109     217500       7500               X                    0          0       7500
 ECOLAB INC                               278865100     141567       3912   X                             3912          0          0
 ECOLAB INC                               278865100     343786       9500               X                    0          0       9500
 EDISON INTL COM                          281020107     330263      11848   X                            11848          0          0
 EDISON INTL COM                          281020107    1463577      52505               X                 2747          0      49758
 EDUCATION MANAGEMENT CORP                28139T101    1474200      62400               X                    0          0      62400
 EINSTEIN / NOAH BAGEL CORP               282577105      45000      36000               X                    0          0      36000
 EKCO GROUP INC                           282636109     184125      49100               X                    0          0      49100
 EL PASO ELECTRIC CO (NEW) COM            283677854        158         18   X                               18          0          0
 EL PASO ELECTRIC CO (NEW) COM            283677854     339500      38800               X                    0          0      38800
 EL PASO ENERGY CORP COM                  283905107     113073       3248   X                             3248          0          0
 EL PASO ENERGY CORP COM                  283905107     275997       7928               X                    0         28       7900
 ELANTEC SEMICONDUCTOR INC                284155108      84750      22600               X                    0          0      22600
 ELCOM INTL INC                           284434107      65117      33600               X                    0          0      33600
 ELDERTRUST                               284560109     147200      12800               X                    0          0      12800
 ELECTRIC LIGHTWAVE INC                   284895109     163760      20000               X                    0          0      20000
 ELECTRO SCIENTIFIC INDS INC COM          285229100    1255170      27700               X                    0          0      27700
 ELECTROGLAS INC                          285324109     545200      46400               X                    0          0      46400
 ELECTROMAGNETIC SCIENCES INC COM         285397105     263200      18800               X                    0          0      18800
 ELECTRONIC DATA SYS CORP COM             285661104    1839641      36655   X                            35735          0        920
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              28647155    1089081                               110734       1633     976714
</TABLE>
<PAGE>   110
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 121

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 COM             285661104    3208218      63924               X                21874       1350      40700
 ELFUN TAX EXEMPT INCOME FD               286279104     152854      12759   X                            12759          0          0
 ELFUN TRS UNIT CTF                       286281100     961873      15370   X                            15370          0          0
 ELLETT BROS INC                          288398100      53188      11500               X                    0          0      11500
 EMCON                                    290843101      66310      20800               X                    0          0      20800
 EMERSON ELEC CO COM                      291011104   14756797     243914   X                           230086         75      13753
 EMERSON ELEC CO COM                      291011104    5854646      96771               X                56571        700      39500
 EMMIS COMMUNICATIONS CORP COM            291525103    1032325      23800               X                    0          0      23800
 ENERGEN CORP                             29265N108     528450      27100               X                    0          0      27100
 ENGELHARD CORP                           292845104       3939        202   X                              202          0          0
 ENGELHARD CORP                           292845104     206700      10600               X                    0          0      10600
 ENGLE HOMES INC                          292896107     427233      27900               X                    0          0      27900
 ENDOCARDIAL SOLUTIONS INC                292962107     323000      32300               X                    0          0      32300
 ENRON CORP COM                           293561106     387115       6784   X                             6120          0        664
 ENRON CORP COM                           293561106    2837743      49730               X                 3470          0      46260
 ENTERGY CORP NEW COM                     29364G103      80271       2579   X                             2579          0          0
 ENTERGY CORP NEW COM                     29364G103    1055138      33900               X                    0          0      33900
 EQUIFAX INC                              294429105       6838        200   X                              200          0          0
 EQUIFAX INC                              294429105     936751      27400               X                 1200          0      26200
 EQUINOX SYS INC                          294436100     139200      11600               X                    0          0      11600
 EQUITABLE COS INC COM                    29444G107       9067        157   X                              157          0          0
 EQUITABLE COS INC COM                    29444G107     327862       5665               X                  465          0       5200
 EQUITY CORP INTL COM                     294644109     371882      14000               X                    0          0      14000
 EQUITY  INCOME  FD                       294700703     333000       1800               X                 1800          0          0
 ERICSSON L M TEL CO                      294821400    1918631      80150   X                            76320          0       3830
 ERICSSON L M TEL CO                      294821400     303534      12680               X                 6800       1400       4480
 ESKIMO PIE CORP COM                      296443104     152375      11500               X                    0          0      11500
 ETHYL CORP                               297659104     197438      35100               X                 1800          0      33300
 EVANS & SUTHERLAND COMPUTER CORP COM     299096107     431813      24500               X                    0          0      24500
 EVERGREEN FNDTN TR                       300233509     275911      13227   X                            13227          0          0
 EXABYTE CORP                             300615101     325600      59200               X                    0          0      59200
 EXAR CORP                                300645108     870750      54000               X                    0          0      54000
 EXCEL INDUSTRIES INC COM                 300657103     574000      32800               X                    0          0      32800
 EXCEL SWITCHING CORP                     30067V108    2253400      59300               X                    0          0      59300
 EXECUTONE INFORMATION SYS IN             301607107      21000      12000               X                    0          0      12000
 FCB FINL CORP                            301932109     424658      15200               X                    0          0      15200
 EXIDE CORP COM                           302051107     929175      57180               X                    0          0      57180
 EXODUS COMMUNICATIONS INC                302088109    2235900      34800               X                    0          0      34800
 EXTENDED STAY AMER INC COM               30224P101     583800      55600               X                    0          0      55600
 EXXON CORP COM                           302290101   40637389     555725   X                           465163         65      90497
 EXXON CORP COM                           302290101   25825044     353163               X               229653       4144     119366
 EZCORP INC                               302301106     226125      27000               X                    0          0      27000
 FEI CO COM                               30241L109     346175      45400               X                    0          0      45400
 FFY FINANCIAL CORP COM                   30242U108     432450      12400               X                    0          0      12400
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             113025568    2291680                              1145816       7734    1138130
</TABLE>
<PAGE>   111
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 122

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 F P L GROUP INC                          302571104     404753       6568   X                             6568          0          0
 F P L GROUP INC                          302571104     271150       4400               X                 2200          0       2200
 F S BANCORP                              30262T106      78144       1184   X                             1184          0          0
 F S BANCORP                              30262T106     365376       5536               X                 5536          0          0
 FSI INTL INC                             302633102     557138      53700               X                    0          0      53700
 FACTORY CARD OUTLET CORP                 303053102      27500      20000               X                    0          0      20000
 FAIRCHILD CORP CL A                      303698104     738675      46900               X                    0          0      46900
 FARREL CORP NEW                          311667109      20836      10100               X                    0          0      10100
 FASTENAL CO                              311900104     528000      12000   X                            12000          0          0
 FASTENAL CO                              311900104      30800        700               X                  700          0          0
 FDX CORP                                 31304N107      23189        260   X                              260          0          0
 FDX CORP                                 31304N107    1016119      11393               X                  593          0      10800
 FREDDIE MAC COM                          313400301    6586337     102212   X                            98207         90       3915
 FREDDIE MAC COM                          313400301     579298       8990               X                 8990          0          0
 FANNIE MAE COM                           313586109   18032616     243684   X                           234514        240       8930
 FANNIE MAE COM                           313586109    7077360      95640               X                38816        700      56124
 FEDERATED STK TR                         313900102    2254179      61205   X                            61205          0          0
 FEDERATED STK TR                         313900102     242955       6597               X                 6597          0          0
 FEDERATED SHORT-TERM MUNI TRUST          313907107     159556      15401   X                            15401          0          0
 FEDERATED GOVT INCOME SECS INC CL F      313912107     127420      14221   X                            14221          0          0
 FEDERATED MUN SECS FD INC CL A           313913105      85762       7797   X                             7797          0          0
 FEDERATED MUN SECS FD INC CL A           313913105      28156       2560               X                 2560          0          0
 FEDERATED EQUITY FD INC CL A             313915100     246724      12931   X                            12931          0          0
 FEDERATED DEPT STORES INC DEL COM        31410H101    1468073      33700               X                    0          0      33700
 FEDERATED FD U S GOVT                    314182106     129301      16326   X                            16326          0          0
 FEDERATED GNMA TRUST SH BEN INT          314184102    2393750     210532   X                           190805          0      19727
 FEDERATED GNMA TRUST SH BEN INT          314184102      95825       8428               X                 5430          0       2997
 FEDERATED INCOME TR                      314199100     160195      15418   X                            15418          0          0
 FEDERATED INCOME TR                      314199100      32042       3084               X                 2101          0        983
 FEDERATED INDEX TR                       31420E403     959008      37861   X                            37861          0          0
 FEDERATED US GOVT SEC 2-5 YR             31428P103     789085      72327   X                            72327          0          0
 FEDERATED US GOVT SEC 2-5 YR             31428P103      16362       1500               X                 1500          0          0
 FERROFLUIDICS CORP                       315414201      35650      12400               X                    0          0      12400
 FIBERMARK INC                            315646109     301113      22100               X                    0          0      22100
 FIDELITY FEDERAL BANCORP COM             315921106      95114      28182   X                            28182          0          0
 FIDELITY FEDERAL BANCORP COM             315921106      22275       6600               X                    0          0       6600
 FIDELITY SPARTAN MUNICIPAL INCOME        316089507     178705      13940   X                            13940          0          0
 FIDELITY SPARTAN MUNICIPAL INCOME        316089507     158515      12365               X                12365          0          0
 FIDELITY EXCHANGE FUND SHARES            316141100    8952894      36000               X                36000          0          0
 FIDELITY FINL TR                         316145101     183921       6135   X                             6135          0          0
 FIDELITY FINL TR                         316145101      22433        748               X                  748          0          0
 FIDELITY FD INC COM                      316153105     448817      12246               X                12246          0          0
 FIDELITY-MAGELLAN FD INC                 316184100     191957       1594   X                             1478          0        116
 FIDELITY-MAGELLAN FD INC                 316184100      52233        434               X                  434          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              56169311    1295899                               983576       1030     311292
</TABLE>
<PAGE>   112
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 123

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 GROWTH & INCOME FDS             316389204     919466      20067   X                            20067          0          0
 FIDELITY GROWTH & INCOME FDS             316389204      21115        461               X                  461          0          0
 FIDELITY SECS FD BLUE                    316389303     380172       7552   X                             7552          0          0
 FIDELITY SECS FD BLUE                    316389303      67184       1335               X                 1335          0          0
 FIDELITY SPARTAN MONEY MARKET            316413103     139036     139036               X               139036          0          0
 FIFTH THIRD BANCORP COM                  316773100    9871930     138431   X                           138006          0        425
 FIFTH THIRD BANCORP COM                  316773100     977987      13714               X                11681          0       2033
 FILENES BASEMENT CORP COM                316866102     137988      58100               X                    0          0      58100
 FINGERHUT COS INC                        317867109    1566957     101500               X                    0          0     101500
 FINISHMASTER INC                         31787P108     105000      15000               X                    0          0      15000
 FINISH LINE INC CL A                     317923100     407200      50900               X                 1000          0      49900
 FINOVA GROUP INC COM                     317928109      32363        600   X                              600          0          0
 FINOVA GROUP INC COM                     317928109     199571       3700               X                 1000          0       2700
 FIRST AMERN CORP TENN                    318900107     306188       6900               X                 1000          0       5900
 FIRST BELL BANCORP INC COM               319301107     274350      17700               X                    0          0      17700
 FIRST DATA CORP COM                      319963104     646106      20270   X                            14020          0       6250
 FIRST DATA CORP COM                      319963104    2170688      68100               X                 5600          0      62500
 FIRST DEFIANCE FINL CORP COM             32006W106     299250      21000               X                    0          0      21000
 FIRST ESSEX BANCORP INC                  320103104     273600      15200               X                    0          0      15200
 FIRST FED BANCSHARES ARK INC             32020F105     216050      11600               X                    0          0      11600
 FIRST FINL CORP IND COM                  320218100   31795525     643960               X                20376     623584          0
 FIRST INVS FINL SVCS GROUP I             32058A101      73576      14900               X                    0          0      14900
 FIRST NORTHN CAP CORP COM                335832101     266213      22900               X                    0          0      22900
 FIRST SVGS BANCORP INC N C               335939104     200250       9000               X                    0          0       9000
 FIRST REP BK SAN FRANCISCO               336158100     220554       8800               X                    0          0       8800
 FIRST TRUST GOVERNMENT NATIONAL          337335210       1500      15000   X                            15000          0          0
 FIRST TRUST GOVERNMENT NATIONAL          337335210       2000      20000               X                20000          0          0
 FIRST TR GNMA FD                         337335442       2365      19706               X                19706          0          0
 FIRST UNION CORP                         337358105    4936435      81174   X                            79524          0       1650
 FIRST UNION CORP                         337358105    4300513      70717               X                17517          0      53200
 FIRST WASH BANCORP INC WASH              33748T104     346320      14430               X                    0          0      14430
 FIRSTAR CORP NEW WIS                     33763V109     517452       5564               X                 5564          0          0
 FISCHER IMAGING CORP COM                 337719108      30813      14500               X                    0          0      14500
 FIRSTFED FINL CORP                       337907109    2086013     116700               X                    0          0     116700
 FLAGSTAR BANCORP INC                     337930101    1546600      59200               X                    0          0      59200
 FISHER SCIENTIFIC INTL INC               338032204     396766      19900               X                    0          0      19900
 FLAGSHIP TAX EXEMPT FDS TR               338418775     740409      68875               X                68875          0          0
 FLANDERS CORP                            338494107      74353      18300               X                    0          0      18300
 FLEET FINL GROUP INC NEW COM             338915101     252666       5654   X                             4714          0        940
 FLEET FINL GROUP INC NEW COM             338915101    2444434      54700               X                  500          0      54200
 FLEMING COS INC COM                      339130106    1031275      99400               X                    0          0      99400
 FLEXSTEEL INDS INC                       339382103     203425      15800               X                    0          0      15800
 FLORIDA PANTHERS HLDGS INC               341064103     836307      89800               X                    0          0      89800
 FLORIDA PROGRESS CORP                    341109106     232669       5192   X                             5192          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              71550634    2205338                               598326     623584     983428
</TABLE>
<PAGE>   113
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 124

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 FLORIDA PROGRESS CORP                    341109106     120995       2700               X                 2700          0          0
 FLORIDA ROCK INDS INC                    341140101     468100      15100               X                    0          0      15100
 FLORSHEIM GROUP INC COM                  343302105     108775      22900               X                    0          0      22900
 FLUOR CORP                               343861100      55250       1300   X                             1300          0          0
 FLUOR CORP                               343861100     265625       6250               X                  550          0       5700
 FLUSHING FINL CORP                       343873105     459368      29050               X                    0          0      29050
 FOCAL INC                                343909107     385963      40100               X                    0          0      40100
 FORCENERGY INC COM                       345206106     164588      62700               X                    0          0      62700
 FORD MTR CO DEL COM                      345370100    1458162      24846   X                            24846          0          0
 FORD MTR CO DEL COM                      345370100    7171263     122193               X                 4593          0     117600
 FOREST LABS INC CL A                     345838106     313809       5900               X                    0          0       5900
 FOREST OIL CORP COM NEW                  346091606     379950      44700               X                    0          0      44700
 FORT JAMES CORP                          347471104      91680       2292   X                             1892          0        400
 FORT JAMES CORP                          347471104    1445000      36125               X                 3825          0      32300
 FORT WAYNE METALS RESEARCH PRODUCTS      348992108    3400000       3400   X                             3400          0          0
 FORTUNE BRANDS INC                       349631101     288831       9133   X                             9133          0          0
 FORTUNE BRANDS INC                       349631101     686990      21723               X                 9123          0      12600
 FOSTER L B CO CL A                       350060109     190138      28700               X                    0          0      28700
 FOSTER WHEELER COM                       350244109    1074822      81500               X                    0          0      81500
 FOUNDERS FD INC                          350553202     891496      73133   X                            73133          0          0
 FOUR MEDIA CO                            350872107     196625      24200               X                    0          0      24200
 FRANKLIN COVEY CO                        353469109     963125      57500               X                    0          0      57500
 FRANKLIN CUSTODIAN FDS INC               353496300      37897      16058   X                            16058          0          0
 FRANKLIN CUSTODIAN FDS, INC              353496409     121660      10980   X                            10980          0          0
 FRANKLIN CUSTODIAN FDS, INC              353496409      38574       3481               X                 3481          0          0
 FRANKLIN CUSTODIAN FDS INC               353496607     327449      47388   X                            47388          0          0
 FRANKLIN CUSTODIAN FDS INC               353496607     186431      26980               X                26980          0          0
 FRANKLIN ELEC INC                        353514102   40085888     593865   X                           413956          0     179909
 FRANKLIN ELEC INC                        353514102     296055       4386               X                 3686          0        700
 FRANKLIN ELECTR PUBLISHERS INC COM       353515109     220900      18800               X                    0          0      18800
 FRANKLIN FED TAX FREE INCOME FD          353519101     746508      60251   X                            59459          0        792
 FRANKLIN FED TAX FREE INCOME FD          353519101     833247      67252               X                67252          0          0
 FRANKLIN RES INC COM                     354613101    6458240     201820   X                           167110         60      34650
 FRANKLIN RES INC COM                     354613101    1061056      33158               X                11458        950      20750
 FRANKLIN TAX FREE TR                     354723108     379179      30828   X                            30828          0          0
 FRANKLIN TAX FREE TR                     354723108      10724        872               X                  872          0          0
 FREDS INC                                356108100     475500      31700               X                    0          0      31700
 FREEPORT-MCMORAN COPPER & GOLD           35671D857       4008        384   X                              384          0          0
 FREEPORT-MCMORAN COPPER & GOLD           35671D857     206672      19800               X                    0          0      19800
 FREQUENCY ELECTRS INC                    358010106     219000      21900               X                    0          0      21900
 FRIEDMAN BILLINGS RAMSEY GRO             358433100     213850      32900               X                    0          0      32900
 FRIEDMAN'S INC CL A  COM                 358438109     353625      34500               X                    0          0      34500
 FRISCHS RESTAURANTS INCORPORATED         358748101        359         34   X                               34          0          0
 FRISCHS RESTAURANTS INCORPORATED         358748101     159501      15100               X                    0          0      15100
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              73016878    1987882                               994421       1010     992451
</TABLE>
<PAGE>   114
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 125

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 FRITZ COS INC COM                        358846103    1003446      92800               X                    0          0      92800
 FRONTIER CORP COM                        35906P105     877200      25800               X                 1000          0      24800
 FRONTIER INS GROUP INC COM NEW           359081106    1178063      91500               X                    0          0      91500
 FROZEN FOOD EXPRESS INDS INC COM         359360104     359100      45600               X                    0          0      45600
 FRUIT OF THE LOOM NC CLASS A             359416104     145037      10500               X                    0          0      10500
 GA FINL INC                              361437106     265050      17100               X                    0          0      17100
 GBC BANCORP CALIF                        361475106    1006825      39100               X                    0          0      39100
 GC COMPANIES INC COM                     36155Q109     362138       8700               X                    0          0       8700
 GEIGER & PETERS INC COMMON               3615909A2     220085        275               X                  275          0          0
 GP STRATEGIES CORP                       36225V104     462000      30800               X                    0          0      30800
 GPU INC COM                              36225X100      90585       2050   X                             2050          0          0
 GPU INC COM                              36225X100     435075       9846               X                 1246          0       8600
 GTE CORP COM                             362320103    9404475     144684   X                           140939         45       3700
 GTE CORP COM                             362320103   12023050     184970               X                26374        462     158134
 G-III APPAREL GROUP LTD                  36237H101      48375      12900               X                    0          0      12900
 GABELLI ASSET FUND SHARE                 362395105     323232       9113   X                             9113          0          0
 GABELLI GROWTH FUND SHARE                362398109     271174       7660   X                             7660          0          0
 GADZOOKS INC                             362553109     186775      24100               X                    0          0      24100
 GAINSCO INC COM                          363127101     234588      38300               X                    0          0      38300
 GALEY & LORD INC                         36352K103     262200      30400               X                    0          0      30400
 GALILEO ELECTRO OPTICS CORP COM          363544107      80400      20100               X                    0          0      20100
 GALLAHER GROUP PLC                       363595109     134146       4934   X                             4934          0          0
 GALLAHER GROUP PLC                       363595109     152878       5623               X                 5623          0          0
 GANNETT INC COM                          364730101    2354250      36500   X                            35900          0        600
 GANNETT INC COM                          364730101    4122840      63920               X                12820       1600      49500
 GAP INC COM                              364760108    5897784     105083   X                           100339        449       4295
 GAP INC COM                              364760108    4864803      86678               X                 8283          0      78395
 GARAN INCORPORATED COMMON                364802108     424688      15100               X                    0          0      15100
 GARDEN FRESH RESTAURANT CORP             365235100     198375      13800               X                    0          0      13800
 GASONICS INTL CORP                       367278108     299250      34200               X                    0          0      34200
 GATEWAY 2000 INC COM                     367833100     163802       3200   X                             3200          0          0
 GATEWAY 2000 INC COM                     367833100     624494      12200               X                  100          0      12100
 GEHL CO                                  368483103     275213      17900               X                    0          0      17900
 GENERAL CIGAR HLDGS INC                  36933P100     278885      32100               X                    0          0      32100
 GENERAL CHEM GROUP INC                   369332101     384338      27700               X                    0          0      27700
 GENERAL COMMUNICATION INC                369385109     474965     116900               X                    0          0     116900
 GENERAL DATACOMM INDS INC                369487103      83962      36300               X                    0          0      36300
 GENERAL ELEC CO COM                      369604103   91564482     897691   X                           853306         55      44330
 GENERAL ELEC CO COM                      369604103   57028209     559100               X               380928      39870     138302
 GENERAL INSTRUMENT CORP                  370120107     376712      11100               X                    0          0      11100
 GENERAL MILLS INC COM                    370334104    1217576      15660   X                            15260          0        400
 GENERAL MILLS INC COM                    370334104    2000041      25724               X                 5824          0      19900
 GENERAL MTRS CORP COM                    370442105    1863436      26039   X                            25706          0        333
 GENERAL MTRS CORP COM                    370442105    5576833      77929               X                18129          0      59800
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             209600835    3071679                              1659009      42481    1370189
</TABLE>
<PAGE>   115
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 126

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 MTRS CORP                        370442832     129145       3254   X                             3254          0          0
 GENERAL MTRS CORP                        370442832     822534      20725               X                 1525          0      19200
 GENERAL RE CORP                          370563108    3670014      18330   X                            18330          0          0
 GENERAL RE CORP                          370563108    1962146       9800               X                 4200          0       5600
 GENERAL RE CORP CL A                     370563991     771813       3700               X                    0          0       3700
 GENERAL SURGICAL INNOVATIONS             371013103     108000      28800               X                    0          0      28800
 GENESIS HEALTH VENTURES INC              371912106     821950      96700               X                    0          0      96700
 GENEVA STL CO                            372252106       9853      17500               X                    0          0      17500
 GENICOM CORP                             372282103      59247      26700               X                    0          0      26700
 GENSYM CORP                              37245R107      58438      18700               X                    0          0      18700
 GEON CO COM                              37246W105    2550700     110900               X                    0          0     110900
 GENUINE PARTS CO COM                     372460105    2926226      87512   X                            85712          0       1800
 GENUINE PARTS CO COM                     372460105    1394365      41700               X                 7425          0      34275
 GENZYME CORP COM                         372917104     283575       5700               X                    0          0       5700
 GEORGIA PAC CORP COM                     373298108      32210        550   X                              550          0          0
 GEORGIA PAC CORP COM                     373298108     931562      15907               X                  807          0      15100
 GETTY PETE MARKETING INC                 374292100     102830      35000               X                    0          0      35000
 GIANT INDS INC                           374508109     246563      26300               X                    0          0      26300
 GIBRALTAR STL CORP                       37476F103     546000      24000               X                    0          0      24000
 GIBSON GREETINGS INC COM                 374827103     528438      44500               X                    0          0      44500
 GILLETTE CO COM                          375766102   16066985     336038   X                           325964         74      10000
 GILLETTE CO COM                          375766102    7026264     146953               X                83337        600      63016
 GLAFELTER P H CO COM                     377316104    1019700      82400               X                    0          0      82400
 GLAXO WELLCOME PLC                       37733W105    2730030      39281   X                            37831          0       1450
 GLAXO WELLCOME PLC                       37733W105    1194010      17180               X                14680          0       2500
 GLEASON CORP                             377339106     465813      25700               X                    0          0      25700
 GLENAYRE TECH INC COM                    377899109     713630     160800               X                    0          0     160800
 GLOBAL DIRECTMAIL CORP                   379321102     222063       9500               X                    0          0       9500
 GLOBAL INDL TECHNOLOGIES INC COM         379335102     614560      57500               X                    0          0      57500
 GLOBAL MARINE INC                        379352404         90         10   X                               10          0          0
 GLOBAL MARINE INC                        379352404     106200      11800               X                  400          0      11400
 GOLDEN WEST FINL CORP DEL COM            381317106     892674       9736   X                             8798         40        898
 GOLDEN WEST FINL CORP DEL COM            381317106     798602       8710               X                 1510          0       7200
 GOOD GUYS INC COM                        382091106     224686      34900               X                    0          0      34900
 GOODYEAR TIRE & RUBR CO COM              382550101      38081        755   X                              755          0          0
 GOODYEAR TIRE & RUBR CO COM              382550101    1522370      30183               X                  383          0      29800
 GOTTSCHALKS INC                          383485109     237138      31100               X                    0          0      31100
 GOVERNMENT SECS INCOME FD                383743523       2104      42075   X                            42075          0          0
 GOVERNMENT SECS INCOME FD                383743523       5043     100862               X               100862          0          0
 GOVERNMENT TECHNOLOGY SVCS I             383750106     129134      28500               X                    0          0      28500
 GRADCO SYS INC                           384111100      30188      11500               X                    0          0      11500
 GRAHAM FIELD HEALTH PRODS IN             384632105     344250     102000               X                    0          0     102000
 GRAINGER W W INC COM                     384802104     361305       8680   X                             8680          0          0
 GRAINGER W W INC COM                     384802104     653513      15700               X                    0          0      15700
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              53354042    1948141                               747088        714    1200339
</TABLE>
<PAGE>   116
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   127
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

GRAND CASINOS                            385269105       8063       1000   X                              500          0        500
GRAND CASINOS                            385269105     882092     109400               X                    0          0     109400
GREAT LAKES CHEM CORP                    390568103      50000       1250   X                             1250          0          0
GREAT LAKES CHEM CORP                    390568103     172000       4300               X                    0          0       4300
GREENBRAIR CORP                          393648100      46903      18300               X                    0          0      18300
GREENBRIER COS INC                       393657101     185038      13100               X                    0          0      13100
GREY WOLF INC                            397888108      21000      28000               X                    0          0      28000
GRIFFON CORP COM                         398433102     740563      69700               X                    0          0      69700
GROWTH FUND OF AMERICA INCORPORATED      399874106     844127      37684   X                            37684          0          0
GROWTH FUND OF AMERICA INCORPORATED      399874106     160760       7177               X                 7177          0          0
GUARANTEE LIFE COS INC                   400740106     404484      21864               X                  664          0      21200
GUEST SUPPLY INC COM                     401630108     216078      18100               X                    0          0      18100
GUIDANT CORP COM                         401698105    1788930      16263   X                            14213         30       2020
GUIDANT CORP COM                         401698105     910470       8277               X                 7449        300        528
GUILFORD MILLS INCORPORATED              401794102     987095      59150               X                    0          0      59150
GULFMARK OFFSHORE INC                    402629109     198513      12604               X                  104          0      12500
GUNDLE/SLT ENVIRONMENTAL INC COM         402809107      99200      24800               X                    0          0      24800
HCIA INC COM                             403908106     139400      32800               X                    0          0      32800
H F BANCORP INC COM                      403910102     262002      15700               X                    0          0      15700
HMT TECHNOLOGY CORP COM                  403917107    1563186     122000               X                    0          0     122000
HBO & CO COM                             404100109    1498489      52234   X                            46369        150       5715
HBO & CO COM                             404100109     999346      34835               X                 3125          0      31710
HCR MANOR CARE INC COM                   404134108      82456       2807   X                             2807          0          0
HCR MANOR CARE INC COM                   404134108     666813      22700               X                 3550          0      19150
HF FINL CORP                             404172108     226300      12400               X                    0          0      12400
HMN FINL INC                             40424G108     173900      14800               X                    0          0      14800
HNC SOFTWARE INC COM                     40425P107    1888455      46700               X                    0          0      46700
HS RESOURCES INC                         404297103     372100      49200               X                    0          0      49200
HA-LO INDUSTRIES INC COM                 404429102    1542625      41000               X                    0          0      41000
HADCO CORP COM                           404681108    1144500      32700               X                    0          0      32700
HAEMONETICS CORP COM                     405024100     721175      31700               X                    0          0      31700
HAGGAR CORP COM                          405173105     235623      20600               X                    0          0      20600
HALLIBURTON CO COM                       406216101    3261209     110083   X                           106783        410       2890
HALLIBURTON CO COM                       406216101    1436072      48475               X                13275        400      34800
HAMILTON BANCORP INC FLA                 407013101     285562      10700               X                    0          0      10700
HAMPTON INDS INC                         409189107      70543      11400               X                    0          0      11400
JOHN HANCOCK FUNDS                       41013Y104     476725      43537               X                43537          0          0
JOHN HANCOCK FUNDS                       41013Y203     123414      11271   X                            11271          0          0
HANDLEMAN CO DEL                         410252100    1148850      82800               X                    0          0      82800
HANNA M A CO                             410522106     886536      72000               X                    0          0      72000
HANNAFORD BROS CO                        410550107     201400       3800               X                    0          0       3800
HARBOR FD BD FD                          411511108    1019792      90407   X                            90407          0          0
HARBOR FD BD FD                          411511108      61146       5421               X                 5421          0          0
HARBOR FD CAP APPRECIATION FD            411511504    4482209     117984   X                           117028          0        956
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              32685144    1591023                               512614       1290    1077119
</TABLE>
<PAGE>   117
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   128
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

HARBOR FD CAP APPRECIATION FD            411511504     120093       3161               X                 2994          0        168
HARCOURT GENERAL INC COM                 41163G101     276578       5200               X                    0          0       5200
HARDING LAWSON ASSOCIATES GROUP          412293102      69825      11400               X                    0          0      11400
HARDINGE INC                             412324303     477544      25900               X                    0          0      25900
HARLEY DAVIDSON INC COM                  412822108    2502111      52815   X                            42825        315       9675
HARLEY DAVIDSON INC COM                  412822108     528942      11165               X                10740        350         75
HARLEYSVILLE GROUP INC COM               412824104     970569      37600               X                    0          0      37600
HARMAN INTL INDUS INC COM                413086109     632875      16600               X                    0          0      16600
HARNISCHFEGNER INDS INC                  413345109     473742      46500               X                    0          0      46500
HARRIS ASSOC INVT TR OAKMARK FD          413838103    1040055      29036   X                            27301          0       1734
HARRIS ASSOC INVT TR OAKMARK FD          413838103     202131       5643               X                 3078          0       2565
HARRIS CORP DEL COM                      413875105     476125      13000               X                    0          0      13000
HARTFORD FINL SVCS GROUP INC COM         416515104     308891       5629   X                             5629          0          0
HARTFORD FINL SVCS GROUP INC COM         416515104    1184093      21578               X                 4478          0      17100
HARTMARX CORP                            417119104     648563     115300               X                    0          0     115300
HARVEY ENTMT CO                          417662103      77500      10000               X                    0          0      10000
HASBRO INC COM                           418056107      81281       2250   X                             2250          0          0
HASBRO INC COM                           418056107     903125      25000               X                    0          0      25000
HASKEL INTL INC                          418106100     118955      10400               X                    0          0      10400
HAUSER CHEM RESH INC                     419141304     130921      29500               X                    0          0      29500
HAVEN BANCORP INC                        419352109     327000      21800               X                    0          0      21800
HAVERTY FURNITURE INC                    419596101     252000      12000               X                    0          0      12000
HAWAIIAN AIRLS INC NEW                   419849104     152750      47000               X                    0          0      47000
HEALTHCARE SVC GRP                       421906108     130031      14250               X                    0          0      14250
HEALTHSOUTH CORP COM                     421924101     167116      10825   X                            10175          0        650
HEALTHSOUTH CORP COM                     421924101     631414      40900               X                 6300          0      34600
HEALTH RISK MGMT INC                     421935107     100755      10400               X                    0          0      10400
HEALTHPLAN SVCS CORP                     421959107     410550      35700               X                    0          0      35700
HEALTH MGMT SYSTEMS INC COM              42219M100     418950      53200               X                    0          0      53200
HEILIG-MEYERS CO COM                     422893107     579181      86600               X                    0          0      86600
HEINZ H J CO COM                         423074103   10507181     185557   X                           181257          0       4300
HEINZ H J CO COM                         423074103    4712389      83221               X                52521          0      30700
HELLER FINANCIAL INC                     423328103     416488      14300               X                    0          0      14300
HELLO DIRECT INC                         423402106     115725      11500               X                    0          0      11500
HERSHEY FOODS CORP COM                   427866108      92660       1490   X                             1290          0        200
HERSHEY FOODS CORP COM                   427866108    1256198      20200               X                 1100          0      19100
HEWLETT PACKARD CO COM                   428236103   18706695     273838   X                           256938          0      16900
HEWLETT PACKARD CO COM                   428236103    9854287     144252               X                41918        450     101884
HIGHLAND INSURANCE GROUP COM             431032101     474187      36300               X                    0          0      36300
HILLENBRAND IND INC                      431573104   31825203     559564   X                           558364          0       1200
HILLENBRAND IND INC                      431573104     713838      12551               X                 6951       5200        400
HILTON HOTELS CORP                       432848109     870188      45500               X                    0          0      45500
HIRSCH INTL CORP CL A                    433550100      52848      17800               X                    0          0      17800
HOENIG GROUP INC                         434396107      86275      11900               X                    0          0      11900
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              94077828    2228325                              1216109       6315    1005901
</TABLE>
<PAGE>   118
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   129
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

HOLLYWOOD ENTERTAINMENT                  436141105    1964725      72100               X                    0          0      72100
HOLLYWOOD PK INC NEW                     436255103     549489      66100               X                    0          0      66100
HOLOGIC INC COM                          436440101     398913      32900               X                    0          0      32900
HOME FEDERAL BANCORP INDIANA             436926109     243971      10965   X                            10965          0          0
HOME DEPOT INC COM                       437076102   17689206     289096   X                           278761        650       9685
HOME DEPOT INC COM                       437076102    4935975      80669               X                52795          0      27874
HOME PRODS INTL INC                      437305105     196772      19800               X                    0          0      19800
HOMEBASE INC                             43738E108     622838      97700               X                    0          0      97700
HOMEGOLD FINL INC                        43740E104       7750      15500               X                    0          0      15500
HOMESTAKE MNG CO                         437614100     182500      20000               X                 4600          0      15400
HOMESTEAD VLG PPTYS INC                  437851108     338850      75300               X                    0          0      75300
HONEYWELL INC COM                        438506107     116735       1550   X                             1550          0          0
HONEYWELL INC COM                        438506107     700411       9300               X                    0          0       9300
HORIZON FINL CORP WASH                   44041F105     251238      19900               X                    0          0      19900
HOUSEHOLD INTL INC                       441815107     189764       4789   X                             4789          0          0
HOUSEHOLD INTL INC                       441815107    2488450      62800               X                    0          0      62800
HOUSTON EXPLORATION CO COM               442120101    1327650      66800               X                    0          0      66800
HOUSTON INDS INC COM                     442161105     128252       4000   X                             4000          0          0
HOUSTON INDS INC COM                     442161105     221331       6903               X                 6903          0          0
HOVNANIAN ENTERPRISES INC CL A           442487203     332925      38600               X                    0          0      38600
HOWELL CORP                              443051107      30945      15000               X                    0          0      15000
HUB GROUP INC COM                        443320106     311938      16100               X                    0          0      16100
HUBBELL INC CL B                         443510201     277400       7300   X                             7300          0          0
HUBBELL INC CL B                         443510201      34960        920               X                  570        350          0
HUDSON GEN CORP COM                      443784103     371700       5900               X                    0          0       5900
HUFFY CORP                               444356109     285450      17300               X                    0          0      17300
HUGHES SUPPLY INC COM                    444482103     693225      23700               X                    0          0      23700
HULMAN & COMPANY COMMON                  444839906   16351102      40454               X                30087      10367          0
HUMANA INC COM                           444859102      22801       1280   X                             1280          0          0
HUMANA INC COM                           444859102     662644      37200               X                    0          0      37200
HUMAN GENOME SCIENCES INC COM            444903108    2471629      69500               X                    0          0      69500
HUNT J B TRANS SVCS INC                  445658107    1179900      51300               X                    0          0      51300
HUNTCO INC CL A                          445661101      49600      12800               X                    0          0      12800
HUNTINGTON BANCSHARES INC COM            446150104     209870       6981   X                             6981          0          0
HUNTINGTON BANCSHARES INC COM            446150104     415801      13831               X                 1431          0      12400
HURCO CO                                 447324104      84525      16100               X                    0          0      16100
HUTCHINSON TECHNOLOGY INC COM            448407106    2988938      83900               X                    0          0      83900
ICAP FDS INC                             448926204     623034      16128   X                                0          0      16128
ICAP FDS INC                             448926204      14251        369               X                  369          0          0
ICT GROUP INC                            44929Y101      48441      18900               X                    0          0      18900
IDEC PHARMACEUTICALS CORP                449370105    1099800      23400               X                    0          0      23400
IDS EQUITY PLUS FD INC COM               44943G102     150544      10248   X                            10248          0          0
IDS FED INC FD                           44943K103      72103      14306   X                            14306          0          0
IDS EXTRA INCOME FUND INC                449433101      54674      13947   X                            13947          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              61393020    1511636                               450882      11367    1049387
</TABLE>
<PAGE>   119
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   130
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

IDS HIGH YIELD TAX EXEMPT FD INC COM     449440106     328680      70381   X                            70381          0          0
IDS HIGH YIELD TAX EXEMPT FD INC COM     449440106     193592      41454               X                41454          0          0
IDS NEW DIMENSIONS FD INC                449444108     581090      20156   X                            20156          0          0
IDS TAX EXEMPT BD FD INC CL A            449482108     132883      31866   X                            31866          0          0
IDS TAX EXEMPT BD FD INC CL A            449482108      67500      16187               X                16187          0          0
IEC ELECTRS CORP NEW                     44949L105      76725      18600               X                    0          0      18600
IDX SYS CORP COM                         449491109     642400      14600               X                    0          0      14600
IFR SYSTEM INCORPORATED COMMON           449507102     102213      22100               X                    0          0      22100
IMCO RECYCLING INC COM                   449681105     646852      41900               X                    0          0      41900
IMC MTG CO                               449923101      15034      53500               X                    0          0      53500
IMS HEALTH INC                           449934108     113157       1500   X                             1500          0          0
IMS HEALTH INC                           449934108    1142659      15147               X                 2947          0      12200
ISB FINL CORP LA                         450091103     369488      16700               X                    0          0      16700
ITC DELTACOM INC                         45031T104     222650      14600               X                    0          0      14600
ITEQ INC                                 450430103     155125      73000               X                    0          0      73000
ITLA CAP CORP                            450565106     347875      23000               X                    0          0      23000
ITT EDUCATIONAL SERVICES INC             45068B109    1373600      40400               X                    0          0      40400
ITT INDUSTRIES INC COM                   450911102      80931       2036   X                             2036          0          0
ITT INDUSTRIES INC COM                   450911102     840236      21138               X                 1838          0      19300
IDEX CORP                                45167R104    1026550      41900               X                    0          0      41900
IKOS SYS INC COM NEW                     451716203      49300      13600               X                    0          0      13600
ILLINOIS TOOL WORKS INC COM              452308109    3889364      67058   X                            64763        220       2075
ILLINOIS TOOL WORKS INC COM              452308109    3409530      58785               X                18045        700      40040
IMATION CORP COM                         45245A107     673540      38488               X                  688          0      37800
IMAX CORP                                45245E109    2631200      83200               X                    0          0      83200
IMMUNEX CORP NEW                         452528102     364858       2900               X                    0          0       2900
IMPERIAL CREDIT INDUSTRY                 452729106     299825      35800               X                    0          0      35800
IMPERIAL HOLLY CORP                      452835101     550063      67700               X                    0          0      67700
IN FOCUS SYSTEMS INC                     452919103     536938      60500               X                    0          0      60500
INACOM CORP                              45323G109     636650      42800               X                    0          0      42800
INCO LTD COM                             453258402     130767      12528               X                  428          0      12100
INCOME FD AMER INC COM                   453320103     609620      35157   X                            35157          0          0
INCOME FD AMER INC COM                   453320103      45533       2626               X                 2626          0          0
INCYTE PHARMACEUTICALS INC COM           45337C102     885788      23700               X                    0          0      23700
INDIANA ENERGY INC                       454707100    2938070     119313   X                            57209          9      62094
INDIANA ENERGY INC                       454707100   18115377     735650               X                72816     490709     172125
INDUSTRIAL DISTR GROUP INC               456061100     114375      15000               X                    0          0      15000
INFORMATION STORAGE                      456753102     112571      15200               X                    0          0      15200
INGERSOLL RAND CO COM                    456866102       8836        187   X                              187          0          0
INGERSOLL RAND CO COM                    456866102     614250      13000               X                  900          0      12100
INFORMATION RESOURCES INC COM            456905108     612299      60100               X                    0          0      60100
INGLES MARKETS INC                       457030104     231886      21200               X                    0          0      21200
INNOVATIVE GAMING CORP AMER              45764F107      11400      11400               X                    0          0      11400
INPUT/OUTPUT INC COM                     457652105    1122546     153500               X                    0          0     153500
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              47053826    2269557                               441184     491638    1336734
</TABLE>
<PAGE>   120
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   131
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

INSO CORP COM                            457674109     512500      20500               X                    0          0      20500
INSTEEL INDUSTRIES INC                   45774W108     108713      22300               X                    0          0      22300
INSTRON CORP                             457776102     350175      20300               X                    0          0      20300
INSURANCE AUTO AUCTION INC COM           457875102     328938      27700               X                    0          0      27700
INTEGRATED MEASUREMENT SYS I             457923100     145500      19400               X                    0          0      19400
INTEGRATED DEVICE TECHNOLOGY             458118106    1836275     299800               X                    0          0     299800
INTEGRATED PROCESS EQUIPMENT             45812K108     475150      44200               X                    0          0      44200
INTERGRATED SILICON SOLUTION COM         45812P107     274375      87800               X                    0          0      87800
INTEL CORP                               458140100   34395482     290103   X                           259668        340      30095
INTEL CORP                               458140100   22697701     191440               X                76508       1575     113357
INTERCARGO CORP                          45844C108     182000      16000               X                    0          0      16000
INTERFACE INC                            458665106     840859      90600               X                    0          0      90600
INTERGRAPH CORP                          458683109     677925     117900               X                    0          0     117900
INTERLINK COMPUTER SCIENCES              458747102      82650      22800               X                    0          0      22800
INTERMAGNETICS GEN CORP                  458771102       1335        218   X                              218          0          0
INTERMAGNETICS GEN CORP                  458771102     187548      30620               X                    0          0      30620
INTERMEDIA COMMUNICATIONS INC COM        458801107     293250      17000               X                    0          0      17000
INTERMEDIATE MUN TR                      458810108     796797      74052   X                            71870          0       2182
INTERMEDIATE MUN TR                      458810108      60336       5607               X                 5607          0          0
INTERNATIONAL ALUM CORP                  458884103     298586      10100               X                    0          0      10100
INTERNATIONAL BUSINESS MACHS CORP        459200101   14370751      77943   X                            72087         15       5841
INTERNATIONAL BUSINESS MACHS CORP        459200101   17347844      94090               X                40259        700      53131
INTERNATIONAL FLAVORS &                  459506101     150239       3400   X                             3300          0        100
INTERNATIONAL FLAVORS &                  459506101     424205       9600               X                 1700          0       7900
INTERNATIONAL GAME TECHNOLOGY COM        459902102     262580      10800               X                    0          0      10800
INTERNATIONAL MULTIFOODS CORP COM        460043102    1166748      45200               X                    0          0      45200
INTERNATIONAL PAPER CO COM               460146103      47098       1051   X                             1051          0          0
INTERNATIONAL PAPER CO COM               460146103    1511094      33720               X                  920          0      32800
INTERNATIONAL RECTIFIER CORP COM         460254105    1220700     125200               X                    0          0     125200
INTERNATIONAL SHIPHOLDING CO             460321201     216494      13800               X                    0          0      13800
INTERPHASE CORP                          460593106      95900      13700               X                    0          0      13700
INTERPOOL INC                            46062R108    1139000      68000               X                    0          0      68000
INTERPUBLIC GROUP COMPANIES INC          460690100    4864750      61000   X                            57925          0       3075
INTERPUBLIC GROUP COMPANIES INC          460690100    1061871      13315               X                11090       1250        975
INVESTMENT TR                            460965882     566548      21534   X                            21534          0          0
INVESTMENT TR                            460965882      65798       2501               X                 1966          0        535
INTERTAN INCORPORATED COMMON             461120107     180203      31000               X                    0          0      31000
INVESTMENT CO AMER COM                   461308108    1451490      46717   X                            46717          0          0
INVESTMENT CO AMER COM                   461308108     326113      10496               X                 1913          0       8584
INVESTMENT SER FDS INC                   461444507     216476      21844   X                            21844          0          0
INVESTORS FINL SERVICES CORP             461915100     244463       4100               X                    0          0       4100
IONICS INC COM                           462218108    1221470      40800               X                    0          0      40800
IPALCO ENTR INC                          462613100    4780934      86239   X                            85164          0       1075
IPALCO ENTR INC                          462613100    2461891      44408               X                36175       1050       7183
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             119940755    2288898                               817516       4930    1466453
</TABLE>
<PAGE>   121
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   132
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

IRIDEX CORP                              462684101      64600      15200               X                    0          0      15200
IRWIN FINL CORP COM                      464119106    1508934      55500   X                            55500          0          0
IRWIN FINL CORP COM                      464119106     290912      10700               X                    0          0      10700
ISLE OF CAPRIS CASINOS INC               464592104     175430      44200               X                    0          0      44200
ISOLYSER INC COM                         464888106      51981      48900               X                    0          0      48900
IVEX PACKAGING CORP COM                  465855104     778875      33500               X                    0          0      33500
J & J SNACK FOODS CORP COM               466032109     246125      11000               X                    0          0      11000
J ALEXANDER CORP                         466096104      54000      13500               X                    0          0      13500
JSB FINL INC                             46624M100     821063      15100               X                    0          0      15100
JACKPOT ENTERPRISES INC CPM              466392107     199142      21100               X                    0          0      21100
JACO ELECTRS INC COM                     469783104      42800      10700               X                    0          0      10700
JACOBSON STORES INC                      469834105      91700      13100               X                    0          0      13100
JAN BELL MKTG INC                        470760109     466111      72400               X                    0          0      72400
JANUS FUND, INC.                         471023DV0     656024      25666   X                            25666          0          0
JANUS FD INC COM                         471023101    3441546     102275   X                            99121          0       3154
JANUS FD INC COM                         471023101     340737      10126               X                 8939          0       1187
JANUS INVT FD                            471023309    1215029      25655   X                            24402          0       1253
JANUS INVT FD                            471023309     691938      14610               X                12580          0       2030
JANUS INVT FUND                          471023853     578678      24002   X                            24002          0          0
JANUS INVT FUND                          471023853      53646       2225               X                 2225          0          0
JASON INC                                471171108     164150      19600               X                    0          0      19600
JEAN PHILIPPE FRAGRANCES INC             472154301     118213      19300               X                    0          0      19300
JOHNSON & JOHNSON COM                    478160104   24050150     286738   X                           268572        135      18031
JOHNSON & JOHNSON COM                    478160104   22825323     272135               X               110620       1500     160015
JOHNSON CTLS INC COM                     478366107     814200      13800               X                    0          0      13800
JOHNSON WORLDWIDE ASSOCIATION            479254104     160025      17300               X                    0          0      17300
JOHNSTON INDS DEL                        479368102      80313      25700               X                    0          0      25700
JOHNSTOWN AMERICA CORP                   479477101     317625      24200               X                    0          0      24200
JOS A BANK CLOTHIERS INC                 480838101     124000      15500               X                    0          0      15500
JOURNAL REGISTER CO                      481138105     297000      19800               X                    0          0      19800
JUSTIN INDUST INC                        482171105     770438      58700               X                    0          0      58700
KBK CAPITAL CORP                         482412103     121875      13000               X                    0          0      13000
KCS ENERGY INC                           482434206     224100      74700               X                    0          0      74700
KLA-TENCOR CORP COM                      482480100     277600       6400               X                    0          0       6400
KLLM TRANS SVCS INC                      482498102      80388      10900               X                    0          0      10900
K MART CORP COM                          482584109      27563       1800   X                             1400          0        400
K MART CORP COM                          482584109    1226571      80100               X                    0          0      80100
K2 INC                                   482732104     443459      43000               X                    0          0      43000
KAISER ALUMINUM CORPORATION              483007100     526500     108000               X                    0          0     108000
KAISER VENTURES INC                      483100103     188386      22000               X                    0          0      22000
KAMAN CORP CL A                          483548103     452977      28200               X                    0          0      28200
KATY INDS INC COM                        486026107     353016      20100               X                    0          0      20100
KELLOGG CO COM                           487836108    1082104      31710   X                            28710          0       3000
KELLOGG CO COM                           487836108    1772214      51933               X                19090       1043      31800
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              68267461    1834075                               680827       2678    1150570
</TABLE>
<PAGE>   122
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   133
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

KELLWOOD CO                              488044108     745000      29800               X                    0          0      29800
KEMET CORP COM                           488360108     897750      79800               X                    0          0      79800
KEMPER INTER GOVT TR                     488413105      74874       9900   X                             5900          0       4000
KEMPER INTER GOVT TR                     488413105       6022        796               X                  796          0          0
KEMPER MUN BD FD INC                     488419201     328368      32067   X                            32067          0          0
KEMPER MUN BD FD INC                     488419201      44841       4379               X                    0          0       4379
KEMPER TOTAL RETURN FUND                 488436106     218204      20393   X                            20393          0          0
KEMPER U S GOVT SECS FD                  488438102     198882      22626   X                            22626          0          0
KEMPER U S GOVT SECS FD                  488438102     275164      31304               X                31304          0          0
KELTSCH BROTHERS INC.                    488990102     826593      24312   X                            24312          0          0
KENNAMETAL INC                           489170100     357000      16800               X                    0          0      16800
KENSEY NASH CORP COM                     490057106     944177     117100               X                    0          0     117100
KENT ELECTRS CORP COM                    490553104     884850      69400               X                    0          0      69400
KENT REALTY CORPORATION COMMON           4907159A9     200000        400   X                              400          0          0
KEY PRODUCTION INC COM                   493138101        152         29   X                               29          0          0
KEY PRODUCTION INC COM                   493138101     139125      26500               X                    0          0      26500
KEY TECHNOLOGY INC                       493143101      91438      13300               X                    0          0      13300
KEY TRONCI CORP                          493144109      96469      25300               X                    0          0      25300
KEYCORP NEW COM                          493267108    1803392      56356   X                            55754          0        602
KEYCORP NEW COM                          493267108    2191296      68478               X                14078          0      54400
KEYSTONE CONSOLIDATED INDUSTRIES         493422109     197438      24300               X                    0          0      24300
KIMBALL INT'L CL B                       494274103    1254000      66000               X                    0          0      66000
KIMBERLY CLARK CORP COM                  494368103     965740      17720   X                            17620          0        100
KIMBERLY CLARK CORP COM                  494368103    5055202      92756               X                18672          0      74084
KINNARD INVTS INC                        497059105      74100      15600               X                    0          0      15600
KLAMATH FIRST BANCORP INC                49842P103     478563      24700               X                    0          0      24700
KNIGHT RIDDER INC                        499040103     153375       3000   X                             3000          0          0
KNIGHT RIDDER INC                        499040103     685075      13400               X                    0          0      13400
KOHLS CORP COM                           500255104    1162714      18925   X                            16955         45       1925
KOHLS CORP COM                           500255104     519765       8460               X                 8460          0          0
KOMAG INC COM                            500453105    1382988     133300               X                    0          0     133300
KOS PHARMACEUTICALS INC                  500648100     261438      44500               X                    0          0      44500
KROGER CO COM                            501044101     763510      12620               X                  920          0      11700
KULICKE & SOFFA INDS INC                 501242101    1047250      59000               X                    0          0      59000
L C S INDS INC                           501822209     252664      14700               X                    0          0      14700
L G & E ENERGY CORP COM                  501917108     304421      10752   X                            10752          0          0
L G & E ENERGY CORP COM                  501917108      12939        457               X                  457          0          0
LTV CORP NEW COM                         501921100     616400     107200               X                    0          0     107200
LNR PPTY CORP                            501940100     328977      16500               X                    0          0      16500
LSI LOGIC CORP COM                       502161102     204788      12700               X                 2400          0      10300
LTX CORP COM                             502392103     154293      60200               X                    0          0      60200
L-3 COMMUNICATIONS HLDGS INC             502424104     838134      18000               X                    0          0      18000
LABORATORY CORP OF AMERICA HLDGS         50540R102      61188      44500               X                    0          0      44500
LACLEDE GAS COMPANY COMMON               505588103      29425       1100   X                             1100          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              27127984    1469430                               287995         45    1181390
</TABLE>
<PAGE>   123
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   134
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

LACLEDE GAS COMPANY COMMON               505588103     575125      21500               X                    0          0      21500
LADD FURNITURE INC                       505739201     312428      19300               X                    0          0      19300
LAIDLAW INC                              50730K503     243525      24200               X                    0          0      24200
LAKE MEDICAL GROUP, INC                  510990104     463500     716500               X               716500          0          0
LAKELAND FINANCIAL CORP                  511656100    1446404      78184   X                            78184          0          0
LAKELAND FINANCIAL CORP                  511656100     619528      33488               X                31988          0       1500
LAKESIDE DAIRY FARMS INC                 511991101    1247000      12233   X                            12233          0          0
LAM RESH CORP COM                        512807108    1779519      99900               X                    0          0      99900
LAMSON & SESSIONS CO                     513696104     179888      35100               X                    0          0      35100
LANDRY'S SEAFOOD RESTAURANTS INC COM     51508L103     594975      79330               X                  330          0      79000
LARSCOM INC                              51729Y108      16841      11000               X                    0          0      11000
LASALLE HOTEL PROPERTIES REIT            517942108     257300      24800               X                    0          0      24800
LATTICE SEMICONDUCTOR COM                518415104    1317502      28700               X                    0          0      28700
LAWSON PRODUCTS INC COM                  520776105     312800      13600               X                    0          0      13600
LAYNE CHRISTENSEN CO                     521050104     211663      28700               X                    0          0      28700
LAZARE KAPLAN INTL INC                   521078105      77000      11000               X                    0          0      11000
LEAP GROUP INC                           521862102      93005      34600               X                    0          0      34600
LEAR CORP COM                            521865105     365750       9500               X                    0          0       9500
LEASING SOLUTION INC                     522113109      47943      11800               X                    0          0      11800
LECHTERS                                 523238103     111846      45300               X                    0          0      45300
LEGATO SYS INC COM                       524651106    1173696      17800               X                    0          0      17800
LEGGETT & PLATT INC                      524660107     508200      23100               X                    0          0      23100
LEHMAN BROTHERS HLDGS INC COM            524908100        881         20   X                               20          0          0
LEHMAN BROTHERS HLDGS INC COM            524908100     757884      17200               X                 1000          0      16200
LESCO INC OHIO COM                       526872106     251063      19500               X                    0          0      19500
LEXINGTON GOLDFUND INC                   528901101      74742      24667   X                            24667          0          0
LIBERTY TAX CR PLUS L P                  531280105          0      10006   X                            10006          0          0
LIFE USA HLDG INC NEW                    531918209     818850      63600               X                    0          0      63600
LIGAND PHARMACEUTICAL INC CL B           53220K207    1299675     111800               X                    0          0     111800
LILLIAN VERNON CORP                      532430105     405900      24600               X                    0          0      24600
LILLY ELI & CO COM                       532457108  457587424    5148663   X                          3924678        175    1223810
LILLY ELI & CO COM                       532457108  181734792   13296594               X             12837920      13856     444818
LIMITED INC COM                          532716107     789288      27100               X                    0          0      27100
LINCOLN ELEC HLDGS INC                   533900106      53400       2400   X                             2400          0          0
LINCOLN ELEC HLDGS INC                   533900106     999025      44900               X                    0          0      44900
LINCOLN NATIONAL CORP IND COM            534187109   63992411     782179   X                           780246          0       1933
LINCOLN NATIONAL CORP IND COM            534187109   32308363     394905               X               340104       7016      47785
LINCOLN NATIONAL INCOME FUND             534217104     119137       8416   X                             8416          0          0
LINCOLN NATIONAL INCOME FUND             534217104     157103      11098               X                11098          0          0
LITCHFIELD FINL CORP                     536619109    1369900      72100               X                    0          0      72100
LITHIA MTRS INC                          536797103    1138500      69000               X                    0          0      69000
LOCKHEED MARTIN CORP COM                 539830109     818855       9662   X                             9612          0         50
LOCKHEED MARTIN CORP COM                 539830109    1313625      15500               X                  850          0      14650
RK LOCKE & CO                            539999102          1      20000               X                20000          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                            1757946257   21553545                             18810252      21047    2722246
</TABLE>
<PAGE>   124
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   135
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

LODGIAN INC                              54021P106     312488      64100               X                    0          0      64100
LOEWS CORP COM                           540424108     481425       4900   X                             4900          0          0
LOEWS CORP COM                           540424108    1080554      10998               X                 2598          0       8400
LONE STAR STEAKHOUSE SALOON COM          542307103     975766     106200               X                    0          0     106200
LONE STAR TECHNOLOGIES INC               542312103     207563      20500               X                    0          0      20500
LONGVIEW FIBER COMPANY COMMON            543213102     583932      50500               X                    0          0      50500
LORD ABBET U S GOVT SECS                 543903108      61436      23271   X                            23271          0          0
LORD ABBETT INVT TR                      543916308      27619      10502   X                            10502          0          0
LORD ABBETT AFFILIATED FD IN             544001100     212247      14399   X                            14399          0          0
LORD ABBETT AFFILIATED FD IN             544001100      25296       1716               X                 1716          0          0
LORD ABBETT BD DEB FUND INC              544004104     151183      15998   X                            15998          0          0
LOUIS DREYFUS NAT GAS CORP               546011107     752400      52800               X                    0          0      52800
LOUISIANA PAC CORP COM                   546347105      16482        900   X                              900          0          0
LOUISIANA PAC CORP COM                   546347105     283852      15500               X                    0          0      15500
LOWES COS INC                            548661107     112614       2200   X                             2200          0          0
LOWES COS INC                            548661107    1786461      34900               X                    0          0      34900
LUBY'S CAFETERIAS INC COM                549282101     433808      28100               X                    0          0      28100
LUCENT TECHNOLOGIES INC COM              549463107   21558952     196101   X                           189985        190       5926
LUCENT TECHNOLOGIES INC COM              549463107   15883622     144478               X                62792        554      81132
LUFKIN INDS INC                          549764108     308950      16700               X                    0          0      16700
LUMISYS INC COM                          550274104     109250      23000               X                    0          0      23000
LUNAR CORP COM                           550362107     194750      20500               X                    0          0      20500
LYDALL INC DEL COM                       550819106     332500      28000               X                    0          0      28000
M & F WORLDWIDE CORP                     552541104     516232      51300               X                    0          0      51300
M & T BK CORP                            55261F104     207575        400               X                    0          0        400
MAF BANCORP INC                          55261R108     371000      14000               X                    0          0      14000
MBIA INC COM                             55262C100      62285        950   X                              950          0          0
MBIA INC COM                             55262C100     891657      13600               X                    0          0      13600
MBNA CORP                                55262L100     240066       9675   X                             9675          0          0
MBNA CORP                                55262L100      30694       1237               X                 1237          0          0
M D C HLDGS INC                          552676108     726750      34000               X                    0          0      34000
MCI WORLDCOM INC COM                     55268B106    7024397      97901   X                            94281         60       3560
MCI WORLDCOM INC COM                     55268B106   17933841     249949               X                14651          0     235298
MEMC ELECTR MATLS INC COM                552715104     891650     104900               X                    0          0     104900
MFB CORP COM                             55272D106    3186178     142399   X                              300          0     142099
MFB CORP COM                             55272D106     190188       8500               X                 2100          0       6400
MFRI INC                                 552721102      55000      11000               X                    0          0      11000
MGIC INVT CORP WIS                       552848103      31850        800   X                              800          0          0
MGIC INVT CORP WIS                       552848103     330448       8300               X                    0          0       8300
MFS GOVT MKTS INC TR                     552939100      79412      12100   X                             7500          0       4600
MFS GOVT MKTS INC TR                     552939100      13126       2000               X                 2000          0          0
MGM GRAND INC COM                        552953101     385175      14200               X                    0          0      14200
MFS SER TR IV                            552987505     192204      17537   X                            17537          0          0
MFS SER TR IV                            552987505      20119       1836               X                 1836          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              79272997    1682847                               482128        804    1199915
</TABLE>
<PAGE>   125
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                          PAGE   136
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

M/I SCHOTTENSTEIN HOMES INC NEW          55305B101     393800      17900               X                    0          0      17900
MMI COMPANIES, INC                       553087107     673350      40200               X                    0          0      40200
MRV COMMUNICATIONS INC COM               553477100     407789      65900               X                    0          0      65900
M S CARRIERS INC.                        553533100     994728      30200               X                    0          0      30200
MACERICH CO COM                          554382101     650875      25400               X                    0          0      25400
MACROMEDIA INC COM                       556100105    1327307      39400               X                    0          0      39400
MAGNETEK INC COM                         559424106     690311      59700               X                    0          0      59700
MAIN STREET AND MAIN INC                 560345308      41175      12200               X                    0          0      12200
MANCHESTER EQUIP INC                     562154104      82168      23900               X                    0          0      23900
MANUFACTURED HOME CMNTYS INC COM         564682102     899762      35900               X                    0          0      35900
MAPICS INC                               564910107    1400520      84880               X                    0          0      84880
MARBANC FINANCIAL CORPORATION            566099016     283500       4050               X                 4050          0          0
MARCUS CORPORATION                       566330106     612625      37700               X                    0          0      37700
MARISA CHRISTINA INC                     570268102      14380      10000               X                    0          0      10000
MARITRANS INC                            570363101     190983      29100               X                    0          0      29100
MARLTON TECHNOLOGIES INC                 571263102      66413      16100               X                    0          0      16100
MARSH & MCLENNAN COS INC COM             571748102     359394       6150   X                             5550          0        600
MARSH & MCLENNAN COS INC COM             571748102    2147597      36750               X                 1350          0      35400
MARSH SUPERMARKET INC CL B               571783208     365107      24545   X                            24545          0          0
MARSH SUPERMARKET INC CL B               571783208     197823      13299               X                 2399          0      10900
MARSH SUPERMARKETS INC CL A              571783307     394442      22300   X                            22300          0          0
MARSH SUPERMARKETS INC CL A              571783307      42434       2399               X                 2399          0          0
MARSHALL & ILSLEY CORP COM               571834100     336019       5750               X                  450          0       5300
MARRIOTT INTL INC NEW                    571903202      77662       2678   X                             2528          0        150
MARRIOTT INTL INC NEW                    571903202     584640      20160               X                 1760          0      18400
MARSHALL INDS COM                        572393106     989800      40400               X                    0          0      40400
MARYDEN REALTY CORPORATION               5738859A0     327000        375               X                  375          0          0
MASCO CORP COM                           574599106     501688      17450   X                            16650        500        300
MASCO CORP COM                           574599106    1591025      55340               X                 9850        700      44790
MASSBANK CORP READ MASS                  576152102     563400      14400               X                    0          0      14400
MATERIAL SCIENCES CORP                   576674105     438600      51600               X                    0          0      51600
MATRIA HEALTHCARE INC COM                576817100     237763      82700               X                    0          0      82700
MATRIX PHARMACEUTICAL INCORPORATED       576844104     145950      55600               X                    0          0      55600
MATRIX SVC CO                            576853105     114475      24100               X                    0          0      24100
MATTEL INC                               577081102     932848      39696   X                            38871          0        825
MATTEL INC                               577081102    1775989      75574               X                 8615       1575      65384
MATTSON TECH INC COM                     577223100     208116      36000               X                    0          0      36000
MAXTOR CORP                              577729205    1626800     116200               X                    0          0     116200
MAXXIM MED INC                           57777G105    1023400      34400               X                    0          0      34400
MAY DEPT STORES CO COM                   577778103     736403      12197   X                            12197          0          0
MAY DEPT STORES CO COM                   577778103    2812871      46590               X                 7561          0      39029
MAXICARE HEALTH PLANS INCORPORATED       577904204        898        167   X                              167          0          0
MAXICARE HEALTH PLANS INCORPORATED       577904204     259075      48200               X                    0          0      48200
MAXXAM INCORPORATED COMMON               577913106    1027013      17900               X                    0          0      17900
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              28547918    1435450                               161617       2775    1271058
</TABLE>

<PAGE>   126
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 137

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MAVERICK TUBE CORP                       577914104     211950      38100               X                    0          0      38100
 MAYTAG CORP                              578592107      49800        800   X                              800          0          0
 MAYTAG CORP                              578592107     417075       6700               X                    0          0       6700
 MCDONALD TAX EXEMPT MTG TRUST            580125102      75000      75000   X                            37857          0      37143
 MCDONALDS CORP COM                       580135101   22038571     286912   X                           273247          0      13665
 MCDONALDS CORP COM                       580135101   18838311     245249               X               122664        800     121785
 MCKEE REALTY CO COMMON                   5813339A1     327618        875               X                  875          0          0
 MCNEIL REAL ESTATE FD LTD                582568879       2700      10000               X                10000          0          0
 MEAD CORP COM                            582834107      48894       1668   X                             1668          0          0
 MEAD CORP COM                            582834107     376027      12828               X                 1128          0      11700
 MEADOWBROOK INS GROUP INC                58319P108     460264      28000               X                    0          0      28000
 MEDAPHIS CORPORATION COMMON              584028104     638483     194600               X                    0          0     194600
 MEDFORD BANCORP INC                      584131106     217750      13000               X                    0          0      13000
 MEDIAONE GROUP INC                       58440J104     253048       5384   X                             5384          0          0
 MEDIAONE GROUP INC                       58440J104    2220562      47246               X                 1742        428      45076
 MEDIA 100 INC                            58440W105     139238      23700               X                    0          0      23700
 MEDTRONIC INC                            585055106   15008996     202057   X                           190977        445      10635
 MEDTRONIC INC                            585055106    4503211      60624               X                30877        900      28847
 MELLON  BK CORP                          585509102     360938       5250   X                             2750          0       2500
 MELLON  BK CORP                          585509102     941875      13700               X                  300          0      13400
 MERCANTILE BANCORP INC COM               587342106     486619      10550               X                    0          0      10550
 MERCK & CO INC COM                       589331107   43538608     295177   X                           263023         30      32124
 MERCK & CO INC COM                       589331107   32007500     217000               X               161708       2435      52857
 MERIDIAN DATA INC                        589601103      23800      11200               X                    0          0      11200
 MERIDIAN RESOURCE CORP                   58977Q109     156212      49000               X                    0          0      49000
 MERISTAR HOSPITALITY CORP                58984Y103    1011405      54485               X                    0          0      54485
 MERIX CORP COM                           590049102      85800      14300               X                    0          0      14300
 MERRILL LYNCH & CO INC                   590188108    2309617      34601   X                            34511          0         90
 MERRILL LYNCH & CO INC                   590188108    7060481     105775               X                 7704         75      97996
 MERRILL LYNCH MUNI BD FD                 590193207     227296      21362               X                21362          0          0
 MESA AIR GROUP INC COM                   590479101     583631      74700               X                    0          0      74700
 METACREATIONS CORP                       591016100     333250      62000               X                    0          0      62000
 METAL MGMT INC                           591097100     325150      92900               X                    0          0      92900
 METATEC CORP COM                         591398102     126750      16900               X                    0          0      16900
 METRO INFORMATION SERVICES I             59162P104     882000      29400               X                    0          0      29400
 METROCALL INC                            591647102     459813     105100               X                    0          0     105100
 METRONET COMMUNICATIONS CORP             59169Y108    1943000      58000               X                    0          0      58000
 METROMEDIA INTL GROUP INC COM            591695101     641140     117900               X                    0          0     117900
 MEYER FRED INC COM NEW                   592907109     680825      11300               X                    0          0      11300
 MICHAEL ANTHONY JEWELERS INC             594060105      63050      19400               X                    0          0      19400
 MICHAEL FOOD INC NEW                     594079105     444000      14800               X                    0          0      14800
 MICRO LINEAR CORP                        594850109     119213      28900               X                    0          0      28900
 MICROSOFT CORP                           594918104   21832404     157421   X                           143176        380      13865
 MICROSOFT CORP                           594918104   22808767     164461               X                48676        140     115645
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             205280642    3038325                              1360429       5633    1672263
</TABLE>
<PAGE>   127
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 138

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MICROAGE INC                             594928103     813338      52900               X                    0          0      52900
 MICROTEST INC                            594941106      55825      20300               X                    0          0      20300
 MICROSTRATEGY INC                        594972101     992250      31500               X                    0          0      31500
 MICROCIDE PHARMACEUTICALS IN             595018102     121675      31400               X                    0          0      31400
 MICRON TECHNOLOGY                        595112103     788783      15600               X                    0          0      15600
 MICROSEMI CORP                           595137100     356400      32400               X                    0          0      32400
 MICROTOUCH SYS INC                       595145103     221813      16900               X                    0          0      16900
 MICROWAVE PWR DEVICES INC                59517M103     124500      12000               X                    0          0      12000
 MID ATLANTIC MED SVCS INC COM            59523C107     305184      31100               X                    0          0      31100
 MID STATE FINANCIAL                      5954509A7     622954      11644               X                11644          0          0
 MIDAMERICA ENERGY HLDGS CO               595920109     104275       3880   X                             3380          0        500
 MIDAMERICA ENERGY HLDGS CO               595920109     120669       4490               X                 4182          0        308
 MIDDLEBY CORP                            596278101     102225      28200               X                    0          0      28200
 MIDWEST GRAIN PRODUCTS                   59832G104     292938      21500               X                    0          0      21500
 MIKOHN GAMING CORP                       59862K108     116638      30100               X                    0          0      30100
 MIKASA INC                               59862T109     499800      39200               X                    0          0      39200
 MILLENNIUM PHARMACEUTICALS I             599902103    1148850      44400               X                    0          0      44400
 MILLER INDUSTRIES INC COM                600551105     130050      28900               X                    0          0      28900
 MILLS CORP                               601148109     532650      26800               X                    0          0      26800
 MILWAUKEE GRAY IRON LLC                  602299018     850000        340   X                              340          0          0
 MINERALS TECHNOLOGIES INC COM            603158106     294754       7200               X                    0          0       7200
 MINNESOTA MNG & MFG CO COM               604059105   10464337     147126   X                           142600          0       4526
 MINNESOTA MNG & MFG CO COM               604059105    9313748     130949               X                74249       1200      55500
 MIRAGE RESORTS INC COM                   60462E104     479510      32100               X                    0          0      32100
 MISSISSIPPI CHEMICAL CORP                605288208     948640      67760               X                    0          0      67760
 MITCHELL ENERGY & DEV CORP CL A          606592202     309970      27100               X                    0          0      27100
 MITCHELL ENERGY & DEVELOPMENT CL B       606592301     360375      31000               X                    0          0      31000
 MOBIL CORP COM                           607059102   10658960     122341   X                           118725          0       3616
 MOBIL CORP COM                           607059102   13825866     158690               X                40776       1692     116222
 MODINE MFG CO                            607828100    1232500      34000               X                    0          0      34000
 MOLEX INC COM                            608554101     282392       7407   X                             6407          0       1000
 MOLEX INC COM                            608554101      68625       1800               X                 1800          0          0
 MOLECULAR RX                             608599106      10000      17857               X                17857          0          0
 MONDAVI ROBERT CORP CL A                 609200100     490500      12000               X                    0          0      12000
 AUTOMATED CASH MANAGEMENT TRUST          60934N864      44389      44389   X                            44389          0          0
 MONITOR OHIO TAX FREE FD SHS             609409404     248973      11405   X                            11405          0          0
 MONRO MUFFLER BRAKE INC                  610236101     151525      20900               X                    0          0      20900
 MONROE BANCORP CDT-COM                   610313108     933313      68500   X                            68500          0          0
 MONSANTO CO COM                          611662107    2928945      61662   X                            58417         65       3180
 MONSANTO CO COM                          611662107    5531850     116460               X                10760        400     105300
 MONTEREY BAY BANCORP INC                 61239H107     150287      10500               X                    0          0      10500
 MORGAN J P & CO INC COM                  616880100    5953290      56664   X                            55589          0       1075
 MORGAN J P & CO INC COM                  616880100    3120686      29703               X                16103          0      13600
 MORGAN PRODUCTS LIMITED COMMON           617439104      90650      25900               X                    0          0      25900
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              76194902    1726967                               687123       3357    1036487
</TABLE>
<PAGE>   128
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 139

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 STANLEY DEAN WITTER & CO          617446448     198060       2790   X                             2790          0          0
 MORGAN STANLEY DEAN WITTER & CO          617446448    2943944      41464               X                11464          0      30000
 MORTON INTL INC IND NEW                  619335102     269500      11000   X                            11000          0          0
 MORTON INTL INC IND NEW                  619335102     373331      15238               X                 5038          0      10200
 MOSAIX INC                               619454101     227075      29300               X                    0          0      29300
 MOTOROLA INC COM                         620076109    7234500     118476   X                           113476          0       5000
 MOTOROLA INC COM                         620076109    7008811     114780               X                33355       1250      80175
 MOVADO GROUP INC                         624580106     785438      29500               X                    0          0      29500
 MOVIE GALLERY INC                        624581104     237263      33300               X                    0          0      33300
 MUELLER INDS INC COM                     624756102    3146484     154900               X                    0          0     154900
 MULTIPLE ZONES INTL INC                  624906103     539325      30600               X                    0          0      30600
 MUTUAL SVGS BK FSB BAY CITY              628355109      92288      10700               X                    0          0      10700
 MUTUAL SER FD INC                        628380305    1014726      77342   X                            77342          0          0
 MUTUAL SER FD INC                        628380305      15819       1206               X                  869          0        337
 MUTUAL SER FD INC                        628380875     447938      34220   X                            34220          0          0
 MYLEX CORP COM                           628546103     453600      37800               X                    0          0      37800
 NABI COM                                 628716102     150528      56000               X                    0          0      56000
 NCS HEALTHCARE INC CL A                  628874109     838375      35300               X                    0          0      35300
 N S GROUP INCORPORATED COMMON            628916108     290245      65400               X                    0          0      65400
 ND MELLON NDT STOCK INDEX FUND           628999104   24800993     104499   X                           104499          0          0
 NIPSCO INDS INC COM                      629140104    1620320      53233   X                            51807          0       1426
 NIPSCO INDS INC COM                      629140104    1089437      35792               X                30962        200       4630
 NPS PHARMACEUTICALS INC                  62936P103     125314      16300               X                    0          0      16300
 NUI CORP COM                             629430109     254724       9500               X                    0          0       9500
 NALCO CHEM CO COM                        629853102      79794       2574   X                             2574          0          0
 NALCO CHEM CO COM                        629853102     543151      17521               X                12621          0       4900
 NASH FINCH CO COM                        631158102     397575      27900               X                    0          0      27900
 NASHUA CORP                              631226107     219665      16500               X                    0          0      16500
 NASTECH PHARMACEUTICAL INC               631728409      64713      16700               X                    0          0      16700
 NATHANS FAMOUS INC NEW                   632347100      66356      15500               X                    0          0      15500
 NATIONAL CITY CORP COM                   635405103  167186595    2306022   X                          1491091          0     814931
 NATIONAL CITY CORP COM                   635405103   70883608     977705               X               575623      22628     379454
 NATIONAL COMM BANCORPORATION COM         635449101    2313999     123000               X                    0          0     123000
 NATIONAL DISC BROKERS GROUP              635646102     522000      26100               X                    0          0      26100
 NATIONAL FUEL GAS CO N J                 636180101     266937       5907   X                             5747          0        160
 NATIONAL GOLF PPTYS INC                  63623G109     781326      27000               X                    0          0      27000
 NATIONAL HOME HEALTH CARE CO             636380107      55100      11600               X                    0          0      11600
 NATIONAL MEDIA CORP                      636919102     332397      31100               X                    0          0      31100
 NATIONAL OIL-WELL INC                    637071101     405006      36200               X                    0          0      36200
 NATIONAL PRESTO INDS INC                 637215104     835450      19600               X                    0          0      19600
 NATIONAL SEMICONDUCTOR CORP COM          637640103     162000      12000               X                    0          0      12000
 NATIONAL STL CORP                        637844309     395438      55500               X                    0          0      55500
 NATIONAL TECHTEAM INC                    638108100     226850      34900               X                    0          0      34900
 NATURAL WONDERS INC                      639014109      98050      21200               X                    0          0      21200
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             299994048    4903169                              2564478      24078    2314613
</TABLE>
<PAGE>   129
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 140

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 NELSON THOMAS INC COM                    640376109     309150      22900               X                    0          0      22900
 NEOPATH INC                              640517108     137762      23200               X                    0          0      23200
 NETWORKS ASSOCS INC                      640938106     424000       6400               X                    0          0       6400
 NETMANAGE INC COM                        641144100      58639      31800               X                    0          0      31800
 NETRIX CORP                              641148101      29688      12500               X                    0          0      12500
 NETWORK COMPUTING DEVICES INC            64120N100      84000      12000               X                    0          0      12000
 NETWORK EQUIP TECHNOLOGIES               641208103     584250      57000               X                    0          0      57000
 NETWORK PERIPHERALS INC                  64121R100     136800      30400               X                    0          0      30400
 NEUROGEN CORPORATION COMMON              64124E106     213500      12200               X                    0          0      12200
 NEUROCRINE BIOSCIENCES INC               64125C109     327938      47700               X                    0          0      47700
 NEVADA MANHATTAN GROUP INC               64133N105      77440      60500               X                60500          0          0
 NEW ENGLAND ELEC SYS COM                 644001109      62659       1302   X                             1302          0          0
 NEW ENGLAND ELEC SYS COM                 644001109     197313       4100               X                    0          0       4100
 NEW ERA OF NETWORKS INC                  644312100     743600      16900               X                    0          0      16900
 NEW JERSEY RES CORP                      646025106     635950      16100               X                    0          0      16100
 NEW MEXICO & ARIZ LAND CO                647072107     175375      12200               X                    0          0      12200
 NEW PERSPECTIVE FUND INCORPORATED        648018109     195512       8519   X                             8519          0          0
 NEW PERSPECTIVE FUND INCORPORATED        648018109     131326       5722               X                 3041          0       2681
 NEW YORK TIMES CO CL A                   650111107      20813        600   X                              600          0          0
 NEW YORK TIMES CO CL A                   650111107    1141235      32900               X                    0          0      32900
 NEWCOR INC                               651186108      55025      14200               X                    0          0      14200
 NEWELL CO                                651192106    3975304      96371   X                            89476         80       6815
 NEWELL CO                                651192106    1415288      34310               X                21710        700      11900
 NEWFIELD EXPL CO COM                     651290108    1463338      70100               X                    0          0      70100
 NEWMONT MNG CORP COM                     651639106        931         51   X                               51          0          0
 NEWMONT MNG CORP COM                     651639106     228253      12507               X                  307          0      12200
 NEXTEL COMMUNICATIONS INC CL A           65332V103     496125      21000               X                    0          0      21000
 NEXTLINK COMMUNICATIONS INC              65333H707     320638      11300               X                    0          0      11300
 NIAGARA CORP                             653349100     147650      25400               X                    0          0      25400
 NIAGARA MOHAWK PWR CORP COM              653522102     406350      25200               X                    0          0      25200
 NICHOLAS FD INC                          653735100     249366       2906   X                             2906          0          0
 NICOR INC                                654086107     177450       4200   X                             3600          0        600
 NICOR INC                                654086107     191393       4530               X                 1030          0       3500
 NIKE INC CL B                            654106103    1238794      30540   X                            28800          0       1740
 NIKE INC CL B                            654106103    1773617      43725               X                 1875          0      41850
 NINE WEST GROUP INC COM                  65440D102    1501830      96500               X                    0          0      96500
 NITINOL MED TECHNOLOGIES INC             65476T104      96375      25700               X                    0          0      25700
 NOBEL LEARNING CMNTYS INC                654889104     102300      18600               X                    0          0      18600
 NOKIA CORP SPONSORED ADR                 654902204     596168       4950   X                             4950          0          0
 NOODLE KIDOODLE INC                      655370104     167200      17600               X                    0          0      17600
 NORDSTROM INC COM                        655664100     441925      12740   X                             8400          0       4340
 NORDSTROM INC COM                        655664100    1203674      34700               X                10100          0      24600
 NORFOLK SOUTHERN CORP                    655844108    3867013     122034   X                           110607          0      11427
 NORFOLK SOUTHERN CORP                    655844108    4589373     144830               X                68988      17982      57860
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              30392330    1288937                               426762      18762     843413
</TABLE>
<PAGE>   130
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 141

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 NORTH FACE INC COM                       659317101     456300      35100               X                    0          0      35100
 NORTHERN STS PWR CO MINN COM             665772109      49839       1796   X                             1796          0          0
 NORTHERN STS PWR CO MINN COM             665772109     749528      27010               X                 5200          0      21810
 NORTHERN TR CORP COM                     665859104    2448693      28045   X                            26965          0       1080
 NORTHERN TR CORP COM                     665859104     871820       9985               X                 9505          0        480
 NORTHROP GRUMMAN CORP                    666807102      27422        375   X                              375          0          0
 NORTHROP GRUMMAN CORP                    666807102     380250       5200               X                    0        200       5000
 NORTHWESTERN STEEL & WIRE CO NEW         668367204      19125      30600               X                    0          0      30600
 NORTON MCNAUGHT INC COM                  668685100      48450      20400               X                    0          0      20400
 NU HORIZONS ELECTRS INC                  669908105     118900      23200               X                    0          0      23200
 NOVACARE INC COM                         669930109     428175     155700               X                    0          0     155700
 NOVELL INC                               670006105     469438      25900               X                    0          0      25900
 NUCOR CORP COM                           670346105    1955765      45220   X                            44820          0        400
 NUCOR CORP COM                           670346105     968800      22400               X                15900          0       6500
 NUEVO ENERGY CO COM                      670509108     572700      49800               X                    0          0      49800
 NUMEREX CORP COM                         67053A102      74545      26500               X                    0          0      26500
 NUVEEN SELECT MAT MUN FD                 67061T101     224175      18977   X                            18977          0          0
 NUVEEN MUN BD FD INC                     670623107      23068       2390   X                             2390          0          0
 NUVEEN MUN BD FD INC                     670623107     465429      48231               X                48231          0          0
 NUVEEN FLAGSHIP MUN TR                   67065Q400     144774      15034   X                            15034          0          0
 ODS NETWORKS INC                         67082N109     123000      41000               X                    0          0      41000
 O'CHARLLEY'S INCORPORATED COMMON         670823103     279675      19800               X                    0          0      19800
 O I CORPORATION COMMON                   670841105      56186      10100               X                    0          0      10100
 NUVEEN MUN VALUE FD INC                  670928100     575954      58693   X                            58693          0          0
 NUVEEN MUN VALUE FD INC                  670928100      52990       5400               X                 5400          0          0
 NUVEEN TAX EXEMPT UNIT TR INSD NATL      67101A286     305136       2908   X                             2908          0          0
 NUVEEN TX EXMPT UT TR INSD N             67101A302     212483       2025   X                             2025          0          0
 OSI PHARMACEUTICALS INC                  671040103     133577      41900               X                    0          0      41900
 OACIS HEALTHCARE HLDGS CORP              671075109      42525      16200               X                    0          0      16200
 OAK TECHNOLOGY INC COM                   671802106     351400     100400               X                    0          0     100400
 OAKWOOD HOMES CORP                       674098108      51639       3400   X                             3400          0          0
 OAKWOOD HOMES CORP                       674098108     183775      12100               X                 5000          0       7100
 OCCIDENTAL PETE CORP COM                 674599105     810000      48000               X                    0          0      48000
 OCEAN FINL CORP                          674904107     621775      37400               X                    0          0      37400
 OCWEN FINANCIAL CORP                     675746101     716617      58200               X                    0          0      58200
 OFFSHORE LOGISTICS INC                   676255102     653125      55000               X                    0          0      55000
 OLD DOMINION FGHT LINES INC              679580100     218400      19200               X                    0          0      19200
 OLD NATIONAL BANCORP COMMON              680033107     178679       3205   X                             2866          0        339
 OLD NATIONAL BANCORP COMMON              680033107   12472613     223724               X                    0     210098      13626
 OLSTEN CORP                              681385100       7375       1000   X                             1000          0          0
 OLSTEN CORP                              681385100     929250     126000               X                    0          0     126000
 OLYMPIC STL INC COM                      68162K106     133000      26600               X                    0          0      26600
 ONE GROUP                                681937595     334431      30102   X                            30102          0          0
 OMTOOL LTD                               681974101     123396      42000               X                    0          0      42000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              30064197    1576220                               300587     210298    1065335
</TABLE>
<PAGE>   131
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 142

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ON ASSIGNMENT                            682159108     538200      15600               X                    0          0      15600
 ON COMMAND CORP                          682160106     142289      15700               X                    0          0      15700
 ONE PRICE CLOTHING STORES INC COM        682411103     128500      25700               X                    0          0      25700
 ONYX ACCEP CORP                          682914106     104075      18100               X                    0          0      18100
 OPTA FOOD INGREDIENTS INC COM            68381N105     115200      28800               X                    0          0      28800
 OPTICAL SENSORS INC COM                  68384P107      24475      17800               X                    0          0      17800
 ORACLE CORP COM                          68389X105     384416       8914   X                             8164          0        750
 ORACLE CORP COM                          68389X105    6128537     142111               X                 6299          0     135812
 OPTI INC COM                             683960108     161875      35000               X                    0          0      35000
 OPPENHEIMER MUN BD FD                    683977102     113648      10928   X                            10928          0          0
 ORANGE CO INC NEW                        684177108     144425      21800               X                    0          0      21800
 ORBITAL SCIENCES CORP COM                685564106    3440800      78200               X                    0          0      78200
 OREGON STL MLS INC                       686079104     800375      67400               X                    0          0      67400
 O REILLY AUTOMOTIVE INC                  686091109     278775       5900               X                    0          0       5900
 OROAMERICA INC                           687027102     143188      14500               X                    0          0      14500
 ORTHOLOGIC CORP NEW COM                  68750J107     214016      64000               X                    0          0      64000
 OSHKOSH TRUCK CORPORATION CLASS B        688239201     675750      20400               X                    0          0      20400
 OSHMANS SPORTING GOODS INC               688260108      50050      15400               X                    0          0      15400
 OSMONICS INC                             688350107     306299      36300               X                    0          0      36300
 O'SULLIVAN CORP COM                      688605104     404875      41000               X                    0          0      41000
 O'SULLIVAN INDS HLDGS INC COM            688609106     431550      41100               X                    0          0      41100
 OVERSEAS SHIPHOLDING GROUP INC COM       690368105     587906      36600               X                    0          0      36600
 OWENS CORNING COM                        69073F103     365011      10300               X                    0          0      10300
 OWENS ILL INC                            690768403     349125      11400               X                    0          0      11400
 OWOSSO CORP                              691217103      87125      20500               X                    0          0      20500
 OXFORD HEALTH PLANS INC COM              691471106       2975        200   X                              200          0          0
 OXFORD HEALTH PLANS INC COM              691471106     624750      42000               X                    0          0      42000
 OXFORD INDS INC                          691497309     505675      17900               X                    0          0      17900
 P A M TRANSN SVCS INC                    693149106     156600      17400               X                    0          0      17400
 PC SERVICE SOURCE INC                    693258105      41600      12100               X                    0          0      12100
 P-COM INC COM                            693262107     458160     115000               X                    0          0     115000
 PECO ENERGY CO COM                       693304107     215013       5150   X                             5150          0          0
 PECO ENERGY CO COM                       693304107     680525      16300               X                    0          0      16300
 PG&E CORP                                69331C108      16758        532   X                              532          0          0
 PG&E CORP                                69331C108    1641150      52100               X                    0          0      52100
 PICO HLDGS INC                           693366205     156350      11800               X                    0          0      11800
 PLM INTL INC                             69341L205     139125      21000               X                    0          0      21000
 PMR CORP                                 693451106     131150      17200               X                    0          0      17200
 PNC BANK CORP                            693475105     451980       8370   X                             8370          0          0
 PNC BANK CORP                            693475105    1177740      21810               X                 6310          0      15500
 PP & L RESOURCES INC COM                 693499105     112671       4042   X                             4042          0          0
 PP & L RESOURCES INC COM                 693499105     606839      21770               X                    0          0      21770
 PPG INDS INC COM                         693506107      85711       1473   X                              873          0        600
 PPG INDS INC COM                         693506107    1227185      21090               X                 8190          0      12900
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              24552442    1210690                                59058          0    1151632
</TABLE>
<PAGE>   132
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 143

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 PPT VISION INC                           693519100      71000      14200               X                    0          0      14200
 PXRE CORP                                693674103     924825      36900               X                    0          0      36900
 PACCAR INC                               693718108     522288      12700               X                    0          0      12700
 PACIFICORP                               695114108      54806       2602   X                             2602          0          0
 PACIFICORP                               695114108     670435      31830               X                 8732          0      23098
 PAINE WEBBER GROUP INC COM               695629105      79181       2050   X                             2050          0          0
 PAINE WEBBER GROUP INC COM               695629105     378525       9800               X                 2700          0       7100
 PALL CORP COM                            696429307     417032      16475   X                            15050          0       1425
 PALL CORP COM                            696429307     287227      11347               X                 2347          0       9000
 PAPA JOHNS INTL INC                      698813102     282400       6400               X                    0          0       6400
 PAR TECHNOLOGY CORP                      698884103     135000      22500               X                    0          0      22500
 PARAMETRIC TECH CORP COM                 699173100      38675       2380   X                             2380          0          0
 PARAMETRIC TECH CORP COM                 699173100     390000      24000               X                 3900          0      20100
 PARK ELECTROCHEMICAL CORP                700416209     810088      28300               X                  400          0      27900
 PARKER DRILLING CO                       701081101     505617     158600               X                    0          0     158600
 PARKER HANNIFIN CORP                     701094104     297567       9086   X                             9086          0          0
 PARKER HANNIFIN CORP                     701094104     609150      18600               X                  800          0      17800
 PARKSTONE BOND FD                        701475105   11995112    1185288   X                          1177414          0       7874
 PARKSTONE BOND FD                        701475105    1348834     133284               X                39687          0      93597
 PARKSTONE GROUP FDS                      701475204    7479020     447845   X                           446745          0       1100
 PARKSTONE GROUP FDS                      701475204     685035      41020               X                 7713          0      33307
 PARKSTONE GROUP FDS                      701475303    9947735     942020   X                           942020          0          0
 PARKSTONE GROUP FDS                      701475303     430426      40760               X                14730          0      26030
 PARKSTONE GROUP FDS                      701475329    8591985     436141   X                           435460          0        682
 PARKSTONE GROUP FDS                      701475329     662879      33649               X                 5790          0      27858
 PARKSTONE GROUP FDS                      701475402   11683878     854085   X                           854085          0          0
 PARKSTONE GROUP FDS                      701475402     823932      60229               X                31571          0      28658
 PARKSTONE LTD MATURITY BOND FD           701475600    4065466     425258   X                           409193          0      16065
 PARKSTONE LTD MATURITY BOND FD           701475600     745190      77949               X                39629          0      38319
 PARKSTONE GROUP FDS                      701475709    4628888     211076   X                           210824          0        252
 PARKSTONE GROUP FDS                      701475709     336769      15357               X                 4590          0      10766
 PARKSTONE INTERMEDIATE GOVT OBLIG FD     701475808    5261476     522490   X                           521190          0       1300
 PARKSTONE INTERMEDIATE GOVT OBLIG FD     701475808     575695      57169               X                23975          0      33195
 PARKSTONE GROUP FDS                      701475824    5410787     348633   X                           347522          0       1111
 PARKSTONE GROUP FDS                      701475824     478085      30804               X                 5419          0      25385
 PARKSTONE U S GOVT INCOME FD             701475832    6895180     739826   X                           734231          0       5596
 PARKSTONE U S GOVT INCOME FD             701475832     761269      81681               X                48395          0      33286
 PARKSTONE BALANCED ALLOCATION FD         701475840     287316      20537   X                            20537          0          0
 PARKSTONE BALANCED ALLOCATION FD         701475840      92693       6626               X                    0          0       6626
 PARKSTONE GROUP FDS                      701475881     374211      33743   X                            33743          0          0
 PARKSTONE GROUP FDS                      701475881     285158      25713               X                 4307          0      21406
 PATINA OIL & GAS CORP                    703224105     132504      45100               X                    0          0      45100
 PATRICK INDS INC                         703343103     199875      13000               X                    0          0      13000
 PATTERSON ENERGY INC                     703414102     325446      80100               X                    0          0      80100
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              90978660    7317153                              6408817          0     908336
</TABLE>
<PAGE>   133
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 144

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 PAUL HARRIS STORES INC COM NEW           703555201     255938      31500               X                    0          0      31500
 PAXSON COMMUNICATIONS CORP               704231109     363845      39600               X                    0          0      39600
 PAYCHEX INC COM                          704326107    1539231      29924   X                            29924          0          0
 PAYCHEX INC COM                          704326107     876555      17041               X                 7761          0       9280
 PAYMENTECH INC                           704384106    1759150      93200               X                    0          0      93200
 PEDIATRIC SVCS AMERICA INC COM           705323103      60550      17300               X                    0          0      17300
 PEDIATRIX MED GROUP                      705324101    1828109      30500               X                    0          0      30500
 PEGASUS FDS                              70556T420    1458169     112340   X                           112340          0          0
 PEGASUS SYSTEMS INC                      705906105     734400      20400               X                    0          0      20400
 PENFORD CORP                             707051108     270400      16900               X                    0          0      16900
 PENN NATL GAMING INC                     707569109     128800      18400               X                    0          0      18400
 PENN TREATY AMERN CORP                   707874103     544148      20200               X                    0          0      20200
 PENN VA CORP COMMON                      707882106     413438      22500               X                    0          0      22500
 PENNCORP FINL GROUP INC COM              708094107      63400      63400               X                    0          0      63400
 PENNEY J C CO INC COM                    708160106     529313      11292   X                            11292          0          0
 PENNEY J C CO INC COM                    708160106    2458125      52440               X                 3840       5500      43100
 PENNFED FINL SVCS INC                    708167101     296400      22800               X                    0          0      22800
 PENWEST PHARMACEUTICALS CO               709754105     109688      17550               X                    0          0      17550
 PEOPLESOFT INC COM                       712713106      17991        950   X                              950          0          0
 PEOPLESOFT INC COM                       712713106     550149      29050               X                  250          0      28800
 PEPSICO INC COM                          713448108   15278830     373794   X                           370244          0       3550
 PEPSICO INC COM                          713448108   22119670     541154               X               146137        300     394717
 PERCEPTRON INC COM                       71361F100     159663      24100               X                    0          0      24100
 PERFORMANCE FOOD GROUP CO                713755106     329063      11700               X                    0          0      11700
 PERIPHONICS CORP                         714005105     503782      38200               X                    0          0      38200
 PERKIN ELMER CORP COM                    714041100       2439         25   X                               25          0          0
 PERKIN ELMER CORP COM                    714041100     695624       7130               X                   30          0       7100
 PERRIGO CO COM                           714290103     716497      81300               X                    0          0      81300
 PETCO ANIMAL SUPPLIES                    716016100     533339      53000               X                    0          0      53000
 PETROLEUM DEV CORP                       716578109     115169      37600               X                    0          0      37600
 PETSMART INC COM                         716768106     696300      63300               X                    0          0      63300
 PHARMACIA & UPJOHN INC COM               716941109     147791       2610   X                             2610          0          0
 PHARMACIA & UPJOHN INC COM               716941109    2336348      41260               X                 4060          0      37200
 PFIZER INC COM                           717081103   21377750     171022   X                           159202        255      11565
 PFIZER INC COM                           717081103   14134750     113078               X                63398        500      49180
 PHAR-MOR INC COM                         717113203     257725      33800               X                    0          0      33800
 PHARMACEUTICAL RESOURCES                 717125108     121600      25600               X                    0          0      25600
 PHARMERICA INC                           717135107      54822       9137   X                             9137          0          0
 PHARMERICA INC                           717135107    1299000     216500               X                    0          0     216500
 PHELPS DODGE CORP COM                    717265102     288461       5670   X                             5670          0          0
 PHELPS DODGE CORP COM                    717265102     218763       4300               X                    0          0       4300
 PHILIP MORRIS COS INC COM                718154107   16800980     314037   X                           306607         65       7365
 PHILIP MORRIS COS INC COM                718154107   28283792     528669               X               203194        500     324975
 PHILIPS ELECTRONICS N V NEW YORK SHS     718337504     375668       5550   X                             5500          0         50
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             141105625    3369823                              1442171       7120    1920532
</TABLE>
<PAGE>   134
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 145

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 ELECTRONICS N V NEW YORK SHS     718337504     148914       2200               X                 2200          0          0
 PHILLIPS PETE CO                         718507106     150168       3523   X                             3398          0        125
 PHILLIPS PETE CO                         718507106    1631131      38267               X                 1067          0      37200
 PHILLIPS-VAN HEUSEN                      718592108     546288      76000               X                    0          0      76000
 PHYMATRIX INC COM                        718925100     188387      86100               X                    0          0      86100
 PHOENIX INVT PARTNERS LTD                719085102     993996     117800               X                    0          0     117800
 PHOENIX TECHNOLOGY LTD                   719153108     370013      42900               X                    0          0      42900
 PHONETEL TECHNOLOGIES INC                71921H406       1269      11639               X                11639          0          0
 PHOTON DYNAMICS INC                      719364101     108138      21100               X                    0          0      21100
 PHYCOR INC COM                           71940F100    1028763     151000               X                    0          0     151000
 PHYSICIAN RELIANCE NETWORK INC COM       71940G108     616875      47000               X                    0          0      47000
 PICCADILLY CAFETERIAS INCORPORATED       719567109     107100      10200               X                    0          0      10200
 PICTURETEL CORP NEW                      720035302     793013     119700               X                    0          0     119700
 PILLOWTEX CORP                           721501104     428000      16000               X                    0          0      16000
 PINKERTONS INC NEW COM                   723429106    2048179      96100               X                    0          0      96100
 PINNACLE SYS INC                         723481107    1726725      48300               X                    0          0      48300
 PINNACLE WEST CAP CORP                   723484101     245775       5800               X                  300          0       5500
 PIONEER HI BRED INTL INC COM             723686101       1193         45   X                               45          0          0
 PIONEER HI BRED INTL INC COM             723686101     683700      25800               X                    0          0      25800
 PIONEER STD ELECTRS INC COM              723877106     658125      70200               X                    0          0      70200
 PITNEY BOWES INC                         724479100     307325       4652   X                             4652          0          0
 PITNEY BOWES INC                         724479100     178370       2700               X                 2700          0          0
 PITT DESMOINES INC                       724508106     427200      17800               X                    0          0      17800
 PITTSON BAX GROUP COM                    725701882       5563        500   X                              500          0          0
 PITTSON BAX GROUP COM                    725701882     649700      58400               X                    0          0      58400
 PLANAR SYS INC                           726900103     239136      35100               X                    0          0      35100
 PLANET HOLLYWOOD COM                     727025108     129528      56000               X                    0          0      56000
 PLAYERS INTL                             727903106     495040      80000               X                    0          0      80000
 PLUMA INC                                729272104      34125      18200               X                    0          0      18200
 POLYMEDICA INDS INC                      731738100     160790      17500               X                    0          0      17500
 POLYMER GROUP INC COM                    731745105     837773      84300               X                    0          0      84300
 POOL SERVICES ENERGY CO COM              732788104     618504      57200               X                    0          0      57200
 POPE & TALBOT INC                        732827100     308200      36800               X                    0          0      36800
 POST PPTYS INC COM                       737464107    1968026      51200               X                  600          0      50600
 POWERHOUSE TECHNOLOGIES INC              739323103     403100      27800               X                    0          0      27800
 PRAEGITZER INDS INC                      739422103      91113      12900               X                    0          0      12900
 PRAXAIR INC COM                          74005P104      32078        910   X                              910          0          0
 PRAXAIR INC COM                          74005P104     902400      25600               X                 1900          0      23700
 PRECISION RESPONSE CORP                  740314109     391163      51300               X                    0          0      51300
 PRESIDENTIAL LIFE CORP                   740884101     588300      29600               X                    0          0      29600
 PRICE COMMUNICATIONS CORP COM NEW        741437305     685714      53000               X                    0          0      53000
 PRICE T ROWE & ASSOCIATES                741477103    6465475     188773   X                           179413        680       8680
 PRICE T ROWE & ASSOCIATES                741477103    2403323      70170               X                43170          0      27000
 PRICE T ROWE HIGH YIELD FUND             741481105      88480      10584   X                            10584          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              30886178    1980663                               263078        680    1716905
</TABLE>
<PAGE>   135
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 146

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 PRICE T ROWE TX FR HI YLD FD             741486104     217258      17284   X                            17284          0          0
 PRIMADONNA RESORTS INC                   741548101     642468      72900               X                    0          0      72900
 PRIME MED SVCS INC NEW COM               74156D108     182094      24900               X                    0          0      24900
 PRIME BANCSHARES INC TEXAS               74157H108     533025      30900               X                    0          0      30900
 PRIME RETAIL INC COM                     741570105      99945      10185               X                10185          0          0
 PRIMARK CORP                             741903108       1356         50   X                               50          0          0
 PRIMARK CORP                             741903108    1212488      44700               X                    0          0      44700
 PRIME HOSPITALITY CORP COM               741917108    1263335     119600               X                    0          0     119600
 PRIDE INTL INC                           741932107     275457      39000               X                    0          0      39000
 PROCTER & GAMBLE CO COM                  742718109   36541910     400183   X                           384053        140      15990
 PROCTER & GAMBLE CO COM                  742718109   19551483     214115               X                98212      32230      83673
 PROGRAMMERS PARADISE INC                 743205106     140138      11100               X                    0          0      11100
 PROMEDCO MGMT CO                         74342L105     167400      27900               X                    0          0      27900
 PROTOCOL SYS INC COM                     74371R106     118988      16700               X                    0          0      16700
 PROVIDENT COS INC COM                    743862104     410850       9900               X                    0          0       9900
 PROVIDENT FINL HLDGS INC                 743868101     184280      10800               X                    0          0      10800
 PROXIM INC COM                           744284100    1331731      49900               X                    0          0      49900
 PUBLIC SVC CO N C INC COM                744516105    1279200      49200               X                    0          0      49200
 PUTNAM FD FOR GROWTH & INCOME            746761105      11198        546   X                              546          0          0
 PUTNAM FD FOR GROWTH & INCOME            746761105     339235      16556               X                16556          0          0
 PUTNAM HEALTH SCIENCES TR                746778109      46184        721   X                              721          0          0
 PUTNAM HEALTH SCIENCES TR                746778109     176622       2758               X                 2758          0          0
 PUTNAM MASTER INTER INCOME TR            746909100      75631       9380   X                             5551          0       3829
 PUTNAM MASTER INTER INCOME TR            746909100      37815       4690               X                 4690          0          0
 QMS INCORPORATED COMMON                  74726G102      64716      20300               X                    0          0      20300
 QUAKER FABRIC CORP NEW                   747399103     260625      41700               X                    0          0      41700
 QUALITY DINING INC COM                   74756P105      95288      36300               X                  200          0      36100
 QUALITY SYS INC                          747582104      63113      15300               X                    0          0      15300
 QUANEX CORP                              747620102     825806      36600               X                    0          0      36600
 QUEST DIAGNOSTICS INC                    74834L100    1344882      75500               X                  100          0      75400
 QUICKTURN DESIGN SYS INC COM             74838E102     734257      51300               X                    0          0      51300
 QUINTEL COMMUNICATIONS INC COM           748762101      77625      41400               X                    0          0      41400
 R & B FALCON CORP                        74912E101      79412      10500               X                    0          0      10500
 R & B INC                                749124103     162941      19900               X                    0          0      19900
 RDO EQUIPMENT CO                         749413100     105000      14000               X                    0          0      14000
 RJR NABISCO HOLDINGS CORP (NEW)          74960K876       1900         64   X                               64          0          0
 RJR NABISCO HOLDINGS CORP (NEW)          74960K876     710642      23937               X                  137          0      23800
 RLI CORP                                 749607107     854525      25700               X                    0          0      25700
 RTW INC COM                              74974R107     175950      27600               X                    0          0      27600
 RMH TELESERVICES INC                     749938106      49088      23100               X                    0          0      23100
 RAILAMERICA INC                          750753105     158100      18600               X                    0          0      18600
 RAILTEX INC COM                          750766107     255674      22600               X                    0          0      22600
 RAIN FOREST CAFE                         75086K104     384394      63400               X                    0          0      63400
 RALSTON-RALSTON PURINA GROUP             751277302    6295504     195969   X                            99339          0      96630
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              77539533    1947738                               640446      32370    1274922
</TABLE>
<PAGE>   136
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 147

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 RALSTON-RALSTON PURINA GROUP             751277302    2608550      81200               X                 1800          0      79400
 RANGE RES CORP                           75281A109     144740      42100               X                    0          0      42100
 RARE HOSPITALITY INTL INC                753820109     425600      30400               X                    0          0      30400
 RAVEN INDS INC                           754212108     185438      11500               X                    0          0      11500
 RAYTHEON CO                              755111309     128135       2479   X                             2458          0         21
 RAYTHEON CO                              755111309    1485668      28743               X                 3643          0      25100
 RAYTHEON CO                              755111408      59906       1125   X                             1125          0          0
 RAYTHEON CO                              755111408    1858425      34900               X                 4600          0      30300
 READ-RITE CORP COM                       755246105    1099706      74400               X                    0          0      74400
 REA MAGNET WIRE CO. INC. CLASS - B       755990108    5917715     139998   X                           139998          0          0
 RED ROOF INNS INC COM                    757005103     486000      28800               X                    0          0      28800
 REDHOOK ALE BREWERY INC COM              757473103      85050      18900               X                    0          0      18900
 REGENERON PHARMACEUTICALS                75886F107     243375      33000               X                    0          0      33000
 REGIONS FINL CORP COM                    758940100     282191       7000   X                             7000          0          0
 REGIONS FINL CORP COM                    758940100    1150936      28550               X                 1550          0      27000
 RELIANCE STL & ALUM CO COM               759509102     803888      29100               X                    0          0      29100
 RELIASTAR FINL CORP COM                  75952U103     369000       8000   X                             8000          0          0
 RELIASTAR FINL CORP COM                  75952U103      27675        600               X                    0          0        600
 RELIABILITY INC COM                      759903107      65875      15500               X                    0          0      15500
 RENAL CARE INC COM                       759930100    1966487      68250               X                18000          0      50250
 REPTRON ELECTRONICS INC                  76026W109      82489      15900               X                    0          0      15900
 REPUBLIC BKG CORP FLA MIAMI              760322107     508938      47900               X                    0          0      47900
 REPUBLIC NY CORP                         760719104     615101      13500               X                    0          0      13500
 RESMED INC COM                           761152107     621638      13700               X                    0          0      13700
 RESPONSE ONCOLOGY INC                    761232305     113358      27900               X                    0          0      27900
 REUTERS GROUP PLC                        76132M102     232079       3662   X                             3490          0        172
 REUTERS GROUP PLC                        76132M102     461180       7277               X                 4252          0       3025
 REX STORES INC                           761624105     291600      21600               X                    0          0      21600
 REYNOLDS METALS CO                       761763101      79032       1500   X                             1500          0          0
 REYNOLDS METALS CO                       761763101     632256      12000               X                    0          0      12000
 RICHEY ELECTRONICS INC                   763302106     132006      12800               X                    0          0      12800
 RIDDELL SPORTS INC                       765670104     120375      21400               X                    0          0      21400
 RIO HOTEL & CASINO INC COM               767147101     498475      31400               X                    0          0      31400
 RITE AID CORP COM                        767754104     179100       3600   X                             3600          0          0
 RITE AID CORP COM                        767754104     987836      19856               X                  956          0      18900
 RIVAL CO                                 768020109     311762      23200               X                    0          0      23200
 RIVERVIEW BANCORP INC                    769397100     184975      15100               X                    0          0      15100
 ROADHOUSE GRILL                          769725102     143800      26600               X                    0          0      26600
 ROANOKE ELEC STL CORP                    769841107     456797      31100               X                    0          0      31100
 ROBERT HALF INTL INC                     770323103     170124       3823   X                             3628          0        195
 ROBERT HALF INTL INC                     770323103     183652       4127               X                 4127          0          0
 ROCK BOTTOM RESTURANTS INC               771833100     115829      21300               X                    0          0      21300
 ROCK OF AGES CORP                        772632105     303525      21300               X                    0          0      21300
 ROCK-TENN CO CL A COM                    772739207     889245      52500               X                    0          0      52500
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              27709532    1137590                               209727          0     927863
</TABLE>
<PAGE>   137
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 148

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ROCKWELL INTL CORP NEW                   773903109     501656      10330   X                            10330          0          0
 ROCKWELL INTL CORP NEW                   773903109    2310239      47572               X                16136          0      31436
 ROCKSHOX INC                             774066104      93806      36600               X                    0          0      36600
 ROCKY SHOES & BOOTS INC COM              774830103      82250      14000               X                    0          0      14000
 ROHM & HAAS CO COM                       775371107     777225      25800               X                    0          0      25800
 ROLLINS TRUCK LEASING CORP               775741101    1094450      74200               X                    0          0      74200
 ROUGE INDS INC DEL                       779088103     326375      37300               X                    0          0      37300
 ROWE T PRICE INTL FDS INC                77956H203     320498      21381   X                            21381          0          0
 ROWE T PRICE INTL FDS INC                77956H203      43821       2923               X                 2668          0        256
 ROYAL DUTCH PETROLEUM CO                 780257804    5028263     105029   X                           103229          0       1800
 ROYAL DUTCH PETROLEUM CO                 780257804    7470702     156046               X                29146          0     126900
 RUBBERMAID INC COM                       781088109      28294        900   X                              900          0          0
 RUBBERMAID INC COM                       781088109     452707      14400               X                 3400          0      11000
 RUSH ENTERPISES INC                      781846100     148500      13500               X                    0          0      13500
 RUSS BERRIE & CO INC COM                 782233100     627450      26700               X                    0          0      26700
 RYANS FAMILY STEAK HOUSES INC COM        783519101     747450      60400               X                    0          0      60400
 RYDER SYS INC COM                        783549108     236600       9100               X                    0          0       9100
 RYLAND GROUP INC                         783764103    1062600      36800               X                    0          0      36800
 S&K FAMOUS BRANDS INC                    783774102     153137      16500               X                    0          0      16500
 SBC COMMUNICATIONS INC COM               78387G103    7420653     138380   X                           135230          0       3150
 SBC COMMUNICATIONS INC COM               78387G103    5680067     105922               X                44842       2783      58297
 SBS TECHNOLOGIES INC                     78387P103     266400      14400               X                    0          0      14400
 SCPIE HLDGS INC                          78402P104     809357      26700               X                    0          0      26700
 SDL INC                                  784076101    2333913      58900               X                    0          0      58900
 SED INTL HLDGS INC                       784109100     127750      29200               X                    0          0      29200
 SJW CORP                                 784305104     240875       4100               X                    0          0       4100
 SMC CORP                                 784460107      51338      11100               X                    0          0      11100
 STANDARD & POORS 500 DEPOSITORY RCPT     78462F103    4780475      38767   X                            33434        795       4538
 STANDARD & POORS 500 DEPOSITORY RCPT     78462F103     194835       1580               X                 1250          0        330
 STB SYS INC                              784741100     272870      40800               X                    0          0      40800
 STM WIRELESS INC                         784776106      75050      15800               X                    0          0      15800
 S3 INC COM                               784849101    1011127     137400               X                    0          0     137400
 SYNC RESH INC COM                        785065103      28631      24100               X                    0          0      24100
 SAFECO CORP                              786429100     863054      20100               X                    0          0      20100
 SAFEWAY INC COM NEW                      786514208    6781181     111280   X                           106160        295       4825
 SAFEWAY INC COM NEW                      786514208    1958852      32145               X                 5415          0      26730
 ST MARYLAND EXPL                         792228108     714100      38600               X                    0          0      38600
 ST PAUL COS                              792860108      18660        536   X                              536          0          0
 ST PAUL COS                              792860108    1127941      32400               X                    0          0      32400
 SANDERSON FARMS INC COM                  800013104     270600      17600               X                    0          0      17600
 SANDISK CORP COM                         80004C101    1045250      74000               X                    0          0      74000
 SANFILIPPO JOHN B & SON INC              800422107      62900      14800               X                    0          0      14800
 SANGSTAT MED CORP                        801003104    1689375      79500               X                    0          0      79500
 SANTA CRUZ OPERATION INC                 801833104     197047      44400               X                    0          0      44400
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              59528324    1821991                               514057       3873    1304062
</TABLE>
<PAGE>   138
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 149

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SARA LEE CORP                            803111103     817057      28986   X                            26986          0       2000
 SARA LEE CORP                            803111103    2108462      74800               X                23550          0      51250
 SAUER INC                                804137107     403864      53400               X                    0          0      53400
 SAVOIR TECHNOLOGY GROUP INC              80533W107     211118      24300               X                    0          0      24300
 SCAN OPTICS INC                          805894102      69397      18200               X                    0          0      18200
 SCHERING PLOUGH CORP COM                 806605101   14549369     263337   X                           255997         60       7280
 SCHERING PLOUGH CORP COM                 806605101   17724532     320806               X               168760       1200     150846
 SCHLUMBERGER LTD                         806857108    5743266     123844   X                           121611          0       2233
 SCHLUMBERGER LTD                         806857108    4117961      88797               X                32175       1000      55622
 SCHNITZER STEEL                          806882106     219938      15300               X                    0          0      15300
 SCHOOL SPECIALTY INC                     807863105     480938      22500               X                    0          0      22500
 SCHULER HOMES                            808188106     269325      37800               X                    0          0      37800
 SCHULMAN A INC COM                       808194104    1045917      46100               X                    0          0      46100
 SCOTSMAN INDS INC COM                    809340102     653903      31800               X                    0          0      31800
 SEAGATE TECHNOLOGY                       811804103      30250       1000   X                             1000          0          0
 SEAGATE TECHNOLOGY                       811804103     959530      31720               X                    0          0      31720
 SEAGRAM LTD COM                          811850106       1824         48   X                               48          0          0
 SEAGRAM LTD COM                          811850106    2997592      78884               X                11184          0      67700
 SEACOR SMIT INC COM                      811904101    1646285      33300               X                    0          0      33300
 SEALED AIR CORP NEW                      81211K100      22161        434   X                              434          0          0
 SEALED AIR CORP NEW                      81211K100     352335       6900               X                  800          0       6100
 SEARS ROEBUCK & CO COM                   812387108     119955       2822   X                             2822          0          0
 SEARS ROEBUCK & CO COM                   812387108    3046018      71671               X                 7191          0      64480
 SEIBELS BRUCE GROUP INC                  816006209      64463      19100               X                    0          0      19100
 SEITEL INC COM NEW                       816074306     725135      58300               X                    0          0      58300
 SELAS CORP AMER                          816119101     123750      15000               X                    0          0      15000
 SELECTED INS GROUP INC                   816300107    1607988      79900               X                    0          0      79900
 SEMPRA ENERGY                            816851109     140831       5550   X                             5550          0          0
 SEMPRA ENERGY                            816851109     450279      17745               X                   45          0      17700
 SEMX CORP                                816854103      36225      12600               X                    0          0      12600
 SEMITOOL INC                             816909105     205188      33500               X                    0          0      33500
 SENSORMATIC ELEC CORP COM                817265101     953975     137500               X                    0          0     137500
 SENTINEL GROUP FUNDS INCORPORATED        817270309      11125        265   X                              265          0          0
 SENTINEL GROUP FUNDS INCORPORATED        817270309     220175       5240               X                 5240          0          0
 SEQUA CORPORATION                        817320104     725266      12113               X                  113          0      12000
 SEQUENT COMPUTER SYS                     817338106    1375182     114000               X                    0          0     114000
 SERVICE CORP INTL                        817565104    7688193     201986   X                           191326         85      10575
 SERVICE CORP INTL                        817565104    2596087      68205               X                14405        700      53100
 SERVICE PIPE & SUPPLY INC                817595911    1057447        231   X                              231          0          0
 SERVICEMASTER CO COM                     81760N109      11153        506   X                              506          0          0
 SERVICEMASTER CO COM                     81760N109     515811      23379               X                23379          0          0
 SHARPER IMAGE CORP                       820013100     249375      21000               X                    0          0      21000
 SHAW GROUP INC COM                       820280105     585600      73200               X                    0          0      73200
 SHELBY WILLIAMS INDS INC                 822135109     121200      10100               X                    0          0      10100
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              77055445    2286169                               893618       3045    1389506
</TABLE>
<PAGE>   139
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 150

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SHELDAHL CO                              822440103     142200      23700               X                    0          0      23700
 SHERIDAN HEALTHCARE INC                  823781109     153263      18300               X                    0          0      18300
 SHERWIN WILLIAMS CO COM                  824348106    1620619      55170   X                            54170          0       1000
 SHERWIN WILLIAMS CO COM                  824348106    1894688      64500               X                30600        900      33000
 SHIVA CORP COM                           824851109     471145      83300               X                    0          0      83300
 SHOE CARNIVAL INC                        824889109     149075      13400               X                    0          0      13400
 SHOPKO STORES INC                        824911101    2866150      86200               X                    0          0      86200
 SHUTTLEWORTH INCORPORATED CLASS B        8256759B9     600600      14300   X                            14300          0          0
 SIGHT RESOURCE CORP COM                  82655N105        200        100   X                              100          0          0
 SIGHT RESOURCE CORP COM                  82655N105      43400      21700               X                    0          0      21700
 SIGMA-ALDRICH CORP                       826552101    2383106      81127   X                            80627          0        500
 SIGMA-ALDRICH CORP                       826552101     479694      16330               X                 7258          0       9072
 SIGMA DESIGNS                            826565103      41688      14500               X                    0          0      14500
 SIGCORP INC COM                          826912107     583677      16355   X                            16355          0          0
 SIGCORP INC COM                          826912107    2248237      62997               X                34681      26384       1932
 SILICON GRAPHICS INC COM                 827056102     178963      13900               X                    0          0      13900
 SILICON STORAGE TECHNOLOGY I             827057100      68020      27900               X                    0          0      27900
 SILICON VALLEY GROUP INCORPORATED        827066101    1035300      81200               X                  400          0      80800
 SIMIONE CENTRAL HOLDINGS INC             828654202      49688      26500               X                    0          0      26500
 SIMON TRANSN SVCS INC                    828813105     113935      19600               X                    0          0      19600
 SIMPSON INDS INC COM                     829060102     490213      50600               X                    0          0      50600
 SITEL CORP COM                           82980K107     373014     153000               X                    0          0     153000
 SIPEX CORP                               829909100    1239913      35300               X                    0          0      35300
 SKYLINE CORP                             830830105     585000      18000               X                    0          0      18000
 SMART & FINAL INC                        831683107     559213      58100               X                    0          0      58100
 SMARTFLEX SYS INC COM                    83169K108     139925      19300               X                    0          0      19300
 SMITH A O CORP CL A                      831865100     364406      14950               X                    0          0      14950
 SMITH A O CORP CL B                      831865209     696361      28350               X                    0          0      28350
 SMITH INTL INC COM                       832110100     481091      19100               X                    0          0      19100
 SMITH, CHARLES E RESIDENTIAL RLTY        832197107     404775      12600               X                    0          0      12600
 SMITHKLINE BEECHAM P L C                 832378301    2532858      36444   X                            30044          0       6400
 SMITHKLINE BEECHAM P L C                 832378301     324565       4670               X                 4350        320          0
 SMURFIT-STONE CONTAINER CORP             832727101     316260      20000               X                    0          0      20000
 SODAK GAMING                             833777105     234427      28200               X                    0          0      28200
 SOFTWARE SPECTRUM INC                    833960107     171450      10800               X                    0          0      10800
 SOFAMOR DANEK GROUP INC COM              834005100     511350       4200   X                             4200          0          0
 SOFAMOR DANEK GROUP INC COM              834005100    1051068       8633               X                 8633          0          0
 SOLA INTL INC COM                        834092108    1611150      93400               X                    0          0      93400
 SOLUTIA INC                              834376105       5370        240   X                              240          0          0
 SOLUTIA INC                              834376105     238473      10658               X                 1218          0       9440
 SONAT INC                                835415100      10825        400   X                              400          0          0
 SONAT INC                                835415100     257099       9500               X                 1400          0       8100
 SONIC AUTOMOTIVE INC                     83545G102    1469700      42600               X                    0          0      42600
 SOURCE INFORMATION MGMT CO               836151209     335963      28900               X                    0          0      28900
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              29528117    1449024                               288976      27604    1132444
</TABLE>
<PAGE>   140
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 151

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SOUTH JERSEY INDUSTRIES INC              838518108     358776      13700               X                    0          0      13700
 SOUTHDOWN INC                            841297104     135718       2293   X                             2293          0          0
 SOUTHDOWN INC                            841297104      70670       1194               X                 1194          0          0
 SOUTHERN CO COM                          842587107     765665      26345   X                            26345          0          0
 SOUTHERN CO COM                          842587107     939665      32332               X                11332          0      21000
 SOUTHERN ENERGY HOMES                    842814105     239488      39100               X                    0          0      39100
 SOUTHERN PAC FDG CORP COM                843576109       3518      45100               X                    0          0      45100
 SOUTHERN UNION CO NEW                    844030106     435094      17850               X                    0          0      17850
 SOUTHTRUST CORP COM                      844730101     318775       8630   X                             8630          0          0
 SOUTHTRUST CORP COM                      844730101     325054       8800               X                  100          0       8700
 SOUTHWEST AIRLINES                       844741108    1172244      51668   X                            50723        240        705
 SOUTHWEST AIRLINES                       844741108      45081       1987               X                 1800          0        187
 SOUTHWEST BANCORPORATION TEX             84476R109     309238      17300               X                    0          0      17300
 SOUTHWEST GAS CORP.                      844895102     923888      34700               X                    0          0      34700
 SOUTHWALL TECHNOLOGIES INC               844909101      93600      20800               X                    0          0      20800
 SOUTHWESTERN ENERGY COMPANY COMMON       845467109     497250      66300               X                    0          0      66300
 SPACELABS MED INC COM                    846247104     529000      23000               X                    0          0      23000
 SPAGHETTI WHSE INC                       846329100     101413      13300               X                    0          0      13300
 SPARTAN MTRS INC COM                     846819100     257600      44800               X                    0          0      44800
 SPARTON CORP                             847235108       4750        800   X                              800          0          0
 SPARTON CORP                             847235108     111041      18700               X                    0          0      18700
 SPECTRAN CORP                            847598109      77963      18900               X                    0          0      18900
 SPECTRUM CTL INC                         847615101     107100      23800               X                    0          0      23800
 SPEEDFAM INTL INC                        847706108     698700      40800               X                    0          0      40800
 SPIEGEL INC CL A NON-VTG                 848457107     231725      40300               X                    0          0      40300
 SPORTSMANS GUIDE INC                     848907200      79688      12500               X                    0          0      12500
 SPORT SUPPLY GROUP INC                   848915104      98050      10600               X                    0          0      10600
 SPRINT CORP COM                          852061100     359978       4279   X                             4279          0          0
 SPRINT CORP COM                          852061100     715063       8500               X                 2500          0       6000
 STANDARD COML CORP COM                   853258101     293711      34300               X                    0          0      34300
 STANDARD MGMT CORP                       853612109     137900      19700               X                    0          0      19700
 STANDARD MICROSYSTEMS CORP               853626109     308614      39500               X                    0          0      39500
 STANDARD MTR PRODS INC COM               853666105     209348       8700               X                    0          0       8700
 STANDARD PAC CORP NEW                    85375C101     995813      70500               X                    0          0      70500
 STANDARD PRODS CO                        853836104     898538      44100               X                    0          0      44100
 STANLEY FURNITURE INC                    854305208     757375      41500               X                    0          0      41500
 STANFORD TELECOMMUNICATIONS              854402104     293550      22800               X                    0          0      22800
 STANLEY WKS COM                          854616109     226856       8175               X                 1675          0       6500
 STARRETT L S CO                          855668109     428913      12500               X                    0          0      12500
 STARTER CORP COM                         855684106      69888      26000               X                    0          0      26000
 STATE STR CORP                           857477103    4060448      57903   X                            53918         45       3940
 STATE STR CORP                           857477103     299784       4275               X                 4275          0          0
 STATE STREET EXCHANGE FUND               857478101   20184401      38501               X                38501          0          0
 STEEL DYNAMICS INC                       858119100     176838      15050   X                            13450          0       1600
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              39347772    1091882                               221815        285     869782
</TABLE>
<PAGE>   141
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 152

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 STEEL DYNAMICS INC                       858119100      71675       6100               X                 5900          0        200
 STEEL TECHNOLOGIES INC                   858147101     211275      31300               X                    0          0      31300
 STEIN ROE MUN TR                         858421308     100234      10618   X                            10618          0          0
 STEPAN CO                                858586100     362100      13600               X                    0          0      13600
 STEPHAN CO COM                           858603103     112750      11000               X                    0          0      11000
 STERLING FINL CORP WASH                  859319105     304300      17900               X                    0          0      17900
 STEWART & STEVENSON SVCS INC COM         860342104     680550      69800               X                    0          0      69800
 STEWART INFORMATION SERVICES CORP        860372101     481400       8300               X                    0          0       8300
 STIFEL FINL CORP                         860630102     175358      16800               X                    0          0      16800
 STONE & WEBSTER INC                      861572105    1147125      34500               X                    0          0      34500
 STORAGE COMPUTER CORP                    86211A101      46382      14000               X                    0          0      14000
 STRATASYS INC                            862685104      65938      13700               X                    0          0      13700
 STRATEGIC DISTR INC                      862701208     250870     102900               X                    0          0     102900
 STRATUS PPTYS INC                        863167102        203         54   X                               54          0          0
 STRATUS PPTYS INC                        863167102      88125      23500               X                    0          0      23500
 STRIDE RITE CORP COM                     863314100     306250      35000               X                    0          0      35000
 STRYKER CORP                             863667101      51374        933   X                              933          0          0
 STRYKER CORP                             863667101     434998       7900               X                    0          0       7900
 SUBURBAN LODGES AMER INC COM             864444104     304594      37200               X                    0          0      37200
 SUMMIT BANCORP COM                       866005101     554838      12700               X                    0          0      12700
 SUMMIT BANCSHARES INC TEX                866011109     445850      24100               X                    0          0      24100
 SUN BANCORP INC                          86663B102     188700      10200               X                    0          0      10200
 SUN MICRO SYSTEMS                        866810104    2301686      26881   X                            26791          0         90
 SUN MICRO SYSTEMS                        866810104    5048536      58961               X                 8925          0      50036
 SUNAMERICA INC COM                       866930100    3014730      36765   X                            34675         35       2055
 SUNAMERICA INC COM                       866930100      84214       1027               X                 1027          0          0
 SUN HEALTHCARE GROUP                     866933104     637924      97200               X                    0          0      97200
 SUNDANCE HOMES INC                       86724Q106      19225      12300               X                    0          0      12300
 SUNOCO INC                               86764P109      57376       1591   X                             1591          0          0
 SUNOCO INC                               86764P109     390130      10818               X                  218          0      10600
 SUNRISE ASSISTED LIVING INC COM          86768K106     539500      10400               X                    0          0      10400
 SUNRISE RESOURCES INC                    86769K105      65325      20100               X                    0          0      20100
 SUNRISE MED INC COM                      867910101     737573      59300               X                    0          0      59300
 SUNTRUST BANKS INC                       867914103    1317713      17225   X                            17225          0          0
 SUNTRUST BANKS INC                       867914103     172125       2250               X                 1450          0        800
 SUPERIOR SURGICAL MFG INC                868358102     221850      15300               X                    0          0      15300
 SUPERVALU INC COM                        868536103     522676      18667   X                            18667          0          0
 SUPERVALU INC COM                        868536103     960064      34288               X                25488          0       8800
 SUPREME INTL CORP                        868610106     272400      22700               X                    0          0      22700
 SUREQUEST SYSTEMS INC                    868663105       1145      10500               X                10500          0          0
 SUSQUEHANNA BANCSHARES INC PA COM        869099101     790185      38604   X                            38604          0          0
 SUSQUEHANNA BANCSHARES INC PA COM        869099101      89286       4362               X                 4362          0          0
 SWIFT ENERGY CO COM                      870738101     280250      38000               X                    0          0      38000
 SWISS ARMY BRANDS INC                    870827102     195388      20300               X                    0          0      20300
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              24104190    1059644                               207028         35     852581
</TABLE>
<PAGE>   142
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 153

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SYMMETRICOM INC COM                      871543104     263507      39400               X                    0          0      39400
 SYNALLOY CP DEL                          871565107     161000      18400               X                    0          0      18400
 SYNBIOTICS CORP                          871566105      60231      23500               X                    0          0      23500
 SYNDICATE SALES INCORPORATED COMMON      8715779A2     284580        791               X                    0          0        791
 SYSCO CORP COM                           871829107    1086545      39600   X                            37600          0       2000
 SYSCO CORP COM                           871829107    1457836      53132               X                27232       1200      24700
 SYNTHETIC INDS INC                       871914107     376875      22500               X                    0          0      22500
 TBA ENTMT CORP                           872173109      68000      16000               X                    0          0      16000
 TBC CORP COM                             872180104     443175      62200               X                    0          0      62200
 TCSI CORP COM                            87233R106     127315      60800               X                    0          0      60800
 TECO ENERGY INC                          872375100     366444      13000   X                            13000          0          0
 TECO ENERGY INC                          872375100     321061      11390               X                 3090          0       8300
 TEI INC                                  872379102      30100      17200               X                    0          0      17200
 TII INDS INC COM NEW                     872479209      27375      14600               X                    0          0      14600
 TJ INTERNATIONAL INC                     872534102    1137978      44300               X                    0          0      44300
 TJX COS INC NEW COM                      872540109    1580500      54500               X                    0          0      54500
 TNP ENTERPRISES INC                      872594106     660121      17400               X                    0          0      17400
 TRC COMPANIES INCORPORATED COMMON        872625108     103400      18800               X                    0          0      18800
 TRW INC COM                              872649108      10932        195   X                              195          0          0
 TRW INC COM                              872649108    1046808      18672               X                 9672          0       9000
 TSI INTERNATIONAL SOFTWARE LTD           872879101     397363       8300               X                    0          0       8300
 T.J. NOWAK SUPPLY CO INC                 872990106     768137        462   X                              462          0          0
 TAB PRODS CO DEL                         873197107      69325      11800               X                    0          0      11800
 TANDY CORP                               875382103      12562        305   X                              305          0          0
 TANDY CORP                               875382103     304791       7400               X                    0          0       7400
 TANDYCRAFTS INC                          875386104     123917      33600               X                    0          0      33600
 TECH SYM CORP                            878308105     389375      17500               X                    0          0      17500
 TECHNICAL CHEMICALS & PRODS              87840Q103      48477      33000               X                    0          0      33000
 TEGAL CORP                               879008100      77913      27100               X                    0          0      27100
 TEKELEC                                  879101103     185506      11200               X                    0          0      11200
 TELCOM SEMICONDUCTOR INC                 87921P107       1450        400   X                              400          0          0
 TELCOM SEMICONDUCTOR INC                 87921P107     164938      45500               X                    0          0      45500
 TELE-COMMUNICATIONS INC                  87924V101       3319         60   X                               60          0          0
 TELE-COMMUNICATIONS INC                  87924V101    2454404      44373               X                  725          0      43648
 TELE COMMUNICATIONS INC NEW              87924V887     897750      38100               X                    0          0      38100
 TELEBANC FINANCIAL CORP                  87925R109     608600      17900               X                    0          0      17900
 TELIGENT INC                             87959Y103     733125      25500               X                    0          0      25500
 TELLABS INCORPORATED COMMON              879664100    1299680      18956   X                            17161         35       1760
 TELLABS INCORPORATED COMMON              879664100    1209451      17640               X                 2940          0      14700
 TELSTAR SATELLITE CORP AMER              879696102          1      25000               X                    0          0      25000
 TEMPLE INLAND INC COM                    879868107      36300        612   X                              612          0          0
 TEMPLE INLAND INC COM                    879868107     510092       8600               X                    0          0       8600
 TEMPLETON FDS FOREIGN FD                 880196209    1739073     207279   X                           193987       2555      10738
 TEMPLETON FDS FOREIGN FD                 880196209     643883      76744               X                47423      22398       6924
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              22293215    1223711                               354864      26188     842661
</TABLE>
<PAGE>   143
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 154

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 TENET HEALTHCARE CORP COM                88033G100    1170750      44600               X                    0          0      44600
 TENNECO INC (NEW)                        88037E101     941467      27639               X                   86        153      27400
 TERRA INDUSTRIES INCORPORATED            880915103    1502446     242800               X                    0          0     242800
 TESLA MAGNETIC HOLDINGS                  8816059A9      68064      31222   X                            31222          0          0
 TESORO PETROLEUM CORP COM                881609101    1886650     155600               X                    0          0     155600
 TESSERACT GROUP INC                      881612105      62475      23800               X                    0          0      23800
 TETRA TECHNOLOGIES INC DEL COM           88162F105    1077393      98500               X                    0          0      98500
 TEXACO INC COM                           881694103     498200       9400   X                             8900          0        500
 TEXACO INC COM                           881694103    4896988      92396               X                  700      17896      73800
 TEXAS INDS INC COM                       882491103     999400      37100               X                    0          0      37100
 TEXAS INSTRS INC COM                     882508104    2244659      26215   X                            24535         15       1665
 TEXAS INSTRS INC COM                     882508104    5291625      61800               X                 1400          0      60400
 TEXAS UTILITIES CO COM (HLDG)            882848104    1669096      35750   X                            35750          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     984043      21077               X                 2477          0      18600
 TEXTRON INC COM                          883203101     743737       9794   X                             9794          0          0
 TEXTRON INC COM                          883203101      87329       1150               X                 1150          0          0
 THERMO BIOANALYSIS CORP                  88355H108     169600      12800               X                    0          0      12800
 THERMO ECOTEK CORP                       88355R106     126756      12000               X                    0          0      12000
 THERMO ELECTRON CORP COM                 883556102      33876       2000   X                             2000          0          0
 THERMO ELECTRON CORP COM                 883556102     333340      19680               X                 2955          0      16725
 THERMO OPTEK CORP                        883582108      86880      10000               X                    0          0      10000
 THERMO POWER CORP COM                    883589103      78418      10200               X                    0          0      10200
 THERMO SENTRON INC                       883593105     270839      27600               X                    0          0      27600
 THERMOQUEST CORP COM                     883655102     245822      19000               X                    0          0      19000
 THERMOSPECTRA CORP COM                   883660102     434250      38600               X                    0          0      38600
 THERMEDICS INC COM                       883901100     290870      26900               X                    0          0      26900
 THORN APPLE VALLEY INC                   885184101      40106      15100               X                    0          0      15100
 3COM CORP COM                            885535104      15685        350   X                              300          0         50
 3COM CORP COM                            885535104    2626042      58600               X                    0          0      58600
 3 D SYSTEMS CORP COM NEW                 88554D205     199500      26600               X                    0          0      26600
 THRUSTMASTER INC                         886027101     232000      14500               X                    0          0      14500
 TIME WARNER INC                          887315109    7209797     116169   X                           110069        490       5610
 TIME WARNER INC                          887315109    3033888      48884               X                16390        400      32094
 TIMES MIRROR CO NEW                      887364107     851200      15200               X                    0          0      15200
 TIPPERARY CORP                           888002300      17008      16000               X                    0          0      16000
 TITAN INTL INC ILL                       88830M102     517750      54500               X                    0          0      54500
 TITANIUM METALS CORP COM                 888339108     737800      86800               X                    0          0      86800
 TOASTMASTER INC COM                      888791100     141400      20200               X                    0          0      20200
 TODD SHIPYARDS COM                       889039103     130625      27500               X                    0          0      27500
 TOKHEIM CORP COM                         889073102      56022       5897   X                             5897          0          0
 TOKHEIM CORP COM                         889073102      92863       9775               X                 9775          0          0
 TOOTSIE ROLL INDS INC COM                890516107     556827      14232   X                            14107          0        125
 TOOTSIE ROLL INDS INC COM                890516107     204937       5238               X                 5238          0          0
 TOOLCRAFT CLASS B NON-VOTING             890990120     685517       4350               X                 4350          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              43543940    1637518                               287095      18954    1331469
</TABLE>
<PAGE>   144
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 155

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 TORCHMARK CORP COM                       891027104     791329      22409   X                            20419          0       1990
 TORCHMARK CORP COM                       891027104     647994      18350               X                  650          0      17700
 TORO CO COM                              891092108     926250      32500               X                    0          0      32500
 TOSCO CORP                               891490302     253575       9800               X                    0          0       9800
 TOWER AIR CORP                           891697104      41611      19300               X                    0          0      19300
 TOYS R US INC COM                        892335100     726640      42900               X                    0          0      42900
 TRANSACTION SYS ARCHITECTS               893416107     710000      14200               X                    0          0      14200
 TRANSAMERICA CORP COM                    893485102      12705        110   X                              110          0          0
 TRANSAMERICA CORP COM                    893485102    1201200      10400               X                 2000          0       8400
 TRANSCOASTAL MARINE SVCS COM             893537100      82241      27700               X                    0          0      27700
 TRANSITION SYS INC MASS                  893715102     180000      12000               X                    0          0      12000
 TRANSMEDIA NETWORK INC                   893767301      23375      11000               X                    0          0      11000
 TRANSTECHNOLOGY CORP                     893889105     348600      16800               X                    0          0      16800
 TRANSWORLD HOME HEALTHCARE INC COM       894081108     202522      43200               X                    0          0      43200
 TRAVEL PORTS AMER INC                    894167105      34375      12500               X                    0          0      12500
 TREMONT CORPORATION NEW COMMON           894745207     541975      16300               X                    0          0      16300
 TREND-LINES INC CL A                     894859107      46875      12500               X                    0          0      12500
 TRI CONTL CORP                           895436103      65949       2314   X                             2314          0          0
 TRI CONTL CORP                           895436103     147488       5175               X                 5175          0          0
 TRIDENT MICROSYSTEMS INC                 895919108     128700      31200               X                    0          0      31200
 TRIGEN ENERGY CORP                       895930105     187583      16400               X                    0          0      16400
 TRICON GLOBAL RESTAURANTS                895953107     118897       2372   X                             2332          0         40
 TRICON GLOBAL RESTAURANTS                895953107     739544      14754               X                 3494          0      11260
 TRIBUNE COMPANY NEW                      896047107     833580      12630   X                            12630          0          0
 TRIBUNE COMPANY NEW                      896047107    1448700      21950               X                  750          0      21200
 TRICO MARINE SERVICES INC                896106101      48750      10000               X                    0          0      10000
 TRION INC COM                            896726106      57600      19200               X                    0          0      19200
 TRUMP HOTEL & CASINO RESORTS INC COM     898168109     220500      58800               X                    0          0      58800
 TRUSTCO BK CORP N Y                      898349105    1023000      34100               X                    0          0      34100
 TUBOSCOPE INC COM                        898600101     349375      43000               X                    0          0      43000
 TULTEX CORP                              899900104      33775      38600               X                    0          0      38600
 II-VI INC COM                            902104108     129150      16400               X                    0          0      16400
 TYCO INTL LTD NEW                        902124106    7458732      98873   X                            94607         85       4181
 TYCO INTL LTD NEW                        902124106    9502334     125963               X                14445          0     111518
 USX-MARATHON GROUP COM NEW               902905827       7893        262   X                              262          0          0
 USX-MARATHON GROUP COM NEW               902905827     659738      21900               X                    0          0      21900
 UST INC COM                              902911106     483019      13850               X                  150          0      13700
 U S BANCORP NEW COM                      902973106      51085       1439   X                             1439          0          0
 U S BANCORP NEW COM                      902973106    3301429      92998               X                 1098          0      91900
 UNUM CORP                                903192102      11675        200   X                                0          0        200
 UNUM CORP                                903192102    1114963      19100               X                    0          0      19100
 URS CORP NEW                             903236107     455813      19500               X                    0          0      19500
 US DIAGNOSTIC INC COM                    90328Q108      25236      29900               X                    0          0      29900
 USEC INC                                 90333E108     735375      53000               X                    0          0      53000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              36111150    1125849                               161875         85     963889
</TABLE>

<PAGE>   145
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 156

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 U S XPRESS ENTERPRISES INC               90338N103     462000      30800               X                    0          0      30800
 UTI ENERGY CORP                          903387108     305225      42100               X                    0          0      42100
 UGLY DUCKLING CORP                       903512101     217375      47000               X                    0          0      47000
 ULTIMATE ELECTRS INC                     903849107     150000      25000               X                    0          0      25000
 ULTRAK INC COM NO PAR                    903898401     262550      35600               X                    0          0      35600
 ULTRALIFE BATTERIES INC                  903899102     117768      22700               X                    0          0      22700
 ULTRATECH STEPPER INC COM                904034105     886400      55400               X                    0          0      55400
 UNI MARTS INC                            904571304      40425      14700               X                    0          0      14700
 UNICO AMERN CORP                         904607108     175950      15300               X                    0          0      15300
 UNICOMP INC NEW                          90465L409      71775      19800               X                    0          0      19800
 UNIFIRST CORP COMMON                     904708104     609107      26700               X                    0          0      26700
 UNILEVER N V COM                         904784501      49763        600   X                              600          0          0
 UNILEVER N V COM                         904784501    3060412      36900               X                    0          0      36900
 UNIMARK GROUP INC                        904789104      70016      32000               X                    0          0      32000
 UNION ACCEPTANCE CORP COM                904832102       4875       1000   X                             1000          0          0
 UNION ACCEPTANCE CORP COM                904832102      74100      15200               X                 4000          0      11200
 UNICOM CORP COM                          904911104      88116       2285   X                             2285          0          0
 UNICOM CORP COM                          904911104     895279      23216               X                  316          0      22900
 UNION CAMP CORP                          905530101     718238      10700               X                    0          0      10700
 UNION CARBIDE CORP COM                   905581104      21250        500   X                                0          0        500
 UNION CARBIDE CORP COM                   905581104     837250      19700               X                  100          0      19600
 UNION ACCEPTANCE CORPORATION             905990107     788658     788658               X               788658          0          0
 UNION PAC CORP COM                       907818108     265376       5889   X                             5889          0          0
 UNION PAC CORP COM                       907818108    1604243      35600               X                 4000          0      31600
 UNION PAC RES GROUP INC COM              907834105      19766       2181   X                             2181          0          0
 UNION PAC RES GROUP INC COM              907834105     320223      35333               X                 2033          0      33300
 UNION PLANTERS COPRORATION COMMON        908068109     720477      15900               X                    0          0      15900
 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     182325      28600               X                    0          0      28600
 UNISOURCE WORLDWIDE INC                  909208100    1564550     215800               X                    0          0     215800
 UNISYS CORP                              909214108     643991      18700               X                    0          0      18700
 UNIT CORPORATION COMMON                  909218109     261750      62500               X                    0          0      62500
 UNITED COS FINL CORP COM                 909870107     255150      75600               X                    0          0      75600
 UNITED FUNDS INC                         910450204     123755      19367   X                            18212          0       1155
 UNITED FDS INC                           910450402      13615       1374   X                             1374          0          0
 UNITED FDS INC                           910450402     144009      14532               X                14532          0          0
 UNITED HEALTH CARE CORP COM              910581107    1270359      29500               X                 1300          0      28200
 UNITED INDUSTRIAL CORP COMMON            910671106     318923      32500               X                    0          0      32500
 UNITED MUN HIGH INCOME FD IN             911033108     105344      19084   X                            19084          0          0
 UNITED RETAIL GROUP INC COM              911380103     376250      35000               X                    0          0      35000
 U S BIOSCIENCE INC COM                   911646206     284645      39600               X                    0          0      39600
 U S AIRWAYS GROUP INC COM                911905107     358800       6900               X                    0          0       6900
 U S HOMES CORP NEW COM                   911920106    1103900      33200               X                    0          0      33200
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              20606982    2004997                               877542          0    1127455
</TABLE>
<PAGE>   146
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 157

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 U S OFFICE PRODS CO                      912325305     451438     116500               X                    0          0     116500
 U S WEST INC NEW                         91273H101     596612       9232   X                             9232          0          0
 U S WEST INC NEW                         91273H101     227545       3521               X                 2928        438        155
 UNITED TECHNOLOGIES CORP COM             913017109   13433888     123530   X                           122217         20       1293
 UNITED TECHNOLOGIES CORP COM             913017109   25549181     234935               X               218235          0      16700
 UNITED WATER RES INC COM                 913190104     722928      30200               X                    0          0      30200
 UNITED WIS SVCS INC NEW                  913238101     174629      20100               X                    0          0      20100
 UNITOG COMPANY NEW COMMON                913267100     431250      15000               X                    0          0      15000
 UNITRIN INC COM                          913275103     502250       7000   X                             7000          0          0
 UNIVERSAL FST PRODS INC                  913543104    1633128      81400               X                    0          0      81400
 UNOCAL CORP                              915289102    1155261      39580               X                 5280          0      34300
 U S FREIGHTWAYS CORP COM                 916906100    1692163      58100               X                    0          0      58100
 URBAN OUTFITTERS INC                     917047102     715500      42400               X                    0          0      42400
 UROCOR INC                               91727P105     166388      26100               X                    0          0      26100
 UROLOGIX INC                             917273104     128680      30500               X                    0          0      30500
 UTILIX CORPORATION COMMON                918031105      44888      17100               X                    0          0      17100
 V F CORP COM                             918204108     581719      12410   X                            12410          0          0
 V F CORP COM                             918204108     425391       9075               X                  175          0       8900
 VLSI TECHNOLOGY INC                      918270109    1274277     116500               X                    0          0     116500
 VTEL CORP COM                            918333105     164545      64200               X                    0          0      64200
 VALUE CITY DEPT STORES INC COM           920387107    1017474      73000               X                    0          0      73000
 VALUEVISION INTL INC                     92047K107       8704       1238   X                             1238          0          0
 VALUEVISION INTL INC                     92047K107     438031      62300               X                    0          0      62300
 VAN KAMPEN AM CAP GOVT SEC F             92113F107      45832       4390   X                             4390          0          0
 VAN KAMPEN AM CAP GOVT SEC F             92113F107      79952       7658               X                 7658          0          0
 VANS INC                                 921930103     275000      40000               X                    0          0      40000
 VANGUARD WELLINGTON FUND INC             921935102    3458622     117841   X                           110047          0       7794
 VANGUARD WELLINGTON FUND INC             921935102     244845       8342               X                 7820          0        523
 VANGUARD TOTAL BOND MARKET               921937108    2501286     243553   X                           243553          0          0
 VANGUARD TOTAL BOND MARKET               921937108    2182309     212494               X               212494          0          0
 VANGUARD BD INDEX FD INC                 921937405      24912       2201   X                                0          0       2201
 VANGUARD BD INDEX FD INC                 921937405     180959      15986               X                    0          0      15986
 VANGUARD/WELLESLEY INCOME FD INC         921938106    1146829      51846   X                            50018          0       1828
 VANGUARD/WELLESLEY INCOME FD INC         921938106     133738       6046               X                 5051        274        721
 VANGUARD/WINDSOR FD INC                  922018205      47292       1584   X                             1584          0          0
 VANGUARD/WINDSOR FD INC                  922018205     306310      10262               X                 2366          0       7896
 VANGUARD CALIF TAX FREE FD               922021308     129510      11860   X                            11860          0          0
 VANGUARD FIXED INCOME SECS FD INC        922031406     490154      45217   X                            43132          0       2085
 VANGUARD FIXED INCOME SECS FD INC        922031604    4599557     448300               X               439350          0       8949
 VANGUARD FIXED INCOME SECS FD INC        922031802     191360      17178   X                            17178          0          0
 VANGUARD FIXED INCOME SECS FD INC        922031802      85600       7684               X                 7214        470          0
 VANGUARD INTL EQUITY INDEX FD INC        922042205     657514      26009   X                            26009          0          0
 VANGUARD INTL EQUITY INDEX FD INC        922042205      50394       1993               X                 1993          0          0
 VARI-L CO INC                            922150107     136134      18000               X                    0          0      18000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              68503979    2492365                              1570432       1202     920731
</TABLE>
<PAGE>   147
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 158

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 VARIFLEX INC                             922242102      99750      19000               X                    0          0      19000
 VARLEN COR COM                           922248109     296936      12875               X                    0          0      12875
 VEECO INSTRUMENTS INC COM                922417100     988125      18600               X                    0          0      18600
 VENTANA MED SYS INC                      92276H106    1868400      86400               X                    0          0      86400
 VANGUARD MONEY MKT RESVS INC             922906201     180209     180209               X               180209          0          0
 VANGUARD MONEY MKT TR                    922906300      10851      10851   X                            10851          0          0
 VANGUARD MUNICIPAL BOND FUND INC         922907100    2248561     143862   X                           118286          0      25575
 VANGUARD MUNICIPAL BOND FUND INC         922907100     216200      13832               X                12788          0       1045
 VANGUARD MUN BD FD INC                   922907209     416622      30907   X                            30907          0          0
 VANGUARD MUN BD FD INC                   922907209      99483       7380               X                 7380          0          0
 VANGUARD MUN BD FD INC                   922907308     599708      53260   X                            53260          0          0
 VANGUARD MUN BD FD INC                   922907308     226424      20109               X                 2189      17920          0
 VANGUARD MUN BD FD INC                   922907407      26953       2457   X                             2457          0          0
 VANGUARD MUN BD FD INC                   922907407     215829      19674               X                19674          0          0
 VANGUARD MUNICIPAL BOND FUND- MONEY      922907506    1133874    1133874               X              1133874          0          0
 VANGUARD MUN BD FD INC                   922907605     128631      10168   X                            10168          0          0
 VANGUARD INDEX TR 500 PORTFOLIO          922908108    9750872      85571   X                            83540          0       2032
 VANGUARD INDEX TR 500 PORTFOLIO          922908108    2686126      23573               X                20503        226       2844
 VERILINK CORP COM                        923432108     147889      40100               X                    0          0      40100
 VERMONT FINANCIAL SERVICES               924180102    1067325      32100               X                    0          0      32100
 VERTEX COMMUNICATIONS CORP               925320103     214313      13500               X                    0          0      13500
 VICORP RESTAURANTS COMMON                925817108     330150      21300               X                    0          0      21300
 VIDEO DISPLAY CORP                       926555103      65800      11200               X                    0          0      11200
 VIISAGE TECHNOLOGY INC                   92675K106      13000      10400               X                    0          0      10400
 VINTAGE PETE INC                         927460105     690863      80100               X                    0          0      80100
 VISIO CORP                               927914101    1104203      30200               X                    0          0      30200
 VISTA MED TECHNOLOGIES INC               928369107      50827      17300               X                    0          0      17300
 VISUAL NETWORKS INC                      928444108     333750       8900               X                    0          0       8900
 VITAL SIGNS INC COM                      928469105     623000      35600               X                    0          0      35600
 VODAFONE GROUP PLC SPONORED ADR          92857T107    1611250      10000   X                            10000          0          0
 WFS FINL INC COM                         92923B106     426250      68200               X                    0          0      68200
 WFI INDS LTD                             92923V102     736710    1506564   X                          1506564          0          0
 WHX CORP COM                             929248102     230443      22900               X                    0          0      22900
 WICOR INC                                929253102       1134         52   X                               52          0          0
 WICOR INC                                929253102    1729771      79300               X                    0          0      79300
 WLR FOODS INC COM                        929286102     355500      39500               X                    0          0      39500
 WPI GROUP INC                            92930K107     107625      24600               X                    0          0      24600
 WABASH NATL CORP COM                     929566107    1015650      50000               X                 2900          0      47100
 WABASH VALLEY BROADCASTING               929580918     985352       6944               X                 4886       2058          0
 WACHOVIA CORP COM                        929771103    3936459      45020   X                            40520          0       4500
 WACHOVIA CORP COM                        929771103    1473330      16850               X                14500        150       2200
 WACKENHUT CORP COM SER B                 929794303     274225      12500               X                    0          0      12500
 WACKENHUT CORRECTIONS CORP               929798106     781463      27300               X                    0          0      27300
 WAL MART STORES INC                      931142103   15535520     190765   X                           185545         75       5145
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              55035356    4273797                              3451053      20429     802316
</TABLE>
<PAGE>   148
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 159

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 WAL MART STORES INC                      931142103    8133132      99869               X                31382       1200      67287
 WALGREEN CO COM                          931422109   23632396     403538   X                           394658        300       8580
 WALGREEN CO COM                          931422109    5418600      92526               X                77066       1100      14360
 WALL DATA INC                            932045107     465600      19400               X                    0          0      19400
 WARNER LAMBERT CO COM                    934488107    2945791      39179   X                            36579          0       2600
 WARNER LAMBERT CO COM                    934488107    7082033      94191               X                30989          0      63202
 WASHINGTON HOMES INC                     938864105     143350      24400               X                    0          0      24400
 WASHINGTON MUTUAL INC COM                939322103     222805       5806   X                             5806          0          0
 WASHINGTON MUTUAL INC COM                939322103    2920338      76100               X                    0          0      76100
 WASHINGTON POST CO CL B                  939640108      46235         80   X                               80          0          0
 WASHINGTON POST CO CL B                  939640108     462350        800               X                    0          0        800
 WASTE MANAGEMENT INC NEW COM             94106L109     302130       6480   X                             6030          0        450
 WASTE MANAGEMENT INC NEW COM             94106L109    5330496     114327               X                18052          0      96275
 WATERLINK INC                            94155N105     112013      30900               X                    0          0      30900
 WATERFIELD MORTGAGE COMPANY, INC         941995102     795084     285056               X               285056          0          0
 WATERFIELD MORTGAGE COMPANY, INC         941995300      57834      68670               X                68670          0          0
 WATERFIELD MORTGAGE COMPANY, INC         941995409    3248060      84640   X                            84640          0          0
 WATKINS JOHNSON CO                       942486101     415650      20400               X                    0          0      20400
 WATSON PHARMACUTICALS INC COM            942683103      31438        500   X                              500          0          0
 WATSON PHARMACUTICALS INC COM            942683103     204344       3250               X                 1350          0       1900
 WATTS INDUSTRIES CLASS A                 942749102     704900      42400               X                    0          0      42400
 WEBB DEL CORP COM                        947423109    1278923      46400               X                    0          0      46400
 WEBCO INDS INC                           947621108     106663      16100               X                    0          0      16100
 WEEKS CORP                               94856P102    1274098      45200               X                    0          0      45200
 WEIRTON STEEL CORP                       948774104     141139      90300               X                    0          0      90300
 WELLMAN INC                              949702104     908770      89200               X                    0          0      89200
 WELLS FARGO & CO NEW                     949746101   10799155     270398   X                           261142        250       9006
 WELLS FARGO & CO NEW                     949746101   21574188     540192               X               296224       1100     242868
 WENDYS INTL INC COM                      950590109       3501        160   X                              160          0          0
 WENDYS INTL INC COM                      950590109     224674      10300               X                 1000          0       9300
 WERNER ENTERPRISES INC COM               950755108     640076      36187   X                            34687          0       1500
 WERNER ENTERPRISES INC COM               950755108    1587498      89750               X                 2625        625      86500
 WEST INC COM                             953348109     792274      22200               X                    0          0      22200
 WESTAMERICA BANCORPORATION               957090103     554925      15100               X                    0          0      15100
 WESTERFED FINL CORP                      957550106     271875      15000               X                    0          0      15000
 WESTCORP INC                             957907108     453051      65300               X                    0          0      65300
 WESTERN RES INC COM                      959425109      93145       2801   X                             2801          0          0
 WESTERN RES INC COM                      959425109     209143       6290               X                 1990          0       4300
 WESTON ROY F INC NEW COM                 961137106      43450      15800               X                    0          0      15800
 WESTVACO CORP                            961548104     201098       7500               X                    0          0       7500
 WEYERHAEUSER CO COM                      962166104     109248       2150   X                             2150          0          0
 WEYERHAEUSER CO COM                      962166104     998475      19650               X                 5050          0      14600
 WHIRLPOOL CORP COM                       963320106     802938      14500               X                    0          0      14500
 WICKES INC COM                           967446105      65025      15300               X                    0          0      15300
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             105807911    2948290                              1648687       4575    1295028
</TABLE>
<PAGE>   149
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 160

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 WILLAMETTE INDS INC COM                  969133107      92125       2750   X                             2750          0          0
 WILLAMETTE INDS INC COM                  969133107     405350      12100               X                 4000          0       8100
 WILLIAMS CLAYTON ENERGY INC COM          969490101     220000      22000               X                    0          0      22000
 WILLIS LEASE FINANCE CORP                970646105    1324575      84100               X                    0          0      84100
 WILSHIRE FINL SVCS GROUP INC             971867106      21625      34600               X                    0          0      34600
 WILSHIRE OIL CO TEX                      971889100      84150      18700               X                    0          0      18700
 WINN DIXIE STORES INC COM                974280109      71800       1600   X                             1600          0          0
 WINN DIXIE STORES INC COM                974280109     161550       3600               X                 3600          0          0
 WISCONSIN ENERGY CORP                    976657106     312022       9925   X                             7875          0       2050
 WISCONSIN ENERGY CORP                    976657106     502379      15980               X                 7415          0       8565
 WISER OIL CO DEL                         977284108      54400      25600               X                    0          0      25600
 WOLOHAN LUMBER CO.                       977865104     240500      18500               X                    0          0      18500
 WOLVERINE TUBE INC.                      978093102     787500      37500               X                    0          0      37500
 WORKGROUP TECHNOLOGY CORP COM            980903108      30938      16500               X                    0          0      16500
 WORLDTEX INC                             981907108     122500      35000               X                    0          0      35000
 WRIGLEY WM JR CO                         982526105     215130       2402   X                             2402          0          0
 WRIGLEY WM JR CO                         982526105    1104222      12329               X                 2281          0      10048
 XILINX INC COM                           983919101     270269       4150   X                             4150          0          0
 XILINX INC COM                           983919101     322369       4950               X                 1250          0       3700
 XETEL CORP                               983942103      48238      22700               X                    0          0      22700
 XEROX CORP COM                           984121103    3149447      26690   X                            24985         20       1685
 XEROX CORP COM                           984121103    3897422      33029               X                 5779        150      27100
 YANKEE ENERGY SYS INC COM                984779108     863556      29650               X                    0          0      29650
 YELLOW CORP COM                          985509108    1260338      65900               X                    0          0      65900
 YORK INTL CORP NEW COM                   986670107     257938       6320   X                             5900          0        420
 YORK INTL CORP NEW COM                   986670107     188556       4620               X                 3795          0        825
 YORK RESH CORP                           987048105      61425      18200               X                    0          0      18200
 ZENITH NATL INS CO                       989390109     642875      27800               X                    0          0      27800
 ZYGO CORP                                989855101     237188      27500               X                    0          0      27500
 ZEMEX CORP                               989917109     144713      23154               X                    0          0      23154
 MELLON DT MARKET COMPLETION FUND         990102774    3013595      34217   X                            34217          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              20108695     682066                               111999        170     569897
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                         6375739714  182221197                            110851410    1826227   69543561
</TABLE>
<PAGE>   150
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 161

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   151
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 162

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   152
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 20-NATIONAL CITY BANK, INDIANA          ON 05/11/99 AS OF 12/31/98

DEPT ID# 020                                                            PAGE 163

 **SUMMARY PAGE FOR: 20-NATIONAL CITY BANK, INDIANA      **

<TABLE>
<CAPTION>
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                 <C>         <C>                                  <C>          <C>       <C>     
 A. COMMON STOCK                                    6375739714  182221197                            110851410    1826227   69543561
 B. PREFERRED STOCK                                          0          0                                    0          0          0
 C. OTHER                                                    0          0                                    0          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                   6375739714  182221197                            110851410    1826227   69543561
</TABLE>
<PAGE>   153
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 164

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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      96159       1001   X                              627          0        374
 DAIMLERCHRYSLER AG                       D1668R123     155622       1620               X                 1371        249          0
 AFLAC INC                                001055102      33345        760   X                              760          0          0
 AFLAC INC                                001055102     403211       9190               X                 5440          0       3750
 AT&T CORP COM                            001957109   12554729     165739   X                           165739          0          0
 AT&T CORP COM                            001957109    2858123      37731               X                37426          0        305
 ABBOTT LABS COM                          002824100   32755716     668484   X                           667984          0        500
 ABBOTT LABS COM                          002824100    8886150     181350               X               172816          0       8534
 AEGON N V                                007924103   32593439     266613   X                           266613          0          0
 AEGON N V                                007924103   12028911      98396               X                97528          0        868
 AIR PRODS & CHEMS INC COM                009158106     492000      12300   X                            12300          0          0
 AIR PRODS & CHEMS INC COM                009158106      72000       1800               X                 1800          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     624633       8623   X                             8623          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     151251       2088               X                 1488          0        600
 ALBERTSONS INC COM                       013104104    1581691      24835   X                            24635          0        200
 ALBERTSONS INC COM                       013104104     387860       6090               X                 5440          0        650
 ALGER FD                                 015565609     399046      30625   X                            30625          0          0
 ALLEGHENY ENERGY INC                     017361106     377085      10930   X                            10930          0          0
 ALLEGHENY ENERGY INC                     017361106      47024       1363               X                 1363          0          0
 ALLERGAN INC COM                         018490102     146788       2267   X                             2267          0          0
 ALLERGAN INC COM                         018490102      64750       1000               X                 1000          0          0
 ALLIANCE CAP MGMT L P                    018548107     214240       8320   X                             8320          0          0
 ALLIEDSIGNAL INC                         019512102     720707      16264   X                            16264          0          0
 ALLIEDSIGNAL INC                         019512102     297340       6710               X                 6710          0          0
 ALLSTATE CORP COM                        020002101    1206398      31335   X                            29835          0       1500
 ALLSTATE CORP COM                        020002101    1197427      31102               X                31102          0          0
 ALLTEL CORP COM                          020039103     295895       4947   X                             4947          0          0
 ALLTEL CORP COM                          020039103      11006        184               X                  184          0          0
 ALUMINUM CO AMER COM                     022249106     140104       1879   X                             1879          0          0
 ALUMINUM CO AMER COM                     022249106     416509       5586               X                 5586          0          0
 AMEREN CORP COM                          023608102     766548      17957   X                            17957          0          0
 AMEREN CORP COM                          023608102     130881       3066               X                 3066          0          0
 AMERICA ONLINE INC DEL                   02364J104    1352845       8721   X                             5065          0       3656
 AMERICA ONLINE INC DEL                   02364J104     542938       3500               X                 3500          0          0
 AMERICAN ELEC PWR INC COM                025537101     442957       9412   X                             9412          0          0
 AMERICAN ELEC PWR INC COM                025537101     122411       2601               X                 2601          0          0
 AMERICAN EXPRESS CO COM                  025816109    2972808      29003   X                            29003          0          0
 AMERICAN EXPRESS CO COM                  025816109    1476000      14400               X                14400          0          0
 AMERICAN GEN CORP COM                    026351106    1057758      13561   X                            13561          0          0
 AMERICAN GEN CORP COM                    026351106      21060        270               X                  270          0          0
 AMERICAN HOME PRODS CORP COM             026609107   25964165     460562   X                           456362          0       4200
 AMERICAN HOME PRODS CORP COM             026609107    9595081     170201               X               169601          0        600
 AMERICAN INTL GROUP INC COM              026874107   18296814     189359   X                           189191          0        168
 AMERICAN INTL GROUP INC COM              026874107    3391731      35102               X                32736          0       2366
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             177343156    2596847                              2568327        249      28271
</TABLE>
<PAGE>   154
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 165

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 STORES CO NEW COM              030096101    1330655      36024   X                            36024          0          0
 AMERITECH CORP NEW COM                  030954101    7061243     111420   X                           111020          0        400
 AMERITECH CORP NEW COM                  030954101    1579052      24916               X                24916          0          0
 AMGEN INC COM                           031162100     465828       4455   X                             4455          0          0
 AMP INC COM                             031897101     332266       6382   X                             6382          0          0
 AMP INC COM                             031897101     443212       8513               X                 8513          0          0
 AMOCO CORP COM                          031905102   27658059     461930   X                           461930          0          0
 AMOCO CORP COM                          031905102   13849986     231315               X               231315          0          0
 AMSOUTH BANCORP COM                     032165102     205313       4500               X                 4500          0          0
 ANHEUSER BUSCH COS INC COM              035229103    2212284      33711   X                            33711          0          0
 ANHEUSER BUSCH COS INC COM              035229103    1640625      25000               X                25000          0          0
 ARCHER DANIELS MIDLAND CO COM           039483102     312942      18274   X                            18274          0          0
 ARCHER DANIELS MIDLAND CO COM           039483102     313953      18333               X                18333          0          0
 ARMADA TAX MANAGED EQUITY FD            042086330     245530      20529   X                            20529          0          0
 ARMADA SMALL CAP GROWTH FD              042086579     179332      15772   X                            15772          0          0
 ARMADA CORE EQUITY FD                   042086595     905905      69631   X                            68553          0       1078
 ARMADA INTERNATIONAL EQUITY FD          042086629    1620346     146241   X                           146241          0          0
 ARMADA INTERNATIONAL EQUITY FD          042086629      14800       1336               X                 1336          0          0
 ARMADA GNMA FD                          042086660     765198      74147   X                            74147          0          0
 ARMADA GNMA FD                          042086660     181212      17559               X                17559          0          0
 ARMADA BOND FD INSTL CL #630            042086686  111732008   10784943   X                         10774596          0      10347
 ARMADA BOND FD INSTL CL #630            042086686   10220164     986502               X               986502          0          0
 ARMADA OHIO TAX EXEMPT FD #612          042086751     182573      16287   X                            16287          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND      042086777  160478336   15327444   X                         15312323          0      15121
 ARMADA TOTAL RETURN ADVANTAGE FUND      042086777    1967170     187886               X               187871          0         15
 ARMADA INTERMEDIATE BD FUND             042086793   10291784     959160   X                           959160          0          0
 ARMADA INTERMEDIATE BD FUND             042086793     289595      26989               X                26989          0          0
 ARMADA ENHANCED INCOME FUND             042086827   43717142    4332720   X                          4332720          0          0
 ARMADA ENHANCED INCOME FUND             042086827     142260      14099               X                14094          0          5
 ARMADA SMALL CAP VALUE FUND             042086843    9795923     747780   X                           742106          0       5674
 ARMADA SMALL CAP VALUE FUND             042086843    1899341     144988               X               134849       3536       6603
 ARMADA EQUITY INCOME FUND               042086868   77895904    4476776   X                          4476776          0          0
 ARMADA EQUITY INCOME FUND               042086868   12669304     728121               X               699435          0      28685
 ARMADA EQUITY GROWTH FD                 042086884  110039121    4545193   X                          4543153          0       2040
 ARMADA EQUITY GROWTH FD                 042086884   10308067     425777               X               298138       2034     125605
 ARMADA MONEY MARKET PORTFOLIO           042086983     406648     406648   X                           406648          0          0
 ARMSTRONG WORLD INDS INC COM            042476101     279852       4640   X                             4640          0          0
 ASHLAND BANCSHARES INC COM              044146108     435610       1778   X                             1778          0          0
 ASHLAND INC COM                         044204105     677202      13999   X                            13999          0          0
 ASHLAND INC COM                         044204105      10981        227               X                  214          0         13
 ASSOCIATED BANC CORP COM                045487105     519179      15186   X                            15186          0          0
 ASSOCIATES FIRST CAP CORP COM           046008108     999203      23580   X                            22532          0       1048
 ASSOCIATES FIRST CAP CORP COM           046008108     260606       6150               X                 5862        288          0
 ATLANTIC RICHFIELD CO COM               048825103   13972141     213723   X                           213323          0        400
                                                   ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                            640507855   45720584                             45517691       5858     197034
</TABLE>
<PAGE>   155
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 166

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 ATLANTIC RICHFIELD CO COM                048825103    2472548      37821               X                35821          0       2000
 AUDRE RECOGNITION SYS INC                050904101         32      32250   X                            32250          0          0
 AUTOLIV INC                              052800109     241499       6494   X                             6494          0          0
 AUTOLIV INC                              052800109       2529         68               X                   68          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    6647585      82900   X                            82900          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103     862021      10750               X                10445          0        305
 AVALONBAY CMNTYS INC                     053484101     160427       4684   X                             4684          0          0
 AVALONBAY CMNTYS INC                     053484101     144432       4217               X                 4217          0          0
 AVON PRODS INC COM                       054303102     236295       5340   X                             5340          0          0
 BG PLC                                   055434104     221036       6762   X                             6762          0          0
 BG PLC                                   055434104      34584       1058               X                 1058          0          0
 BANK NEW YORK INC COM                    064057102     516810      12840   X                            12840          0          0
 BANK ONE CORP COM                        06423A103   15408005     301745   X                           301230          0        515
 BANK ONE CORP COM                        06423A103    9019053     176626               X               174419        324       1883
 BANKAMERICA CORP NEW                     06605F102    2637443      43866   X                            43866          0          0
 BANKAMERICA CORP NEW                     06605F102     401094       6671               X                 6671          0          0
 BANKERS TR CORP COM                      066365107    1024060      11986   X                            11986          0          0
 BANKERS TR CORP COM                      066365107      85609       1002               X                  852          0        150
 BARD C R INC COM                         067383109     311850       6300   X                             6300          0          0
 BARON ASSET FD                           068278100     738030      14603   X                            14603          0          0
 BAXTER INTL INC COM                      071813109     224903       3497   X                             3497          0          0
 BAXTER INTL INC COM                      071813109     423115       6579               X                 6579          0          0
 BEARGRASS CORP COM                       073000606      10000      20000   X                            20000          0          0
 BECKMAN COULTER INC                      075811109      24684        455   X                              455          0          0
 BECKMAN COULTER INC                      075811109    1008670      18593               X                18593          0          0
 BECTON DICKINSON & CO COM                075887109     247590       5800   X                             5800          0          0
 BELL ATLANTIC CORP COM                   077853109   11572848     214312   X                           212112          0       2200
 BELL ATLANTIC CORP COM                   077853109    2051028      37982               X                37982          0          0
 BELLSOUTH CORP COM                       079860102   22914620     459441   X                           458441          0       1000
 BELLSOUTH CORP COM                       079860102    8516156     170750               X               167650        400       2700
 BERKSHIRE HATHAWAY INC DEL               084670108    4576100         67   X                               67          0          0
 BERKSHIRE HATHAWAY INC DEL               084670108     273200          4               X                    4          0          0
 BERKSHIRE HATHAWAY INC DEL CL B          084670207     693250        295   X                              295          0          0
 BEST FOODS                               08658U101     750985      14103   X                            14103          0          0
 BEST FOODS                               08658U101     368117       6913               X                 6913          0          0
 BIOMET INC COM                           090613100     163013       4050   X                             4050          0          0
 BIOMET INC COM                           090613100      80500       2000               X                 2000          0          0
 BOEING CO COM                            097023105    1945233      59624   X                            58124          0       1500
 BOEING CO COM                            097023105     666398      20426               X                20426          0          0
 BOND FD AMER INC COM                     097873103     348726      25623   X                            25623          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   11908592     393282   X                           393282          0          0
 BRANDYWINE FD INC COM                    10532D107      45496       1503               X                 1503          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             110963666    2251532                              2238555        724      12253
</TABLE>
<PAGE>   156
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 167

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 BRIGHTPOINT INC COM                      109473108     489156      35575   X                            35575          0          0
 BRIGHTPOINT INC COM                      109473108      83875       6100               X                 6100          0          0
 BRISTOL MYERS SQUIBB CO                  110122108   72929263     545009   X                           542509          0       2500
 BRISTOL MYERS SQUIBB CO                  110122108   25369473     189589               X               187614        200       1775
 BRITISH PETE PLC ADR                     110889409     193479       2132   X                             2132          0          0
 BRITISH PETE PLC ADR                     110889409     410190       4520               X                 4520          0          0
 BROWN FORMAN CORP CL A                   115637100  157889657    2263651   X                            77869          0    2185782
 BROWN FORMAN CORP CL A                   115637100  833324454   11947304               X               299351          0   11647953
 BROWN FORMAN CORP CL B                   115637209   10259584     135551   X                           133945          0       1606
 BROWN FORMAN CORP CL B                   115637209  681155216    8999514               X              1808998          0    7190516
 BROWNING FERRIS INDS INC COM             115885105     527269      18541   X                            18541          0          0
 BROWNING FERRIS INDS INC COM             115885105     193378       6800               X                 6800          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104    1430588      41769   X                            40419          0       1350
 BURLINGTON NORTHERN SANTA FE CORP        12189T104     660683      19290               X                19290          0          0
 BURLINGTON RES INC COM                   122014103     388929      10860   X                            10076          0        784
 BURLINGTON RES INC COM                   122014103     218459       6100               X                 6100          0          0
 CBS CORP                                 12490K107      49220       1500   X                             1500          0          0
 CBS CORP                                 12490K107     151071       4604               X                 4604          0          0
 CCALL.COM INC                            1250009A9      50000      62282   X                            62282          0          0
 CIGNA CORP COM                           125509109     221966       2871   X                             2871          0          0
 CIGNA CORP COM                           125509109     115970       1500               X                 1500          0          0
 CSX CORP COM                             126408103    2183938      52625   X                            52625          0          0
 CSX CORP COM                             126408103     638104      15376               X                15376          0          0
 CVS CORPORATION (DEL)                    126650100    3062950      55690   X                            55090          0        600
 CVS CORPORATION (DEL)                    126650100     464420       8444               X                 8444          0          0
 CALVERT SOCIAL INVT FD                   131618209      33586      33586   X                                0          0      33586
 CAMCO FINL CORP                          132618109     220320      15000   X                            15000          0          0
 CAMPBELL SOUP CO COM                     134429109     286000       5200   X                             5200          0          0
 CAMPBELL SOUP CO COM                     134429109     440000       8000               X                 8000          0          0
 CAPITAL INCOME BLDR FD                   140193103     549198      11569   X                            11569          0          0
 CARDINAL HEALTH INC COM                  14149Y108     678095       8937   X                             8937          0          0
 CARNIVAL CORP COM                        143658102    3412320      71090   X                            70690          0        400
 CARNIVAL CORP COM                        143658102    1173120      24440               X                23830          0        610
 CAROLINA PWR & LT CO COM                 144141108     293720       6241   X                             6241          0          0
 CAROLINA PWR & LT CO COM                 144141108      11766        250               X                  250          0          0
 CATERPILLAR INC COM                      149123101     709780      15430   X                            15430          0          0
 CATERPILLAR INC COM                      149123101    1295498      28163               X                27663        500          0
 CENTRAL & SOUTH WEST CORP COM            152357109    1185047      43190   X                            43190          0          0
 CENTRAL & SOUTH WEST CORP COM            152357109     149976       5466               X                 5466          0          0
 CENTRAL PKG CORP COM                     154785109     332814      10260   X                            10260          0          0
 CENTRAL PKG CORP COM                     154785109      24329        750               X                  750          0          0
 CERIDIAN CORP                            15677T106     312762       4480   X                             4480          0          0
 CHAMPION INDS INC W VA                   158520106     161950      15800   X                            15800          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108    1776846      25026   X                            24426          0        600
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                            1805508419   24770075                              3701313        700   21068062
</TABLE>
<PAGE>   157
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 168

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     626433       8823               X                 8023        200        600
 CHEVRON CORP COM                         166751107   28473196     343307   X                           341002          0       2305
 CHEVRON CORP COM                         166751107    9772170     117825               X               117185          0        640
 CHUBB CORP COM                           171232101     634874       9805   X                             9805          0          0
 CHUBB CORP COM                           171232101     345765       5340               X                 5340          0          0
 CHURCHILL DOWNS INC COM                  171484108    1528162      46484   X                            46484          0          0
 CHURCHILL DOWNS INC COM                  171484108     274835       8360               X                 8360          0          0
 CHURCHILL TAX FREE FD KY                 171562101    1434778     132727   X                           132727          0          0
 CHURCHILL TAX FREE FD KY                 171562101     544143      50337               X                50337          0          0
 CHURCHILL TAX FREE FD KY                 171562408    3721154     343914   X                           343914          0          0
 CINCINNATI BELL INC COM                  171870108     490964      12984   X                            12984          0          0
 CINCINNATI BELL INC COM                  171870108       3101         82               X                   82          0          0
 CINCINNATI FINL CORP COM                 172062101    1019201      27828   X                            27828          0          0
 CINCINNATI FINL CORP COM                 172062101     122181       3336               X                 3336          0          0
 CISCO SYS INC                            17275R102   12006847     129366   X                           126066          0       3300
 CISCO SYS INC                            17275R102    1530672      16492               X                15892          0        600
 CINTAS CORP COM                          172908105    2966919      42121   X                            42121          0          0
 CINTAS CORP COM                          172908105     228924       3250               X                 2050          0       1200
 CITIGROUP INC COM                        172967101    1273603      25632   X                            25632          0          0
 CITIGROUP INC COM                        172967101     167697       3375               X                 3375          0          0
 CITIZENS UTILS CO DEL                    177342201     124296      15537   X                            11757          0       3780
 CITIZENS UTILS CO DEL                    177342201      17480       2185               X                 2185          0          0
 CLASSIC BANCSHARES INC COM               18272M104     159090      10650               X                10650          0          0
 CLOROX CO COM                            189054109    3701454      31687   X                            31687          0          0
 CLOROX CO COM                            189054109     868154       7432               X                 7432          0          0
 COCA COLA CO COM                         191216100   62945160     939480   X                           934480          0       5000
 COCA COLA CO COM                         191216100   30895911     461133               X               435549          0      25584
 COLGATE-PALMOLIVE CO COM                 194162103    2582064      27801   X                            27801          0          0
 COLGATE-PALMOLIVE CO COM                 194162103    1653918      17808               X                16974          0        834
 COLUMBIA/HCA HEALTHCARE CORP COM         197677107    3110679     125684   X                           125684          0          0
 COLUMBIA/HCA HEALTHCARE CORP COM         197677107    1529822      61811               X                61811          0          0
 COMCAST CORP                             200300200     309873       5280   X                             5280          0          0
 COMCAST CORP                             200300200      93783       1598               X                 1598          0          0
 COMERICA INC                             200340107     727020      10662   X                            10662          0          0
 COMERICA INC                             200340107     214860       3151               X                 3151          0          0
 COMMONWEALTH FINANCIAL CORP              202999A16     501000        334               X                  167          0        167
 COMPAQ COMPUTER CORP COM                 204493100    5493852     130806   X                           129031          0       1775
 COMPAQ COMPUTER CORP COM                 204493100    1115940      26570               X                25570       1000          0
 CONAGRA INC COM                          205887102     174762       5548   X                             5548          0          0
 CONAGRA INC COM                          205887102     212625       6750               X                 6750          0          0
 CONSOLIDATED EDISON INC                  209115104    1085101      20522   X                            20522          0          0
 CONSOLIDATED EDISON INC                  209115104     301916       5710               X                 5710          0          0
 CONSOLIDATED NAT GAS CO COM              209615103    1109376      20544   X                            20544          0          0
 CONSOLIDATED NAT GAS CO COM              209615103     467640       8660               X                 8660          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             186561395    3278731                              3231746       1200      45785
</TABLE>
<PAGE>   158
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 169

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CORNING INC COM                          219350105     620190      13782   X                            13782          0          0
 CORNING INC COM                          219350105     197235       4383               X                 4383          0          0
 CORRECTIONS CORP AMER COM                220256101    1019183      57826   X                            57826          0          0
 COSTCO COMPANIES INC                     22160Q102     682538       9455   X                             9455          0          0
 COSTCO COMPANIES INC                     22160Q102      21656        300               X                  300          0          0
 COVENTRY GROUP INC                       222861700     616517      59224   X                            59224          0          0
 COX TECHNOLOGIES INC                     224056101       2900      10000   X                            10000          0          0
 CRACKER BARREL OLD CTRY STORE            224100107     380422      16318   X                            16318          0          0
 CRACKER BARREL OLD CTRY STORE            224100107      50030       2146               X                 2146          0          0
 CROWN PAC PARTNERS LP                    228439105     446250      21000   X                            21000          0          0
 DPL INC COM                              233293109     241378      11162   X                            11162          0          0
 DPL INC COM                              233293109      36481       1687               X                 1687          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    3528257      65037   X                            65037          0          0
 DAYTON HUDSON CORP COM                   239753106    1067098      19670               X                19670          0          0
 DEAN FOODS CO COM                        242361103      15346        376   X                              376          0          0
 DEAN FOODS CO COM                        242361103     313281       7676               X                 7676          0          0
 DEERE & CO COM                           244199105     424844      12923   X                            12923          0          0
 DEERE & CO COM                           244199105     129265       3932               X                 3932          0          0
 DELL COMPUTER CORP                       247025109    2880680      39360   X                            38860          0        500
 DELL COMPUTER CORP                       247025109     204195       2790               X                 2790          0          0
 DEVELOPERS DIVERSIFIED                   251591103     182790      10298   X                            10298          0          0
 DEVELOPERS DIVERSIFIED                   251591103      14200        800               X                  800          0          0
 DIEBOLD INC COM                          253651103    1543149      43240   X                            42790          0        450
 DIEBOLD INC COM                          253651103     916432      25679               X                24079          0       1600
 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    7335210     244507   X                           243907          0        600
 DISNEY WALT CO COM                       254687106    1538370      51279               X                51279          0          0
 DOLLAR GEN CORP COM                      256669102     497802      21071   X                            21071          0          0
 DOLLAR GEN CORP COM                      256669102      42525       1800               X                 1800          0          0
 DOMINION RES INC VA COM                  257470104     682550      14600   X                            14275          0        325
 DOMINION RES INC VA COM                  257470104     298639       6388               X                 6388          0          0
 DOVER CORP COM                           260003108     476125      13000   X                            13000          0          0
 DOVER CORP COM                           260003108      10988        300               X                  300          0          0
 DOW CHEM CO COM                          260543103    2722502      29938   X                            29938          0          0
 DOW CHEM CO COM                          260543103    1054790      11599               X                11599          0          0
 DU PONT E I DE NEMOURS & CO              263534109   13493322     254289   X                           254289          0          0
 DU PONT E I DE NEMOURS & CO              263534109    4837701      91169               X                91169          0          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104     126023      11202   X                            11202          0          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104      67500       6000               X                 6000          0          0
 DUKE ENERGY CORP COM                     264399106     610456       9529   X                             9529          0          0
 DUKE ENERGY CORP COM                     264399106     585536       9140               X                 9140          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              52093100    1217470                              1213995          0       3475
</TABLE>
<PAGE>   159
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 170

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 INV INC NEW                  264411505    1565539      67335   X                            66535          0        800
 DUKE REALTY INV INC NEW                  264411505     341659      14695               X                14695          0          0
 DUN & BRADSTREET CORP DEL                26483B106     674564      21372   X                            21372          0          0
 DUN & BRADSTREET CORP DEL                26483B106     121518       3850               X                 3850          0          0
 DUPREE MUT FDS                           266155100     949597     123005   X                           123005          0          0
 EASTMAN KODAK CO COM                     277461109    1002096      13918   X                            13918          0          0
 EASTMAN KODAK CO COM                     277461109     160200       2225               X                 2025        200          0
 EATON CORP COM                           278058102    1722313      24365   X                            24365          0          0
 EATON CORP COM                           278058102     619863       8769               X                 8769          0          0
 EATON VANCE MUNS TR                      27826L835     179437      16912   X                            16912          0          0
 EDISON INTL COM                          281020107     349831      12550   X                            12550          0          0
 EDISON INTL COM                          281020107      83068       2980               X                 2980          0          0
 EL PASO ENERGY CORP COM                  283905107     148512       4266   X                             3892          0        374
 EL PASO ENERGY CORP COM                  283905107      80905       2324               X                 2324          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104    5932774     118211   X                           118211          0          0
 ELECTRONIC DATA SYS CORP NEW COM         285661104     863585      17207               X                17207          0          0
 ELFUN TRS                                286281100     296209       4733               X                 4733          0          0
 EMERSON ELEC CO COM                      291011104    7371744     121847   X                           121847          0          0
 EMERSON ELEC CO COM                      291011104    2718810      44939               X                44774          0        165
 ENRON CORP COM                           293561106     432994       7588   X                             7588          0          0
 ENRON CORP COM                           293561106     119547       2095               X                 2095          0          0
 ENTERGY CORP NEW COM                     29364G103     176697       5677   X                             5677          0          0
 ENTERGY CORP NEW COM                     29364G103      37350       1200               X                 1200          0          0
 ERICSSON L M TEL CO                      294821400     814131      34010   X                            33360          0        650
 ERICSSON L M TEL CO                      294821400     105327       4400               X                 1400          0       3000
 EURO PAC GROWTH FD                       298706102     261933       9223   X                             9223          0          0
 EXIGENT INTERNATIONAL INC                302056114       8625      13800   X                            13800          0          0
 EXXON CORP COM                           302290101   52419218     716844   X                           714344          0       2500
 EXXON CORP COM                           302290101   23019059     314791               X               307686          0       7105
 FPL GROUP INC COM                        302571104    1568171      25447   X                            25447          0          0
 FPL GROUP INC COM                        302571104     269609       4375               X                 4375          0          0
 FAIRMONT FD                              305194102     299501      11163   X                            11163          0          0
 FARMERS CAP BK CORP COM                  309562106     419175      11178   X                            11178          0          0
 FEDDERS CORP                             313135105       5813       1000   X                             1000          0          0
 FEDDERS CORP                             313135105      72663      12500               X                12500          0          0
 FREDDIE MAC COM                          313400301    1246553      19345   X                            19345          0          0
 FREDDIE MAC COM                          313400301      80548       1250               X                  950          0        300
 FEDERAL NATL MTG ASSN COM                313586109    7704362     104113   X                           103113          0       1000
 FEDERAL NATL MTG ASSN COM                313586109    1038442      14033               X                14033          0          0
 FEDERATED MASTER TRUST                   314214107      50820      50820   X                            50820          0          0
 FIDELITY CAP TR                          316066307    1791476      62399   X                            62399          0          0
 FIDELITY CAP TR                          316066307      24110        840               X                  840          0          0
 FIDELITY CONTRAFUND INC                  316071109     282143       4979   X                             4979          0          0
 FIDELITY EQUITY-INCOME FD INC            316138106     188139       3390   X                             3390          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             117618630    2061963                              2045869        200      15894
</TABLE>
<PAGE>   160
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 171

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 EQUITY-INCOME FD INC            316138106     500198       9013               X                 9013          0          0
 FIDELITY FINL TR                         316145101     657334      21926   X                            21926          0          0
 FIDELITY FINL TR                         316145309     398702      19439               X                19439          0          0
 FIDELITY FIXED INCOME TR                 316146406     238136      19664               X                19664          0          0
 FIDELITY SPARTAN U S TREAS               31617H300     345000     345000               X               345000          0          0
 FIDELITY PURITAN TR                      316345206     437700      26738   X                            26738          0          0
 FIDELITY GROWTH & INCOME FDS             316389204    1040109      22700   X                            22700          0          0
 FIDELITY GROWTH & INCOME FDS             316389204      15849        346               X                  346          0          0
 FIDELITY SELECT PORTFOLIOS               316390863      19241        413   X                              413          0          0
 FIDELITY SELECT PORTFOLIOS               316390863     231565       4973               X                 4973          0          0
 FIFTH THIRD BANCORP COM                  316773100    3732808      52344   X                            52344          0          0
 FIFTH THIRD BANCORP COM                  316773100    1385683      19431               X                19431          0          0
 FIRST AMERN CORP TENN COM                318900107     639089      14402   X                            14402          0          0
 FIRST CAPITAL BANK OF KENTUCKY COM       31941Z9A9     165000      11000   X                            11000          0          0
 FIRST & FARMERS BANK SOMERSET INC        319992103     145220      16011   X                            16011          0          0
 FIRST FRANKLIN CORP                      320272107     675000      45000   X                            45000          0          0
 FIRST UN CORP COM                        337358105     888417      14609   X                            14609          0          0
 FIRST UN CORP COM                        337358105     132816       2184               X                 2184          0          0
 FIRST WESTN BANCORP INC COM              337505101     711518      22410   X                            22410          0          0
 FIRSTAR CORP NEW WIS                     33763V109    4937463      53091   X                            53091          0          0
 FIRSTAR CORP NEW WIS                     33763V109    1451451      15607               X                15607          0          0
 FLEET FINL GROUP INC NEW COM             338915101    1496154      33480   X                            33480          0          0
 FLEET FINL GROUP INC NEW COM             338915101     339629       7600               X                 7600          0          0
 FORD MTR CO DEL COM                      345370100    3134174      53404   X                            51404          0       2000
 FORD MTR CO DEL COM                      345370100    1541264      26262               X                26262          0          0
 FORT JAMES CORP                          347471104    2152840      53821   X                            53821          0          0
 FORT JAMES CORP                          347471104     446000      11150               X                11150          0          0
 FORTUNE BRANDS INC                       349631101    1460474      46181   X                            46181          0          0
 FORTUNE BRANDS INC                       349631101     808272      25558               X                25133          0        425
 FRANKLIN CUSTODIAN FDS INC               353496300      57760      24474   X                            24474          0          0
 FRANKLIN CUSTODIAN FDS INC               353496607     188125      27225   X                            27225          0          0
 FRANKLIN RES INC                         354613101     811232      25351   X                            24851          0        500
 FRANKLIN RES INC                         354613101     148576       4643               X                 4643          0          0
 GTE CORP COM                             362320103   15077660     231964   X                           230014          0       1950
 GTE CORP COM                             362320103    4336215      66711               X                64711          0       2000
 GALLAHER GROUP PLC                       363595109     286181      10526   X                            10526          0          0
 GALLAHER GROUP PLC                       363595109     365624      13448               X                13448          0          0
 GANNETT INC COM                          364730101    2092896      32448   X                            32448          0          0
 GANNETT INC COM                          364730101     277350       4300               X                 4300          0          0
 GAP INC COM                              364760108     932068      16607   X                            16607          0          0
 GAP INC COM                              364760108      60783       1083               X                 1083          0          0
 GENERAL DYNAMICS CORP COM                369550108     210394       3566   X                             3566          0          0
 GENERAL ELEC CO COM                      369604103  127662859    1251597   X                          1240392          0      11205
 GENERAL ELEC CO COM                      369604103   29543994     289647               X               289307          0        340
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             212178823    2997347                              2978927          0      18420
</TABLE>
<PAGE>   161
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 172

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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    1748364      22487   X                            22487          0          0
 GENERAL MILLS INC COM                    370334104     579238       7450               X                 7450          0          0
 GENERAL MTRS CORP COM                    370442105    1350966      18878   X                            18878          0          0
 GENERAL MTRS CORP COM                    370442105    1054982      14742               X                14742          0          0
 GENERAL RE CORP COM                      370563108    2865334      14311   X                            14311          0          0
 GENERAL RE CORP COM                      370563108     150164        750               X                  750          0          0
 GENUINE PARTS CO COM                     372460105     288904       8640   X                             8640          0          0
 GENUINE PARTS CO COM                     372460105      10031        300               X                  300          0          0
 GEORGIA PAC CORP COM                     373298108    1225958      20934   X                            20934          0          0
 GEORGIA PAC CORP COM                     373298108     409824       6998               X                 6998          0          0
 GEORGIA PAC CORP                         373298702     208245       8745   X                             8745          0          0
 GEORGIA PAC CORP                         373298702      86275       3623               X                 3623          0          0
 GILLETTE CO COM                          375766102    6615741     138367   X                           136559          0       1808
 GILLETTE CO COM                          375766102    1787776      37391               X                37391          0          0
 GLAXO WELLCOME PLC                       37733W105     796331      11458   X                            11458          0          0
 GLAXO WELLCOME PLC                       37733W105     368350       5300               X                 5300          0          0
 GOLDEN WEST FINL CORP DEL COM            381317106     362626       3955   X                             3955          0          0
 GOLDEN WEST FINL CORP DEL COM            381317106      30257        330               X                  330          0          0
 GOODYEAR TIRE & RUBR CO COM              382550101      92503       1834   X                             1834          0          0
 GOODYEAR TIRE & RUBR CO COM              382550101     181577       3600               X                 3600          0          0
 GOVERNMENT SECS INCOME FD                383743499       1615      32305   X                            32305          0          0
 GOVERNMENT SECS INCOME FD                383743523        502      10044   X                            10044          0          0
 GOVERNMENT SECS INCOME FD                383744240       2609      20071   X                            20071          0          0
 GOVERNMENT SECS INCOME FD                383744562      26390      91000   X                            91000          0          0
 GOVERNMENT SECS INCOME FD                383744687      23450      35000   X                            35000          0          0
 GREAT LAKES CHEM CORP COM                390568103     249440       6236   X                             6236          0          0
 GROWTH FD AMER INC                       399874106     242455      10824   X                            10824          0          0
 HBO & CO COM                             404100109     282864       9860   X                             9060          0        800
 HBO & CO COM                             404100109      21229        740               X                  740          0          0
 HALLIBURTON CO COM                       406216101    1418830      47893   X                            46393          0       1500
 HALLIBURTON CO COM                       406216101     247813       8365               X                 8365          0          0
 HARBOR FD                                411511306   16210786     441470   X                           441470          0          0
 HARBOR FD CAP APPRECIATION FD            411511504     308381       8117   X                             8117          0          0
 HARLEY DAVIDSON INC COM                  412822108    1201430      25360   X                            25360          0          0
 HARLEY DAVIDSON INC COM                  412822108      27241        575               X                  575          0          0
 HARSCO CORP COM                          415864107    2819898      92644   X                            92644          0          0
 HEALTHSOUTH CORP COM                     421924101    1386101      89785   X                            89785          0          0
 HEALTHSOUTH CORP COM                     421924101      40834       2645               X                 2220          0        425
 HEINZ H J CO COM                         423074103    3657155      64586   X                            64586          0          0
 HEINZ H J CO COM                         423074103    1545410      27292               X                27292          0          0
 HERSHEY FOODS CORP                       427866108    1857120      29863   X                            29863          0          0
 HERSHEY FOODS CORP                       427866108     716406      11520               X                11520          0          0
 HEWLETT PACKARD CO COM                   428236103    4378932      64101   X                            63101          0       1000
 HEWLETT PACKARD CO COM                   428236103    1359224      19897               X                19197          0        700
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              58239561    1480286                              1474053          0       6233
</TABLE>
<PAGE>   162
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 173

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 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   21695246     354567   X                           350417          0       4150
 HOME DEPOT INC COM                       437076102    5029409      82196               X                72746          0       9450
 HONEYWELL INC COM                        438506107     298315       3961   X                             3961          0          0
 HONEYWELL INC COM                        438506107     124266       1650               X                 1650          0          0
 HONG KONG & CHINA GAS LTD ADR            438550303       6892       5448   X                             5448          0          0
 HONG KONG & CHINA GAS LTD ADR            438550303      46609      36845               X                    0          0      36845
 HOUSEHOLD INTL CORP COM                  441815107     802644      20256   X                            20256          0          0
 HOUSEHOLD INTL CORP COM                  441815107     348542       8796               X                 8796          0          0
 HOUSTON INDS INC COM                     442161105     138672       4325   X                             4325          0          0
 HOUSTON INDS INC COM                     442161105      82274       2566               X                 2566          0          0
 HUBBELL INC CL B                         443510201     404320      10640   X                            10640          0          0
 HUBBELL INC CL B                         443510201      86336       2272               X                 2272          0          0
 HUMANA INC COM                           444859102    2325843     130570   X                           130570          0          0
 HUMANA INC COM                           444859102     975511      54764               X                54764          0          0
 HUNTINGTON BANCSHARES INC COM            446150104     285238       9488   X                             9488          0          0
 HUTTON TEL TR                            447900101     612460     113000   X                           113000          0          0
 IDS HIGH YIELD TAX EXEMPT FD INC         449440106      53910      11544   X                            11544          0          0
 IMS HEALTH INC                           449934108    1387079      18387   X                            18387          0          0
 IMS HEALTH INC                           449934108     177279       2350               X                 2350          0          0
 ILLINOIS TOOL WKS INC COM                452308109    2605650      44925   X                            44925          0          0
 ILLINOIS TOOL WKS INC COM                452308109     600590      10355               X                10050          0        305
 INCOME FD AMER INC COM                   453320103     163899       9452   X                             9452          0          0
 INCOME FD AMER INC COM                   453320103      26010       1500               X                 1500          0          0
 INKINE PHARMACEUTICALS INC               457214104     168800     100000   X                           100000          0          0
 INTEL CORP COM                           458140100   14907756     125737   X                           123447          0       2290
 INTEL CORP COM                           458140100    3155554      26615               X                25815          0        800
 INTERNATIONAL BUSINESS MACHS             459200101   15969456      86614   X                            86314          0        300
 INTERNATIONAL BUSINESS MACHS             459200101    6672347      36189               X                35789        400          0
 INTERNATIONAL PAPER CO COM               460146103     384496       8580   X                             8580          0          0
 INTERNATIONAL PAPER CO COM               460146103     355457       7932               X                 7932          0          0
 INTERPUBLIC GROUP COS INC COM            460690100     475470       5962   X                             5962          0          0
 INTERPUBLIC GROUP COS INC COM            460690100     167475       2100               X                 1350          0        750
 INVESTMENT CO AMER COM                   461308108     160995       5182   X                             5182          0          0
 INVESTMENT CO AMER COM                   461308108     254043       8176               X                 8176          0          0
 IPALCO ENTERPRISES INC COM               462613100     342773       6183   X                             6183          0          0
 IPALCO ENTERPRISES INC COM               462613100      33263        600               X                  600          0          0
 J J CARTER & SON MOVING & STORAGE        46618C902     789000        263               X                  143          0        120
 JANUS FD INC                             471023101   12047038     358010   X                           356831          0       1179
 JANUS FD INC                             471023101      63269       1880               X                 1880          0          0
 JANUS FD INC                             471023309     913708      19293   X                            19293          0          0
 JANUS FD INC                             471023309      40500        855               X                  855          0          0
 JOHNSON & JOHNSON COM                    478160104   15841678     188872   X                           186767          0       2105
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             113312513    1950662                              1891968        400      58294
</TABLE>
<PAGE>   163
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 174

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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    3687397      43963               X                42631          0       1332
 KAUFMANN FD INC                          486250103    2981598     524929   X                           524929          0          0
 KAUFMANN FD INC                          486250103      81994      14436               X                14436          0          0
 KELLER MFG INC                           48767A109     414693      32847   X                            32847          0          0
 KELLOGG CO COM                           487836108     174193       5105   X                             5105          0          0
 KELLOGG CO COM                           487836108      68250       2000               X                 2000          0          0
 KEMPER U S GOVT SECS FD INC              488438201      99971      11386   X                            11386          0          0
 KEMPER GOVT SECS TR                      488903550       6250      25000               X                25000          0          0
 KENTUCKY ELEC STEEL INC                  49127B100      57750      16500               X                16500          0          0
 KENTUCKY RIVER COAL CORP COM             491404109     162048         53   X                               53          0          0
 KENTUCKY RIVER COAL CORP COM             491404109    1840615        602               X                  602          0          0
 KEYCORP NEW COM                          493267108     252736       7898   X                             7898          0          0
 KEYCORP NEW COM                          493267108     128000       4000               X                 4000          0          0
 KIMBERLY CLARK CORP COM                  494368103    3416278      62684   X                            62684          0          0
 KIMBERLY CLARK CORP COM                  494368103     843933      15485               X                15485          0          0
 KROGER CO COM                            501044101    2587101      42762   X                            42762          0          0
 KROGER CO COM                            501044101     833690      13780               X                13780          0          0
 LG&E ENERGY CORP COM                     501917108   24360817     860411   X                           855533          0       4878
 LG&E ENERGY CORP COM                     501917108    6479968     228869               X               228469          0        400
 LILLY ELI & CO COM                       532457108    6509561      73244   X                            73244          0          0
 LILLY ELI & CO COM                       532457108    2487611      27990               X                23990          0       4000
 LINCOLN NATL CORP IND COM                534187109     280864       3433   X                             3433          0          0
 LONE STAR LIQUIDATING TRUST              54229R102      16645      16645   X                            16645          0          0
 LONGLEAF PARTNERS FDS TR                 543069207     344493      15694   X                            15694          0          0
 LONGVIEW FIBRE CO COM                    543213102     631340      54600   X                            54600          0          0
 LONGVIEW FIBRE CO COM                    543213102     140201      12125               X                12125          0          0
 LORD ABBETT AFFILIATED FD IN             544001100     341538      23171   X                            23171          0          0
 LORD ABBETT AFFILIATED FD IN             544001100      43134       2926               X                 2926          0          0
 LOWES COS INC COM                        548661107     928397      18137   X                            15992          0       2145
 LOWES COS INC COM                        548661107     184277       3600               X                 3600          0          0
 LUCENT TECHNOLOGIES INC COM              549463107   23274101     211702   X                           209846          0       1856
 LUCENT TECHNOLOGIES INC COM              549463107    6408396      58291               X                55859        600       1832
 MCI WORLDCOM INC                         55268B106    8072019     112502   X                           112002          0        500
 MCI WORLDCOM INC                         55268B106    1113991      15526               X                15091        435          0
 MDU RES GROUP INC COM                    552690109     402589      15300   X                            15300          0          0
 MFS SER TR IV                            552987505     424843      38763   X                            38763          0          0
 MARSH & MCLENNAN COS INC COM             571748102    3241030      55461   X                            55461          0          0
 MARSH & MCLENNAN COS INC COM             571748102     407605       6975               X                 6975          0          0
 MASCO CORP COM                           574599106     382663      13310   X                            13310          0          0
 MASCO CORP COM                           574599106     103500       3600               X                 3600          0          0
 MATTEL INC COM                           577081102     253941      10806   X                             9811          0        995
 MAY DEPT STORES CO COM                   577778103     400769       6638   X                             6638          0          0
 MAY DEPT STORES CO COM                   577778103     102939       1705               X                 1400          0        305
 MAYTAG CORP COM                          578592107     329925       5300   X                             5300          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             105303654    2720154                              2700876       1035      18243
</TABLE>
<PAGE>   164
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY         ON 05/11/99 AS OF 12/31/98

DEPT ID# 040                                                            PAGE 175

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 COM                       580135101   11226450     146153   X                           146153          0          0
 MCDONALDS CORP COM                       580135101    3725046      48495               X                48495          0          0
 MCGRAW-HILL COMPANIES INC COM            580645109    2309914      22674   X                            22674          0          0
 MCGRAW-HILL COMPANIES INC COM            580645109     381828       3748               X                 3748          0          0
 MCKESSON CORP NEW COM                    581557105     766437       9694   X                             9694          0          0
 MEDIAONE GROUP INC                       58440J104    1181533      25139   X                            25139          0          0
 MEDIAONE GROUP INC                       58440J104     402461       8563               X                 8563          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 COM                        585055106    3042921      40965   X                            40965          0          0
 MEDTRONIC INC COM                        585055106     454080       6113               X                 5113          0       1000
 MELLON BK CORP COM                       585509102     529719       7705   X                             7030          0        675
 MELLON BK CORP COM                       585509102     169675       2468               X                 2468          0          0
 MERCK & CO INC COM                       589331107   47277290     320524   X                           318599          0       1925
 MERCK & CO INC COM                       589331107   12369793      83863               X                82788          0       1075
 MERIDIAN FD INC                          589619105     358812      14772   X                            14772          0          0
 MERIDIAN FD INC                          589619105      81038       3336               X                 3336          0          0
 MERRILL LYNCH & CO INC COM               590188108     267000       4000   X                             4000          0          0
 MERRILL LYNCH MUN BD FD INC              590193108      82380      10108   X                            10108          0          0
 MICROSOFT CORP COM                       594918104   16741722     120715   X                           119261          0       1454
 MICROSOFT CORP COM                       594918104    5240881      37789               X                36489          0       1300
 MIDCAP SPDR TR                           595635103     312825       4300               X                 4300          0          0
 MID AMER BANCORP COM                     595915109    1881010      69346   X                            69346          0          0
 MID AMER BANCORP COM                     595915109     585575      21588               X                21588          0          0
 MINNESOTA MNG & MFG CO COM               604059105   12827323     180349   X                           179349          0       1000
 MINNESOTA MNG & MFG CO COM               604059105    4263019      59937               X                59937          0          0
 MOBIL CORP COM                           607059102   14364560     164873   X                           164568          0        305
 MOBIL CORP COM                           607059102    7083001      81297               X                81297          0          0
 MONSANTO CO COM                          611662107    3180220      66952   X                            65952          0       1000
 MONSANTO CO COM                          611662107     572613      12055               X                11855        200          0
 MORGAN J P & CO INC COM                  616880100    1537597      14635   X                            14635          0          0
 MORGAN J P & CO INC COM                  616880100     508085       4836               X                 4836          0          0
 MORGAN GRENFELL INVT TR                  61735K836     432793      40373   X                            40373          0          0
 MORGAN STANLEY DEAN WITTER & CO          617446448     333416       4696   X                             4696          0          0
 MORGAN STANLEY DEAN WITTER & CO          617446448     697362       9822               X                 9822          0          0
 MORTON INTL INC IND NEW                  619335102    1331159      54333   X                            54333          0          0
 MORTON INTL INC IND NEW                  619335102     242550       9900               X                 9900          0          0
 MOTOROLA INC COM                         620076109    3292334      53917   X                            53367          0        550
 MOTOROLA INC COM                         620076109     424266       6948               X                 6948          0          0
 MULTI COLOR CORP                         625383104      67810      10000   X                            10000          0          0
 MUTUAL SER FD INC                        628380107     381236      19511   X                            19511          0          0
 MUTUAL SER FD INC                        628380206   18577751    1128660   X                          1126707          0       1954
 MUTUAL SER FD INC                        628380305    3465678     264152   X                           264152          0          0
 MUTUAL SER FD INC                        628380305      24878       1896               X                 1896          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             182996045    3951200                              3938763        200      12238
</TABLE>
<PAGE>   165
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY   ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   176
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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 CITY BANCSHARES INC             635313109     494658      13257   X                            13257          0          0
 NATIONAL CITY CORP COM                   635405103  255652690    3526244   X                          3468432          0      57812
 NATIONAL CITY CORP COM                   635405103  152773015    2107214                X             2057925          0      49289
 NATIONAL EQUITY TR                       635870397      12218      12137   X                            12137          0          0
 NESTLE S A                               641069406    1540564      14154   X                            14154          0          0
 NESTLE S A                               641069406    1150906      10574                X               10574          0          0
 NEUBERGER & BERMAN EQUITY FDS            641224407     782706      30694   X                            30694          0          0
 NEW CENTY ENERGIES INC                   64352U103     486233       9974   X                             9974          0          0
 NEW CENTY ENERGIES INC                   64352U103     263835       5412                X                5412          0          0
 NEW PERSPECTIVE FD INC                   648018109     200511       8737   X                             8737          0          0
 NEWELL CO COM                            651192106    6372919     154495   X                           154495          0          0
 NEWELL CO COM                            651192106    1577070      38232                X               38232          0          0
 NICHOLAS FD INC COM                      653735100     948641      11054   X                            11054          0          0
 NICHOLAS FD INC COM                      653735100      24259        283                X                 283          0          0
 100% OWNERSHIP OF 50% OF NORAG           655416907     616000          1                X                   1          0          0
 NORFOLK SOUTHN CORP COM                  655844108    6335287     199927   X                           196027          0       3900
 NORFOLK SOUTHN CORP COM                  655844108    1490604      47040                X               47040          0          0
 NORTHERN STS PWR CO MINN COM             665772109     276640       9969   X                             9969          0          0
 NORTHERN TR CORP COM                     665859104     243778       2792   X                             2792          0          0
 NOVARTIS AG                              66987V109     108119       1100   X                             1100          0          0
 NOVARTIS AG                              66987V109     196580       2000                X                2000          0          0
 NUKOTE HLDGS INC CL A                    669935108       1600      40000                X               40000          0          0
 NUVEEN FLAGSHIP MULTISTATE I             67065N886     185850      17035                X               17035          0          0
 NUVEEN FLAGSHIP MUN TR                   67065Q400     101603      10551   X                            10551          0          0
 NUVEEN FLAGSHIP MUN TR                   67065Q400       9688       1006                X                1006          0          0
 NUVEEN FLAGSHIP MULTISTATE I             67065R507     761912      66834   X                            66834          0          0
 NUVEEN FLAGSHIP MULTISTATE I             67065R507     173614      15229                X               15229          0          0
 OGE ENERGY CORP                          670837103     258158       8902   X                             8902          0          0
 OGE ENERGY CORP                          670837103      87000       3000                X                3000          0          0
 OFFICEMAX INC COM                        67622M108     479281      39125   X                            39125          0          0
 OFFICEMAX INC COM                        67622M108      46550       3800                X                3800          0          0
 OLD NATL BANCORP IND                     680033107     541667       9716   X                             9716          0          0
 ORACLE CORP COM                          68389X105     442419      10259   X                             9459          0        800
 ORACLE CORP COM                          68389X105     170430       3952                X                3952          0          0
 OWEN FUNERAL HOME COM                    690006184     258884        465   X                              465          0          0
 OVERBROOK CORP                           690181904    8424081        100                X                 100          0          0
 PNC BANK CORP COM                        693475105   29029158     537577   X                           536627          0        950
 PNC BANK CORP COM                        693475105    6149122     113873                X              113873          0          0
 PPG INDS INC COM                         693506107    4344607      74665   X                            74665          0          0
 PPG INDS INC COM                         693506107    1222064      21002                X               21002          0          0
 PENNEY J C CO INC COM                    708160106     353484       7541   X                             7541          0          0
 PENNEY J C CO INC COM                    708160106       9375        200                X                 200          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
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             486127080    7192488                              7079737          0     112751
</TABLE>
<PAGE>   166


INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY   ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   177
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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

 PEP BOYS MANNY MOE & JACK COM            713278109     118601       7560   X                             7560          0          0
 PEP BOYS MANNY MOE & JACK COM            713278109      78503       5004                X                5004          0          0
 PEPSICO INC COM                          713448108   15957273     390392   X                           387942          0       2450
 PEPSICO INC COM                          713448108    4111657     100591                X              100591          0          0
 PHARMACIA & UPJOHN INC COM               716941109     862852      15238   X                            15238          0          0
 PHARMACIA & UPJOHN INC COM               716941109     108947       1924                X                1924          0          0
 PFIZER INC COM                           717081103   17332250     138658   X                           137833          0        825
 PFIZER INC COM                           717081103    4980375      39843                X               38509          0       1334
 PHILIP MORRIS COS INC COM                718154107   51377227     960322   X                           957672          0       2650
 PHILIP MORRIS COS INC COM                718154107   19061997     356299                X              350200        300       5799
 PHILLIPS PETE CO COM                     718507106    1795493      42123   X                            41623          0        500
 PHILLIPS PETE CO COM                     718507106     164959       3870                X                3870          0          0
 PIONEER GROUP INC                        723684106     149429       7566   X                             7566          0          0
 PIONEER GROUP INC                        723684106      99185       5022                X                5022          0          0
 PIONEER HI BRED INTL INC COM             723686101     362679      13686   X                             4686          0       9000
 PITNEY BOWES INC COM                     724479100    5898567      89287   X                            89287          0          0
 PITNEY BOWES INC COM                     724479100     881280      13340                X               13340          0          0
 PLACER DOME INC COM                      725906101      76579       6659   X                             6659          0          0
 PLACER DOME INC COM                      725906101      68678       5972                X                5972          0          0
 PREMIER FINL BANCORP INC                 74050M105     277200      16800                X               16800          0          0
 PRICE T ROWE GROWTH STK FD INC           741479109     203997       6361   X                             6361          0          0
 PROCTER & GAMBLE CO COM                  742718109   69081223     756532   X                           753827          0       2705
 PROCTER & GAMBLE CO COM                  742718109   27943422     306018                X              302018          0       4000
 PROVIDIAN FINL CORP                      74406A102   32236200     429816   X                           429816          0          0
 PROVIDIAN FINL CORP                      74406A102   12909450     172126                X              170626          0       1500
 PULITZER PUBG CO COM                     745771105     167273       1931   X                             1931          0          0
 PULITZER PUBG CO COM                     745771105      43313        500                X                 500          0          0
 PUTNAM FD FOR GROWTH & INCOME            746761105     238990      11664   X                            11664          0          0
 QUAKER OATS CO COM                       747402105     642600      10800   X                             8800          0       2000
 QUAKER OATS CO COM                       747402105     166600       2800                X                2800          0          0
 RJR NABISCO HOLDINGS CORP (NEW)          74960K876     170825       5754   X                             5754          0          0
 RJR NABISCO HOLDINGS CORP (NEW)          74960K876      30282       1020                X                1020          0          0
 RPM INC OHIO COM                         749685103     187040      11690   X                            11690          0          0
 RAYTHEON CO                              755111408     409439       7689   X                             7689          0          0
 RAYTHEON CO                              755111408     512478       9624                X                9624          0          0
 REPUBLIC BANCORP KY                      760281204     431956      33550   X                            33550          0          0
 REPUBLIC BANCORP KY                      760281204      32188       2500                X                2500          0          0
 RES-CARE INC COM                         760943100     182074       7375   X                             7375          0          0
 RES-CARE INC COM                         760943100      18516        750                X                 750          0          0
 REYNOLDS METALS CO COM                   761763101      40886        776   X                              776          0          0
 REYNOLDS METALS CO COM                   761763101     237096       4500                X                4500          0          0
 ROBINSON NUGENT INC COM                  770810109     533925     158200   X                           158200          0          0
 ROCKWELL INTL CORP NEW                   773903109     352470       7258   X                             7258          0          0
 ROCKWELL INTL CORP NEW                   773903109     147632       3040                X                3040          0          0
                                                    ---------- ----------                            --------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             270683606    4172430                              4139367        300      32763
</TABLE>
<PAGE>   167

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY   ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   178
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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

 ROWE PRICE NEW HORIZONS FD INC           779562107     294672      12625   X                            12625          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804    7162627     149611   X                           149611          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804    1461863      30535                X               29335          0       1200
 SBC COMMUNICATIONS INC COM               78387G103    6351291     118439   X                           118439          0          0
 SBC COMMUNICATIONS INC COM               78387G103    2666557      49726                X               47050          0       2676
 SPDR TR UNIT SER 1                       78462F103     664041       5385   X                             5385          0          0
 S Y BANCORP INC COM                      785060104     295925       6230   X                             6230          0          0
 S Y BANCORP INC COM                      785060104     461320       9712                X                9712          0          0
 SAFECO CORP COM                          786429100     128814       3000   X                             3000          0          0
 SAFECO CORP COM                          786429100     122459       2852                X                2852          0          0
 SAFEWAY INC COM NEW                      786514208    2921368      47940   X                            47490          0        450
 SAFEWAY INC COM NEW                      786514208     557583       9150                X                9150          0          0
 ST PAUL COS INC COM                      792860108     266598       7658   X                             7658          0          0
 ST PAUL COS INC COM                      792860108     323900       9304                X                9304          0          0
 SARA LEE CORP COM                        803111103    2524574      89562   X                            89562          0          0
 SARA LEE CORP COM                        803111103     385217      13666                X                8466          0       5200
 SCANA CORP COM                           805898103     131322       4072   X                             4072          0          0
 SCANA CORP COM                           805898103      69338       2150                X                2150          0          0
 SCHERING PLOUGH CORP COM                 806605101   13985654     253134   X                           251284          0       1850
 SCHERING PLOUGH CORP COM                 806605101    2372656      42944                X               37608          0       5336
 SCHLUMBERGER LTD COM                     806857108    4436140      95658   X                            95258          0        400
 SCHLUMBERGER LTD COM                     806857108     761153      16413                X               16163          0        250
 SCHRODER CAP FDS DEL                     808088207     502887      33304   X                            33304          0          0
 SCHRODER CAP FDS DEL                     808088207     188774      12502                X               12502          0          0
 SEAGRAM LTD COM                          811850106    4995100     131450   X                           131450          0          0
 SEAGRAM LTD COM                          811850106    1007152      26504                X               26504          0          0
 SEARS ROEBUCK & CO COM                   812387108     390490       9188   X                             9188          0          0
 SEARS ROEBUCK & CO COM                   812387108     759305      17866                X               17866          0          0
 SEAWAY FOOD TOWN INC COM                 812744100     270567      16398   X                            16398          0          0
 SEAWAY FOOD TOWN INC COM                 812744100     225027      13638                X               13638          0          0
 SELIGMAN COMMUNICATIONS &                816333108     365259      11886   X                            11886          0          0
 SELIGMAN COMMUNICATIONS &                816333108     137377       4470                X                4470          0          0
 SERVICE CORP INTL COM                    817565104    2409769      63310   X                            63310          0          0
 SERVICE CORP INTL COM                    817565104     257877       6775                X                6375          0        400
 SHERWIN WILLIAMS CO COM                  824348106     442094      15050   X                            15050          0          0
 SHERWIN WILLIAMS CO COM                  824348106      41125       1400                X                1400          0          0
 SIGMA ALDRICH CORP COM                   826552101     442094      15050   X                            15050          0          0
 SIGMA ALDRICH CORP COM                   826552101      13953        475                X                 475          0          0
 SMITHKLINE BEECHAM PLC                   832378301    6534599      94023   X                            94023          0          0
 SMITHKLINE BEECHAM PLC                   832378301   12368359     177962                X              175562          0       2400
 SONAT INC COM                            835415100     167953       6206   X                             6206          0          0
 SONAT INC COM                            835415100      61325       2266                X                2266          0          0
 SOUTHERN CO COM                          842587107     579167      19928   X                            19928          0          0
 SOUTHERN CO COM                          842587107     388950      13383                X               13383          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              80894275    1672800                              1652638          0      20162
</TABLE>
<PAGE>   168

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   179
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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 PAC PETE N L ADR NEW            843581307      54444      26000   X                            26000          0          0
 SOUTHERN PAC PETE N L ADR NEW            843581307       2094       1000                X                1000          0          0
 SOUTHTRUST CORP COM                      844730101     269463       7295   X                             7295          0          0
 SOUTHTRUST CORP COM                      844730101     110814       3000                X                3000          0          0
 SPRINT CORP COM                          852061100     607971       7227   X                             7227          0          0
 STANDARD FOODS INC COM                   8534059A8          3      17595   X                            17595          0          0
 STATE STR CORP                           857477103    2332007      33255   X                            32655          0        600
 STATE STR CORP                           857477103   20078330     286322                X              286322          0          0
 STEIN ROE INVT TR                        85842C601     346480       8000                X                8000          0          0
 STRONG SCHAFER VALUE FD INC COM          862918109     460233       7762   X                             7762          0          0
 STRYKER CORP COM                         863667101     518693       9420   X                             9420          0          0
 STRYKER CORP COM                         863667101     286328       5200                X                5200          0          0
 SUMMIT BANCORP COM                       866005101    1998595      45747                X               45747          0          0
 SUN MICROSYSTEMS INC COM                 866810104    2908510      33968   X                            33968          0          0
 SUN MICROSYSTEMS INC COM                 866810104     287957       3363                X                3363          0          0
 SUNAMERICA INC COM                       866930100     352600       4300   X                             4300          0          0
 SUNAMERICA INC COM                       866930100      40590        495                X                 495          0          0
 SUNTRUST BKS INC COM                     867914103    1451970      18980   X                            18980          0          0
 SUNTRUST BKS INC COM                     867914103      76653       1002                X                1002          0          0
 SYSCO CORP COM                           871829107      94469       3443   X                             3443          0          0
 SYSCO CORP COM                           871829107    1690400      61608                X               59808          0       1800
 TEPPCO PARTNERS LP                       872384102     442134      18000   X                            18000          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      79479       1742   X                             1742          0          0
 TELEFLEX INC COM                         879369106     166896       3658                X                3658          0          0
 TEMPLETON DEVELOPING MKTS TR             88018W104     559065      54278   X                            54278          0          0
 TEMPLETON FDS INC                        880196100     261148      16393   X                            16393          0          0
 TEMPLETON FOREIGN FD                     880196209    2119579     252632   X                           244305          0       8327
 TEMPLETON FOREIGN FD                     880196209     382116      45544                X               42921          0       2624
 TEMPLETON INSTL FDS INC                  880210505   10820145     609242   X                           609242          0          0
 TEMPLETON INSTL FDS INC                  880210505     780319      43937                X               43937          0          0
 TEXACO INC COM                           881694103    3235544      61048   X                            59208          0       1840
 TEXACO INC COM                           881694103     656829      12393                X               12193        200          0
 TEXAS INSTRS INC COM                     882508104     456039       5326   X                             5326          0          0
 TEXAS INSTRS INC COM                     882508104      42813        500                X                 500          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104     618046      13238   X                            13238          0          0
 TEXAS UTILITIES CO COM (HLDG)            882848104      78669       1685                X                1685          0          0
 TEXTRON INC COM                          883203101     236015       3108   X                             3108          0          0
 THOMAS INDS INC COM                      884425109    2318733     118152   X                           118152          0          0
 THOMAS INDS INC COM                      884425109     108762       5542                X                5542          0          0
 TIME WARNER INC                          887315109    1439862      23200   X                            22800          0        400
 TIME WARNER INC                          887315109     276180       4450                X                4450          0          0
 TORCHMARK CORP                           891027104     348892       9880   X                             9880          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              59435007    1922241                              1906451        200      15591
</TABLE>

<PAGE>   169

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY  ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   180
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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

 TORCHMARK CORP                           891027104      14125        400                X                   0          0        400
 TRICON GLOBAL RESTAURANTS                895953107     590523      11781   X                            11781          0          0
 TRICON GLOBAL RESTAURANTS                895953107     281803       5622                X                5622          0          0
 TYCO INTL LTD NEW                        902124106    6383413      84618   X                            83717          0        901
 TYCO INTL LTD NEW                        902124106     692219       9176                X                8671          0        505
 UST INC COM                              902911106     413269      11850   X                            11850          0          0
 UST INC COM                              902911106     622623      17853                X               17853          0          0
 USAA TAX EXEMPT FD INC                   903289106     157117      11191   X                            11191          0          0
 UNION CAMP CORP COM                      905530101     566736       8443   X                             8443          0          0
 UNION CAMP CORP COM                      905530101     171773       2559                X                2559          0          0
 UNION PAC CORP COM                       907818108    1686212      37419   X                            37419          0          0
 UNION PAC CORP COM                       907818108     912796      20256                X               20256          0          0
 UNION PAC RES GROUP INC COM              907834105     163632      18055   X                            18055          0          0
 UNION PAC RES GROUP INC COM              907834105      89669       9894                X                9894          0          0
 UNITED BANKSHARES INC WEST V             909907107     477000      18000   X                            18000          0          0
 UNITED HEALTHCARE CORP COM               910581107     409314       9505   X                             9505          0          0
 UNITED HEALTHCARE CORP COM               910581107       5383        125                X                 125          0          0
 U S WEST INC NEW                         91273H101    3264791      50519   X                            50519          0          0
 U S WEST INC NEW                         91273H101    1034065      16001                X               15801        200          0
 UNITED TECHNOLOGIES CORP COM             913017109    3957304      36389   X                            36214          0        175
 UNITED TECHNOLOGIES CORP COM             913017109     675338       6210                X                6210          0          0
 VAN KAMPEN MERRITT                       920914108     182321      18361   X                            18361          0          0
 VANGUARD/PRIMECAP FD INC                 921936100   14097347     295790   X                           295790          0          0
 VANGUARD/PRIMECAP FD INC                 921936100      78154       1640                X                1640          0          0
 VANGUARD/WINDSOR FD INC                  922018205   13747552     460554   X                           460554          0          0
 VANGUARD/WINDSOR FD INC                  922018205      44138       1479                X                1479          0          0
 VANGUARD ASSET ALLOCATION FD             922020102     471177      19326   X                            19326          0          0
 VANGUARD FIXED INCOME SECS F             922031406     211605      19521   X                            19521          0          0
 VENCOR INC NEW                           92260R102     300384      66752   X                            66752          0          0
 VENCOR INC NEW                           92260R102      35213       7825                X                7825          0          0
 VENTAS INC                               92276F100    1133350      92989   X                            92989          0          0
 VENTAS INC                               92276F100      13712       1125                X                1125          0          0
 VANGUARD INDEX TR                        922908108   17394249     152648   X                           152648          0          0
 VANGUARD INDEX TR                        922908108     150556       1321                X                1321          0          0
 VODAFONE GROUP PLC                       92857T107     547825       3400   X                             3400          0          0
 VULCAN MATLS CO COM                      929160109     199976       1520   X                             1520          0          0
 VULCAN MATLS CO COM                      929160109    2336559      17760                X               17760          0          0
 WD 40 CO COM                             929236107     491005      17153   X                            17153          0          0
 WD 40 CO COM                             929236107      93661       3272                X                3272          0          0
 WACHOVIA CORP                            929771103    4576505      52340   X                            50640          0       1700
 WACHOVIA CORP                            929771103    2377002      27185                X               27185          0          0
 WAL MART STORES INC COM                  931142103   16101433     197714   X                           197314          0        400
 WAL MART STORES INC COM                  931142103    1935781      23770                X               23570        200          0
 WALGREEN CO COM                          931422109   15446226     263754   X                           255954          0       7800
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             114534836    2133065                              2120784        400      11881
</TABLE>
<PAGE>   170

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   181
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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

 WALGREEN CO COM                          931422109    2741451      46812                X               46812          0          0
 WARNER LAMBERT CO COM                    934488107    9682109     128772   X                           128772          0          0
 WARNER LAMBERT CO COM                    934488107     654136       8700                X                8700          0          0
 WASTE MANAGEMENT INC - NEW               94106L109     603001      12933   X                            12933          0          0
 WASTE MANAGEMENT INC - NEW               94106L109      37813        811                X                 811          0          0
 WELLS FARGO & CO NEW                     949746101    7299828     182779   X                           179379          0       3400
 WELLS FARGO & CO NEW                     949746101    2467809      61791                X               59066        700       2025
 WHAYNE SUPPLY CO CL A VOTING             962008942     371279      13655   X                            13655          0          0
 WHAYNE SUPPLY CO CL B NON VTG            962008967     908204      37115   X                            37115          0          0
 WEYERHAEUSER CO COM                      962166104     792937      15605   X                            15605          0          0
 WEYERHAEUSER CO COM                      962166104     327032       6436                X                6436          0          0
 WILEY JOHN & SONS INC CL A               968223206     869634      18000   X                            18000          0          0
 WILEY JOHN & SONS INC CL B               968223305     574500      12000   X                            12000          0          0
 WINN DIXIE STORES INC COM                974280109    1438513      32056   X                            32056          0          0
 WINN DIXIE STORES INC COM                974280109     106354       2370                X                2370          0          0
 WISCONSIN ENERGY CORP COM                976657106     370088      11772   X                            11772          0          0
 WISCONSIN ENERGY CORP COM                976657106      94314       3000                X                3000          0          0
 WOLVERINE TUBE INC A COM                 978093102     253575      12075   X                            12075          0          0
 WOLVERINE TUBE INC A COM                 978093102      37380       1780                X                1780          0          0
 WRIGLEY WM JR CO COM                     982526105     260091       2904   X                             2904          0          0
 WRIGLEY WM JR CO COM                     982526105      98161       1096                X                1096          0          0
 WRIGLEY WM JR CO CL B                    982526204      43822        491   X                              491          0          0
 WRIGLEY WM JR CO CL B                    982526204     170378       1909                X                1909          0          0
 XEROX CORP COM                           984121103    3514512      29784   X                            29284          0        500
 XEROX CORP COM                           984121103     486750       4125                X                4125          0          0
 YORK INTL CORP COM NEW                   986670107     923394      22625   X                            22625          0          0
 YORK INTL CORP COM NEW                   986670107      48976       1200                X                1200          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              35176041     672596                               665971        700       5925
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                         4809477662  112762471                             91067031      12166   21683275
</TABLE>
<PAGE>   171

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY  ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   182
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>

 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

 KENTUCKY UTILS CO                        491674206     213282       2601   X                             2601          0          0
 KENTUCKY UTILS CO                        491674206      10332        126                X                 126          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                                223614       2727                                 2727          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR PREFERRED STOCK                          223614       2727                                 2727          0          0
</TABLE>
<PAGE>   172

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY  ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   183
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>

 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       9025      10000   X                            10000          0          0
 NATIONAL ENTERPRISES INC                 6358199A5          1      98000   X                            98000          0          0
 ORYX ENERGY CO                           68763FAD2      49000      50000                X               50000          0          0
                                                     ---------   --------                            --------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                                 58026     158000                               158000          0          0
                                                     ---------   --------                            --------- ---------- ----------
 SUBTOTALS FOR OTHER                                     58026     158000                               158000          0          0
</TABLE>
<PAGE>   173

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 40-NATIONAL CITY BANK, KENTUCKY ON 05/11/99 AS OF 12/31/98
DEPT ID# 040                                                          PAGE   184
 **SUMMARY PAGE FOR: 40-NATIONAL CITY BANK, KENTUCKY      **
<TABLE>
<CAPTION>

                   CATEGORY                            MARKET      SH/PV                                 SOLE     SHARED       NONE
                 ------------                        ----------  ---------                           ---------  ---------  ---------
<S>                                       <C>       <C>         <C>        <C>   <C>    <C>    <C>   <C>        <C>        <C>
 A. COMMON STOCK                                    4809477662  112762471                             91067031      12166   21683275
 B. PREFERRED STOCK                                     223614       2727                                 2727          0          0
 C. OTHER                                                58026     158000                               158000          0          0
                                                     ---------   --------                            ---------  ---------  ---------
 **GRAND TOTALS**                                   4809759302  112923198                             91227758      12166   21683275
</TABLE>
<PAGE>   174

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 46-NATIONAL CITY BANK, PA.  ON 05/11/99 AS OF 12/31/98
DEPT ID# 046                                                          PAGE   185
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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>
 DAIMLERCHRYSLER AG                       D1668R123      23920        249   X                              249          0          0
 DAIMLERCHRYSLER AG                       D1668R123     219984       2290                X                2288          2          0
 EXEL LTD NEW                             G32429105     486000       6480   X                             4580          0       1900
 EXEL LTD NEW                             G32429105     978900      13052                X                6852       4200       2000
 AFLAC INC COM                            001055102    2524787      57545   X                            54645          0       2900
 AFLAC INC COM                            001055102    2059931      46950                X               20750      24100       2100
 AMLI RESIDENTIAL PPTYS TR SH BEN         001735109     414215      18616                X               14585       4031          0
 AT&T CORP COM                            001957109    8269779     109172   X                           106710        900       1562
 AT&T CORP COM                            001957109   10047859     132645                X               84467      31063      17115
 ABBOTT LABORATORIES COM                  002824100   13030717     265933   X                           254983        400      10550
 ABBOTT LABORATORIES COM                  002824100   15921864     324936                X              210276     108037       6623
 AIR PRODUCTS & CHEMICALS INC COM         009158106    3316720      82918   X                            77318       2000       3600
 AIR PRODUCTS & CHEMICALS INC COM         009158106    2364280      59107                X               41300      12200       5607
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     417026       5757   X                             5757          0          0
 AIRTOUCH COMMUNICATIONS INC COM          00949T100     881281      12166                X                6236       4522       1408
 ALBERTSONS INC COM                       013104104     627008       9845   X                             9845          0          0
 ALBERTSONS INC COM                       013104104     858196      13475                X                9475       3500        500
 ALLEGHENY ENERGY INC                     017361106     244295       7081   X                             7081          0          0
 ALLEGHENY ENERGY INC                     017361106     530438      15375                X               14475          0        900
 ALLEGHENY VY BANCORP INC COM             017427105     240800       4300   X                             4300          0          0
 ALLEGHENY VY BANCORP INC COM             017427105     627200      11200                X                   0       9200       2000
 ALLIANCE BOND FUND U S GOVT              018528604      38739       5051   X                             5051          0          0
 ALLIANCE BOND FUND U S GOVT              018528604      54724       7135                X                5869       1266          0
 ALLIANCE FUND INC CL A                   01859K105     138688      22810   X                            22810          0          0
 ALLIANCE FUND INC CL A                   01859K105     334559      55026                X               55026          0          0
 ALLIANCE GROWTH AND INCOME FUND INC      018597104        700        203   X                              203          0          0
 ALLIANCE GROWTH AND INCOME FUND INC      018597104     103109      29887                X               29887          0          0
 ALLIANCE MTG SECS INCOME FD CL A COM     018639104     236043      27575                X               27575          0          0
 ALLIANCE MUNICIPAL INCOME FUND           018642108     147354      13420                X               13420          0          0
 ALLIED-SIGNAL INC COM                    019512102      63456       1432   X                             1432          0          0
 ALLIED-SIGNAL INC COM                    019512102     349718       7892                X                7392          0        500
 ALLSTATE CORP COM                        020002101     989489      25701   X                            24901          0        800
 ALLSTATE CORP COM                        020002101    1496726      38876                X               20218      15992       2666
 ALLTEL CORP COM                          020039103    6380911     106681   X                           103907        950       1824
 ALLTEL CORP COM                          020039103    2402987      40175                X               18020      15900       6255
 ALUMINUM CO OF AMERICA COM               022249106     133617       1792   X                             1792          0          0
 ALUMINUM CO OF AMERICA COM               022249106     737428       9890                X                7260       2630          0
 AMAZON.COM INC                           023135106     240938        750                X                 750          0          0
 AMERICA ONLINE INC DEL COM               02364J104      85319        550   X                              150          0        400
 AMERICA ONLINE INC DEL COM               02364J104     511913       3300                X                1300       2000          0
 AMERICAN EXPRESS CO COM                  025816109   26071490     254356   X                           241356       2070      10930
 AMERICAN EXPRESS CO COM                  025816109   14324068     139747                X               42316      64876      32555
 AMERICAN GENERAL CORP COM                026351106     553800       7100   X                             7100          0          0
 AMERICAN GENERAL CORP COM                026351106     248040       3180                X                1650       1002        528
                                                    ---------- ----------                              -------   --------    -------
 SUBTOTALS FOR THIS PAGE                             119729016    2001621                              1575557     310841     115223
</TABLE>
<PAGE>   175

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 46-NATIONAL CITY BANK OF PA.  ON 05/11/99 AS OF 12/31/98
DEPT ID# 046                                                          PAGE   186
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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 HIGH INCOME TRUST               026547109     235886      16694   X                            16694          0          0
 AMERICAN HOME PRODUCTS CORP COM          026609107   12834445     227662   X                           225087        150       2425
 AMERICAN HOME PRODUCTS CORP COM          026609107   14117540     250422                X              136976      77766      35680
 AMERICAN INTERNATIONAL GROUP INC COM     026874107   31749623     328586   X                           305447        200      22939
 AMERICAN INTERNATIONAL GROUP INC COM     026874107   11944590     123618                X               70181      48277       5160
 AMERICAN PWR CONVERSION CORP COM         029066107      20199        417   X                              417          0          0
 AMERICAN PWR CONVERSION CORP COM         029066107     193752       4000                X                   0       4000          0
 AMERITECH CORP NEW COM                   030954101    2191824      34585   X                            32585          0       2000
 AMERITECH CORP NEW COM                   030954101    2958112      46676                X               22882      18120       5674
 AMGEN INC CO COM                         031162100   19167444     183310   X                           180370          0       2940
 AMGEN INC CO COM                         031162100    1860699      17795                X               11660       4035       2100
 AMP INC COM                              031897101     294833       5663   X                             5663          0          0
 AMP INC COM                              031897101    1145334      21999                X               14932        350       6717
 AMOCO CORP COM                           031905102    5373781      89750   X                            85950       2400       1400
 AMOCO CORP COM                           031905102   42877505     716117                X              546684      79419      90014
 ANHEUSER-BUSCH COMPANIES INC COM         035229103      85313       1300   X                             1300          0          0
 ANHEUSER-BUSCH COMPANIES INC COM         035229103     305156       4650                X                2650          0       2000
 ARCHER DANIELS MIDLAND CO COM            039483102      22537       1316   X                             1316          0          0
 ARCHER DANIELS MIDLAND CO COM            039483102     246532      14396                X               14396          0          0
 ARMADA SMALL CAP GROWTH FD               042086579   21376418    1880072   X                          1826439       8114      45519
 ARMADA SMALL CAP GROWTH FD               042086579    1729634     152123                X               80086      62178       9858
 ARMADA CORE EQUITY FD                    042086595      86278       6632   X                             6632          0          0
 ARMADA CORE EQUITY FD                    042086595      52040       4000                X                4000          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629   13431629    1212241   X                          1168248       5265      38728
 ARMADA INTERNATIONAL EQUITY FD           042086629    1728651     156015                X               69280      65671      21064
 ARMADA GNMA FD INSTL CL #666             042086660   52919988    5127906   X                          5003126      18503     106277
 ARMADA GNMA FD INSTL CL #666             042086660    6613386     640832                X              370910     192895      77027
 ARMADA BOND FD INSTL CL                  042086686  102633246    9906684   X                          9641568      35710     229406
 ARMADA BOND FD INSTL CL                  042086686   10361760    1000170                X              580975     315710     103485
 ARMADA PA MUN FD                         042086710   29771700    2819290   X                          2746732      10794      61764
 ARMADA PA MUN FD                         042086710    7409219     701631                X              397898     197747     105986
 ARMADA OHIO TAX EXEMPT FD #612           042086751     654980      58428   X                            58428          0          0
 ARMADA OHIO TAX EXEMPT FD #612           042086751     213606      19055                X               15722       3333          0
 ARMADA TOTAL RETURN ADVANTAGE FD         042086777    2349788     224431   X                           210503          0      13928
 ARMADA TOTAL RETURN ADVANTAGE FD         042086777     643495      61461                X               21833      35698       3930
 ARMADA INTERMEDIATE BD FUND              042086793    2655801     247512   X                           240387       7122          3
 ARMADA INTERMEDIATE BD FUND              042086793     572104      53318                X               23660      23732       5926
 ARMADA ENH INCOME INSTL                  042086827    6510781     645271   X                           596573       4000      44698
 ARMADA ENH INCOME INSTL                  042086827     375119      37177                X               25631      10552        995
 ARMADA SMALL CAP VALUE FUND              042086843   27154548    2072866   X                          2015986       7861      49019
 ARMADA SMALL CAP VALUE FUND              042086843    4691216     358108                X              136849     198536      22724
 ARMADA EQTY INCM INSTL                   042086868   30679888    1763212   X                          1696344       7087      59781
 ARMADA EQTY INCM INSTL                   042086868    2964058     170348                X               99969      57491      12888
 ARMADA EQUITY GROWTH FD                  042086884   67191824    2775375   X                          2699958      11716      63701
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             542396262   34183114                             31412927    1514432    1255756
</TABLE>
<PAGE>   176

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 46-NATIONAL CITY BANK OF PA.  ON 05/11/99 AS OF 12/31/98
DEPT ID# 046                                                          PAGE   187
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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>
 ARMADA EQUITY GROWTH FD                  042086884    8746230     361265                X              209262     118741      33261
 ARMSTRONG WORLD INDUSTRIES INC COM       042476101     702646      11650   X                            11650          0          0
 ARMSTRONG WORLD INDUSTRIES INC COM       042476101    5605792      92945                X               15100       4150      73695
 ASSOCIATES FIRST CAP CORP COM            046008108     244883       5779   X                             4889          0        890
 ASSOCIATES FIRST CAP CORP COM            046008108     822826      19418                X                4360      13988       1070
 ATLANTIC RICHFIELD CO COM                048825103    5888849      90078   X                            88128        100       1850
 ATLANTIC RICHFIELD CO COM                048825103    7829898     119769                X               52247      45718      21804
 AUTOMATIC DATA PROCESSING INC COM        053015103   30245711     377185   X                           366045       2380       8760
 AUTOMATIC DATA PROCESSING INC COM        053015103   29179371     363887                X              174215     109594      80078
 AVALONBAY CMNTYS INC                     053484101     197246       5759   X                             5759          0          0
 AVALONBAY CMNTYS INC                     053484101     792237      23131                X               10092       8123       4916
 BCE INC COM                              05534B109      37938       1000   X                                0          0       1000
 BCE INC COM                              05534B109     189690       5000                X                5000          0          0
 BAKER HUGHES INC COM                     057224107     173148       9824   X                             9824          0          0
 BAKER HUGHES INC COM                     057224107      68914       3910                X                1600       1400        910
 BALTIMORE GAS & ELECTRIC CO COM          059165100     257405       8337   X                             8337          0          0
 BALTIMORE GAS & ELECTRIC CO COM          059165100     292386       9470                X                3850       4050       1570
 BANCO DE SANTANDER ADR                   059574202     306204      15504                X               14280       1224          0
 BANK OF NEW YORK INC COM                 064057102     397791       9883   X                             9883          0          0
 BANK ONE CORP COM                        06423A103    4778322      93577   X                            89056          0       4521
 BANK ONE CORP COM                        06423A103    4310024      84406                X               35517      44481       4408
 BANKAMERICA CORP NEW                     06605F102    2625959      43675   X                            42896        130        649
 BANKAMERICA CORP NEW                     06605F102    2394238      39821                X               13805      21718       4298
 BANKERS TR CORP COM                      066365107     439835       5148   X                             4548          0        600
 BANKERS TR CORP COM                      066365107     619426       7250                X                4850        800       1600
 BAXTER INTERNATIONAL INC COM             071813109     249406       3878   X                             3878          0          0
 BAXTER INTERNATIONAL INC COM             071813109     475144       7388                X                1838       5150        400
 BAYOU STEEL CORP LA PLACE                073051104      68063      16500                X               16500          0          0
 BECTON DICKINSON & CO COM                075887109     668067      15650   X                            12600          0       3050
 BECTON DICKINSON & CO COM                075887109    1340403      31400                X               23200       7000       1200
 BELL ATLANTIC CORP COM                   077853109   19017828     352182   X                           341538        400      10244
 BELL ATLANTIC CORP COM                   077853109   23055686     426957                X              207645     145500      73812
 BELLSOUTH CORP COM                       079860102   20289549     406808   X                           399218          0       7590
 BELLSOUTH CORP COM                       079860102   11072634     222008                X              127914      65402      28692
 BERKSHIRE HATHAWAY INC DEL               084670108     683000         10                X                   8          0          2
 BEST FOODS                               08658U101   20505297     385076   X                           377896        800       6380
 BEST FOODS                               08658U101    6163528     115747                X               77304      33943       4500
 BLACKROCK FDS                            091928549     116372      11331   X                            11331          0          0
 BLACKROCK FDS                            091928622     179905      16281                X               16281          0          0
 BLAIR CORP COM                           092828102     646292      29128   X                            29128          0          0
 BLAIR CORP COM                           092828102     456452      20572                X               20572          0          0
 BOEING CO COM                            097023105     529047      16216   X                            15816          0        400
 BOEING CO COM                            097023105     946778      29020                X               18010      10314        696
 BRIGHTPOINT INC                          109473108      11688        850   X                              850          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             213622108    3914673                              2886720     645106     382846
</TABLE>
<PAGE>   177

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 46-NATIONAL CITY BANK OF PA.  ON 05/11/99 AS OF 12/31/98
DEPT ID# 046                                                          PAGE   188
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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>
 BRIGHTPOINT INC                          109473108     184250      13400                X                2000       8600       2800
 BRISTOL MYERS SQUIBB CO COM              110122108    3806445      28446   X                            25696        100       2650
 BRISTOL MYERS SQUIBB CO COM              110122108   19881400     148576                X               99320      42810       6446
 BRITISH PETROLEUM PLC ADR                110889409    3735996      41168   X                            26835          0      14333
 BRITISH PETROLEUM PLC ADR                110889409    2727038      30050                X               14500      14400       1150
 BURLINGTON NORTHN SANTA FE               12189T104      73055       2133   X                             2133          0          0
 BURLINGTON NORTHN SANTA FE               12189T104     129534       3782                X                2642        210        930
 CBS CORP                                 12490K107     789415      24058   X                            23258          0        800
 CBS CORP                                 12490K107    1404200      42794                X               24446       7000      11348
 CSX CORP COM                             126408103     358685       8643   X                             8643          0          0
 CSX CORP COM                             126408103     817716      19704                X               12500       6600        604
 CUNO INC                                 126583103     178750      11000                X               11000          0          0
 CVS CORPORATION (DEL)                    126650100   12431045     226019   X                           217334          0       8685
 CVS CORPORATION (DEL)                    126650100    1415150      25730                X                9554      12440       3736
 CAMPBELL SOUP CO COM                     134429109     198000       3600   X                             3600          0          0
 CAMPBELL SOUP CO COM                     134429109    1353000      24600                X               17400       2800       4400
 CARDINAL HEALTH INC COM                  14149Y108    5293116      69761   X                            68751        170        840
 CARDINAL HEALTH INC COM                  14149Y108     100155       1320                X                1050        270          0
 CARLISLE COS INC COM                     142339100     459463       8900   X                             8900          0          0
 CARLISLE COS INC COM                     142339100     103250       2000                X                2000          0          0
 CARNIVAL CORP COM                        143658102     502560      10470   X                            10095        325         50
 CARNIVAL CORP COM                        143658102     331200       6900                X                5250        800        850
 CATERPILLAR INC COM                      149123101     354200       7700                X                 240       7460          0
 CERIDIAN CORP COM                        15677T106    9316196     133445   X                           131765          0       1680
 CERIDIAN CORP COM                        15677T106     139626       2000                X                1700        300          0
 CHASE MANHATTAN CORP COM NEW             16161A108   17634625     248375   X                           231765         75      16535
 CHASE MANHATTAN CORP COM NEW             16161A108    2666831      37561                X               15787      16440       5334
 CHEVRON CORP COM                         166751107   15948729     192297   X                           190897        800        600
 CHEVRON CORP COM                         166751107   23254156     280380                X              205299      46700      28381
 CISCO SYS INC COM                        17275R102   46907134     505394   X                           477218       3600      24576
 CISCO SYS INC COM                        17275R102   15432760     166278                X               80917      69870      15491
 CINTAS CORP COM                          172908105     322254       4575   X                             4210          0        365
 CINTAS CORP COM                          172908105      36628        520                X                   0          0        520
 CITIGROUP INC COM                        172967101    3171833      63835   X                            63835          0          0
 CITIGROUP INC COM                        172967101     787853      15856                X                6529       7050       2277
 CITIZENS UTILITIES CO COM SER B          177342201     103568      12946                X               10468          0       2478
 CLOROX CO COM                            189054109      52566        450   X                              450          0          0
 CLOROX CO COM                            189054109    1223616      10475                X                7850       2425        200
 COCA-COLA CO COM                         191216100   22220282     331646   X                           326896        375       4375
 COCA-COLA CO COM                         191216100    8693853     129759                X               60496      45971      23292
 COLGATE-PALMOLIVE CO COM                 194162103     647710       6974   X                             6974          0          0
 COLGATE-PALMOLIVE CO COM                 194162103     380788       4100                X                4100          0          0
 COLONIAL TR II US GOVT FD CL B           196093405     105404      15569   X                            15569          0          0
 COMCAST CORP CLASS A SPECIAL             200300200    7529964     128305   X                           126265          0       2040
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             233203999    3051494                              2566137     297591     187766
</TABLE>
<PAGE>   178

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 46-NATIONAL CITY BANK OF PA.  ON 05/11/99 AS OF 12/31/98
DEPT ID# 046                                                          PAGE   189
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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>
 COMCAST CORP CLASS A SPECIAL             200300200     112681       1920                X                1570        350          0
 COMERICA INC COM                         200340107    5412763      79380   X                            78980        150        250
 COMERICA INC COM                         200340107     106032       1555                X                1215        240        100
 COMMERCIAL INTERTECH CORP COM            201709102     155256      12000                X               12000          0          0
 COMPAQ COMPUTER CORP COM                 204493100   10542378     251009   X                           232244        150      18615
 COMPAQ COMPUTER CORP COM                 204493100    5910408     140724                X               71524      55600      13600
 COMPUTER ASSOCIATES INTL INC COM         204912109     547603      12847   X                            11766          0       1081
 COMPUTER ASSOCIATES INTL INC COM         204912109      43137       1012                X                 337        675          0
 CONNEAUT TELEPHONE CO COM                207525106     367198        487   X                              487          0          0
 CONSOLIDATED EDISON INC                  209115104     215624       4078   X                             4078          0          0
 CONSOLIDATED EDISON INC                  209115104     322538       6100                X                5600        500          0
 CONSOLIDATED NATURAL GAS CO COM          209615103    3761424      69656   X                            67856          0       1800
 CONSOLIDATED NATURAL GAS CO COM          209615103    6119118     113317                X               59732      40035      13550
 COOPER INDUSTRIES INC COM                216669101      95376       2000   X                             1700          0        300
 COOPER INDUSTRIES INC COM                216669101     402487       8440                X                5240       3000        200
 COOPER TIRE & RUBBER CO COM              216831107      64257       3144   X                             3144          0          0
 COOPER TIRE & RUBBER CO COM              216831107     163504       8000                X                   0          0       8000
 CORN PRODS INTL INC                      219023108      62512       2058   X                             2058          0          0
 CORN PRODS INTL INC                      219023108     213567       7031                X                6234        797          0
 COSTCO COMPANIES INC                     22160Q102     342893       4750   X                             4750          0          0
 CROMPTON & KNOWLES CORP COM              227111101     150300       7200   X                             7200          0          0
 CROMPTON & KNOWLES CORP COM              227111101      50100       2400                X                2400          0          0
 DELAWARE GROUP TAX FREE PA CL A          233216100     318623      38342   X                            38342          0          0
 DELAWARE GROUP TAX FREE PA CL A          233216100     289401      34826                X               14612      12682       7532
 DQE INC COM                              23329J104     966328      21993   X                            21993          0          0
 DQE INC COM                              23329J104     914042      20803                X                9647        450      10706
 DANA CORP COM                            235811106     355286       8692   X                             8692          0          0
 DANA CORP COM                            235811106     180259       4410                X                3110        300       1000
 DAVIS N Y VENTURE FD INC                 239080104     271909      10872   X                            10872          0          0
 DAVIS TAX-FREE HIGH INCM FD              239107204     170763      18807   X                            18807          0          0
 DAYTON HUDSON CORP COM                   239753106    6760906     124625   X                           122555          0       2070
 DAYTON HUDSON CORP COM                   239753106     579499      10682                X               10092        590          0
 DEERE & CO COM                           244199105     114208       3474   X                             3074          0        400
 DEERE & CO COM                           244199105     235056       7150                X                1250       5600        300
 DELAWARE GROUP DECATUR FUND INC          245907100      17551        959   X                              959          0          0
 DELAWARE GROUP DECATUR FUND INC          245907100     211356      11549                X                2515          0       9034
 DELAWARE GROUP TAX FREE FUND INC         245909106      84089       7181   X                             7181          0          0
 DELAWARE GROUP TAX FREE FUND INC         245909106     162799      13903                X                   0      13903          0
 DELL COMPUTER CORP COM                   247025109     642957       8785   X                             7705        250        830
 DELL COMPUTER CORP COM                   247025109    2023648      27650                X               26500        800        350
 DEVELOPMENTAL VENTURE CAPITAL CORP       251612107      10000      10000                X                   0          0      10000
 WALT DISNEY CO COM                       254687106   17277030     575901   X                           541417        900      33584
 WALT DISNEY CO COM                       254687106    7493310     249777                X              139280      85567      24930
 DOMINION RESOURCES INC VA COM            257470104     144925       3100   X                             3000        100          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              74385101    1952589                              1571718     222639     158232
</TABLE>
<PAGE>   179

INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION
13(F)
 PREPARED FOR: 46-NATIONAL CITY BANK OF PA.  ON 05/11/99 AS OF 12/31/98
DEPT ID# 046                                                          PAGE   190
SEC USE ONLY________________________________________
<TABLE>
<CAPTION>
 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>
 DOMINION RESOURCES INC VA COM            257470104     315563       6750                X                1250       4950        550
 R R DONNELLEY & SONS CO COM              257867101     343932       7850   X                             7850          0          0
 R R DONNELLEY & SONS CO COM              257867101     703199      16050                X                1950      10600       3500
 DOW CHEMICAL CO COM                      260543103    1696085      18651   X                            18127          0        524
 DOW CHEMICAL CO COM                      260543103    2307188      25371                X               17164       5057       3150
 E I DUPONT DENEMOURS & CO COM            263534109   21536786     405872   X                           393822       2900       9150
 E I DUPONT DENEMOURS & CO COM            263534109   18322282     345293                X              214603     105874      24816
 DUKE ENERGY CORP COM                     264399106     970554      15150   X                            13750          0       1400
 DUKE ENERGY CORP COM                     264399106     442035       6900                X                4300       2500        100
 DUKE RLTY INVTS INC                      264411505     127294       5475   X                             5475          0          0
 DUKE RLTY INVTS INC                      264411505     235871      10145                X                4220       4850       1075
 DUN & BRADSTREET CORP DEL                26483B106      67229       2130   X                             2130          0          0
 DUN & BRADSTREET CORP DEL                26483B106     397978      12609                X                8486       3023       1100
 E M C CORP MASS COM                      268648102      42500        500   X                              500          0          0
 E M C CORP MASS COM                      268648102     170000       2000                X                   0       2000          0
 EASTMAN CHEM CO COM                      277432100     105297       2353   X                             2353          0          0
 EASTMAN CHEM CO COM                      277432100     417786       9336                X                8976        360          0
 EASTMAN KODAK CO COM                     277461109     924264      12837   X                            12837          0          0
 EASTMAN KODAK CO COM                     277461109     957456      13298                X                8659       4309        330
 EATON CORP COM                           278058102     584236       8265   X                             8265          0          0
 EATON CORP COM                           278058102     397549       5624                X                3864        550       1210
 ELECTRONIC DATA SYS CORP NEW COM         285661104     367477       7322   X                             5522        800       1000
 ELECTRONIC DATA SYS CORP NEW COM         285661104     419772       8364                X                5688        544       2132
 ELFUN TAX-EXEMPT INCOME FD UNIT CTF      286279104     301417      25160   X                            25160          0          0
 ELFUN TRUSTS FUND UNIT CTF               286281100     335434       5360   X                             5360          0          0
 ELFUN TRUSTS FUND UNIT CTF               286281100     312900       5000                X                   0       5000          0
 EMERSON ELECTRIC CO  COM                 291011104   27191665     449449   X                           437184       4800       7465
 EMERSON ELECTRIC CO  COM                 291011104   15502762     256244                X               90064     146390      19790
 ENERGY EAST CORP                         29266M109     152776       2704   X                             1304          0       1400
 ENERGY EAST CORP                         29266M109      90400       1600                X                1200        400          0
 ENRON CORP COM                           293561106    5721022     100258   X                            95458       2550       2250
 ENRON CORP COM                           293561106    8906964     156090                X              119894      20398      15798
 EQUITABLE RESOURCES INC COM              294549100     263144       9035   X                             9035          0          0
 EQUITABLE RESOURCES INC COM              294549100     515163      17688                X               12987       3689       1012
 THE EQUITY INCOME FUND UNIT              294700703     314500       1700                X                   0          0       1700
 EQUITY INVT FD                           294710421      68906      68906   X                            68906          0          0
 EQUITY INVT FD                           294710512       8700      10000   X                            10000          0          0
 ERICSSON L M TEL CO                      294821400     980500      40960   X                            40360          0        600
 ERICSSON L M TEL CO                      294821400     719098      30040                X               15500      12140       2400
 ERIE INDEMNITY CLASS B COM               294993308    1632000         20                X                   0         20          0
 ERIE INDEMNITY CO CL A                   29530P102   81768750    2616600   X                          2616600          0          0
 ERIE INDEMNITY CO CL A                   29530P102   58258969    1864287                X                3000    1861287          0
 EXXON CORP COM                           302290101  130703259    1787395   X                          1749025      22000      16370
 EXXON CORP COM                           302290101  288160397    3940655                X             2396919     916683     627053
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             673761059   12337296                              8447747    3143674     745875
</TABLE>
<PAGE>   180
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   191
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

F N B CORP COM                           302520101     254759       9018   X                             9018          0          0
F N B CORP COM                           302520101     403608      14287               X                 3869      10418          0
FPL GROUP INC COM                        302571104     172057       2792   X                             2400          0        392
FPL GROUP INC COM                        302571104      63351       1028               X                  200        828          0
FARMERS NATIONAL BANC CORP COM           309627107    1765176      42028   X                            42028          0          0
FREDDIE MAC                              313400301   13743014     213275   X                           212425          0        850
FREDDIE MAC                              313400301     322190       5000               X                 3825       1025        150
FANNIE MAE COM                           313586109   47370656     640144   X                           601663        825      37656
FANNIE MAE COM                           313586109   28050440     379060               X               214830     121375      42855
FEDERATED SHORT-TERM MUNICIPAL           313907107    4121358     397815   X                           392748          0       5067
FEDERATED SHORT-TERM MUNICIPAL           313907107    1019113      98370               X                68516      14231      15623
FEDERATED GOVT INCOME SECS INC           313912107     151647      16925   X                            16925          0          0
FEDERATED GOVT INCOME SECS INC           313912107     190203      21228               X                    0      21228          0
FEDERATED EQUITY INCOME FUND INC         313915100   25393819    1330913   X                          1302480       7769      20664
FEDERATED EQUITY INCOME FUND INC         313915100    3382172     177263               X                86387      69948      20927
FEDERATED ARMS FUND #96                  314082108     206400      21500   X                            21500          0          0
FEDERATED ARMS FUND #96                  314082108      13440       1400               X                    0       1400          0
FEDERATED HIGH INCOME BOND FD INC A      314195108     126193      11287   X                            10894          0        393
FEDERATED HIGH INCOME BOND FD INC A      314195108       6301        564               X                  564          0          0
FEDERATED INCOME TR                      314199100   16931627    1629608   X                          1555423      14416      59769
FEDERATED INCOME TR                      314199100   13387642    1288512               X               598437     516581     173494
FEDERATED US GOVT SEC FD 1-3 YEARS       31428M100   46706725    4435586   X                          4365205      19865      50516
FEDERATED US GOVT SEC FD 1-3 YEARS       31428M100    7420435     704695               X               414095     208335      82265
FIDELITY ADVISOR                         315805101   13107892     225842   X                           220325        559       4958
FIDELITY ADVISOR                         315805101    4557114      78517               X                36385      31049      11083
FIDELITY U S EQUITY INDEX #650           315911206     932000      21196   X                            21196          0          0
FIDELITY U S EQUITY INDEX #650           315911206       7035        160               X                    0        160          0
FIDELITY FINL TRUST                      316145101    1019583      34009   X                            34009          0          0
FIDELITY MAGELLAN FUND INC COM           316184100      62470        519   X                              519          0          0
FIDELITY MAGELLAN FUND INC COM           316184100     725717       6026               X                 6026          0          0
FIDELITY NEW YORK MUN TR                 316337104     553139     553139               X               381504     171635          0
FIDELITY SPARTAN PA                      316344209      13061       1206   X                             1206          0          0
FIDELITY SPARTAN PA                      316344209     121287      11199               X                 7221       3488        491
FIRST AMERN INVT FDS INC                 318929817     145410      15147               X                    0      15147          0
FIRST BLANCHESTER BANCSHARES INC COM     319320982     205920       1584   X                             1584          0          0
FIRST COMMONWEALTH FINL CORP PA COM      319829107     347533      14185   X                            14185          0          0
FIRST INVS MULTI ST INSD TAX FREE        320604705     201672      15209   X                            15209          0          0
FIRST HEALTH GROUP CORP                  320960107     348154      21020   X                            21020          0          0
FIRST HEALTH GROUP CORP                  320960107     698959      42200               X                33600       7400       1200
FIRST UNION CORP COM                     337358105    5976033      98269   X                            97675          0        594
FIRST UNION CORP COM                     337358105    6056488      99592               X                36973      53332       9287
FIRST WESTERN BANCORP INC COM            337505101      83058       2616   X                             2616          0          0
FIRST WESTERN BANCORP INC COM            337505101     441960      13920               X                13920          0          0
FIRSTENERGY CORP                         337932107      77630       2384   X                             2384          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             246884441   12700237                             10870989    1291014     538234
</TABLE>
<PAGE>   181
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   192
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

FIRSTENERGY CORP                         337932107     290625       8925               X                 4825          0       4100
FLUOR CORP COM                           343861100      74375       1750   X                             1600        150          0
FLUOR CORP COM                           343861100     221425       5210               X                 1264       2046       1900
FORD MOTOR CO COM                        345370100    1410683      24037   X                            21837          0       2200
FORD MOTOR CO COM                        345370100    1698489      28941               X                16903      10938       1100
FORTUNE BRANDS INC                       349631101    1081385      34194   X                            33494          0        700
FORTUNE BRANDS INC                       349631101    1884945      59603               X                28168      15160      16275
FRANKLIN RESOURCES INC COM               354613101     880160      27505   X                            25710        200       1595
FRANKLIN RESOURCES INC COM               354613101     132800       4150               X                 2450        700       1000
FRANKLIN PENNSYLVANIA TAX-FREE           354723801     135143      12822   X                            12822          0          0
FRANKLIN PENNSYLVANIA TAX-FREE           354723801     135061      12814               X                 3415          0       9399
GTE CORP COM                             362320103   20398690     313826   X                           309981        550       3295
GTE CORP COM                             362320103    3486275      53635               X                38277      11377       3981
GALLAHER GROUP PLC                       363595109     493027      18134   X                            14364       3770          0
GALLAHER GROUP PLC                       363595109     959818      35303               X                19768       6035       9500
GANNETT CO INC COM                       364730101    2006724      31112   X                            28712        400       2000
GANNETT CO INC COM                       364730101    2464932      38216               X                15820      19496       2900
GAP INC COM                              364760108     175335       3124   X                             3124          0          0
GAP INC COM                              364760108     151538       2700               X                    0          0       2700
GENERAL ELECTRIC CO COM                  369604103  134523210    1318855   X                          1274219      18650      25986
GENERAL ELECTRIC CO COM                  369604103  150115032    1471716               X               724481     541776     205459
GENERAL MILLS INC COM                    370334104     280211       3604   X                             3604          0          0
GENERAL MILLS INC COM                    370334104     730850       9400               X                 6900       2500          0
GENERAL MTRS CORP COM                    370442105     755419      10556   X                            10156          0        400
GENERAL MTRS CORP COM                    370442105    2636452      36841               X                28203       7682        956
GENERAL RE CORP COM                      370563108    3383901      16901   X                            15701       1200          0
GENERAL RE CORP COM                      370563108   16568523      82752               X                33700      34438      14614
GEORGIA-PACIFIC CORP COM                 373298108      23425        400   X                              400          0          0
GEORGIA-PACIFIC CORP COM                 373298108     277296       4735               X                  300       4375         60
GILLETTE CO COM                          375766102   13134661     274709   X                           270784        400       3525
GILLETTE CO COM                          375766102    2780039      58144               X                33616      20688       3840
GLAXO WELLCOME PLC ADR                   37733W105      29816        429   X                              429          0          0
GLAXO WELLCOME PLC ADR                   37733W105     315808       4544               X                 3494        600        450
GOLDEN WEST FINANCIAL CORP DEL COM       381317106     287900       3140   X                             3140          0          0
B F GOODRICH CO COM                      382388106     735438      20500   X                            18900          0       1600
B F GOODRICH CO COM                      382388106     923781      25750               X                13700       5550       6500
GOVERNMENT SECURITIES INCOME FUND        383743523        679      13579   X                            13579          0          0
HBO & CO COM                             404100109    8796601     306630   X                           303005          0       3625
HBO & CO COM                             404100109     214873       7490               X                 6060       1430          0
HCR MANOR CARE INC COM                   404134108      74906       2550   X                              200          0       2350
HCR MANOR CARE INC COM                   404134108     126313       4300               X                 1800       2500          0
HSB GROUP INC                            40428N109     475797      11587   X                             8887          0       2700
HSB GROUP INC                            40428N109    1731380      42164               X                16975      18262       6927
HT INSIGHT FDS INC                       404299778    3764685     221062   X                           221062          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             380768426    4668339                              3595829     730873     341637
</TABLE>
<PAGE>   182
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   193
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

HT INSIGHT FDS INC                       404299778     798900      46911               X                29958      14917       2036
HALLIBURTON CO COM                       406216101    2823707      95315   X                            94270          0       1045
HALLIBURTON CO COM                       406216101     340599      11497               X                 2210       8587        700
HARBOR FUND INTERNATIONAL FUND           411511306     312449       8509               X                    0       7746        763
HARLEY DAVIDSON INC COM                  412822108    1241462      26205   X                            25005        300        900
HARLEY DAVIDSON INC COM                  412822108     427796       9030               X                 6650        600       1780
HARTFORD FINL SVCS GROUP INC COM         416515104    1360900      24800   X                            24400          0        400
HARTFORD FINL SVCS GROUP INC COM         416515104     559725      10200               X                 8100        500       1600
HEALTHSOUTH CORP COM                     421924101    5024066     325435   X                           321555          0       3880
HEALTHSOUTH CORP COM                     421924101     710148      46000               X                11030      30570       4400
HEARTLAND VALUE FUND                     422359109   28755289     981744   X                           968590       1657      11497
HEARTLAND VALUE FUND                     422359109    5317665     181552               X                72707      88721      20124
H J HEINZ CO COM                         423074103   21519312     380032   X                           375682       1300       3050
H J HEINZ CO COM                         423074103   33339837     588783               X               275885     204480     108418
HERSHEY FOODS CORP COM                   427866108     261190       4200   X                             4000          0        200
HERSHEY FOODS CORP COM                   427866108     563921       9068               X                 4568       4500          0
HEWLETT-PACKARD CO COM                   428236103   10373944     151859   X                           128069        400      23390
HEWLETT-PACKARD CO COM                   428236103   19084056     279362               X               164829      82503      32030
HOME DEPOT INC COM                       437076102   39466750     645008   X                           619378       1200      24430
HOME DEPOT INC COM                       437076102    8241718     134695               X                58875      63090      12730
HONEYWELL INC COM                        438506107     161923       2150   X                             2150          0          0
HONEYWELL INC COM                        438506107     374155       4968               X                   68       4900          0
HUBBELL INC CLASS B COM                  443510201     448210      11795   X                            11695          0        100
HUBBELL INC CLASS B COM                  443510201    1230060      32370               X                21590       8680       2100
IDS HIGH YIELD TAX EXEMPT FD             449440205     185204      39658   X                            39658          0          0
IMS HEALTH INC                           449934108      33947        450   X                              450          0          0
IMS HEALTH INC                           449934108    1024901      13586               X                 8486       5100          0
ILLINOIS TOOL WORKS INC COM              452308109    3453030      59535   X                            34780        200      24555
ILLINOIS TOOL WORKS INC COM              452308109    4181220      72090               X                13950      42750      15390
IMPERIAL OIL LTD COM NEW                 453038408     348567      21700               X                21700          0          0
INCOME FUND OF AMERICA INC COM           453320103      86974       5016   X                             5016          0          0
INCOME FUND OF AMERICA INC COM           453320103     149351       8613               X                  420       7694        498
INFORMIX CORP COM                        456779107      98750      10000               X                    0      10000          0
INGERSOLL RAND CO COM                    456866102     165375       3500   X                             3500          0          0
INGERSOLL RAND CO COM                    456866102     281799       5964               X                 5964          0          0
INTEL CORP COM                           458140100   42037697     354560   X                           323920        950      29690
INTEL CORP COM                           458140100   23797299     200714               X                98003      86027      16684
INTL BUSINESS MACHINES CORP COM          459200101    3499069      18978   X                            18578          0        400
INTL BUSINESS MACHINES CORP COM          459200101   20967528     113722               X                96422      13512       3788
INTERNATIONAL FLAVORS & FRAGRANCES       459506101     280594       6350   X                             6350          0          0
INTERNATIONAL FLAVORS & FRAGRANCES       459506101     980974      22200               X                18400       3500        300
INTERNATIONAL PAPER CO COM               460146103     295452       6593   X                             6593          0          0
INTERNATIONAL PAPER CO COM               460146103    1009906      22536               X                15562       2300       4674
INVESCO GROWTH FD INC                    46127M102      85754      13275   X                            13275          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             285701173    5010528                              3962291     696684     351552
</TABLE>
<PAGE>   183
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   194
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

INVESCO GROWTH FD INC                    46127M102     225972      34980               X                34980          0          0
INVESTMENT COMPANY AMERICA COM           461308108     273963       8818   X                             8346          0        472
INVESTMENT COMPANY AMERICA COM           461308108      12263        395               X                    0          0        395
JOHNSON & JOHNSON COM                    478160104   45520389     542717   X                           496757      20300      25660
JOHNSON & JOHNSON COM                    478160104   59836509     713401               X               280595     315381     117425
KELLOGG CO COM                           487836108     252525       7400               X                 2800          0       4600
KEMPER MUNICIPAL BOND FUND INC           488419201     154782      15115   X                            15115          0          0
KEYCORP COM NEW                          493267108     218560       6830   X                             6630        200          0
KEYCORP COM NEW                          493267108     772928      24154               X                14724       9430          0
KEYSTONE FINANCIAL INC COM               493482103     311799       8427               X                  927       7500          0
KIMBERLY-CLARK CORP COM                  494368103    8457310     155180   X                           146780          0       8400
KIMBERLY-CLARK CORP COM                  494368103    7243432     132907               X                61032      59859      12016
LEGG MASON UNIT INVT TR                  52465X130          2      10000   X                            10000          0          0
LIBERTY ELECTRONICS INC COM              530454107      42220      42220               X                42220          0          0
ELI LILLY & CO COM                       532457108     882084       9925   X                             8725          0       1200
ELI LILLY & CO COM                       532457108    1549269      17432               X                 8168       7200       2064
LOCKHART COMPANY COM                     539753897    2377000       2377   X                             2346         31          0
LOCKHART COMPANY COM                     539753897    2941500       2942               X                 1698        815        429
LONGLEAF PARTNERS FDS TR                 543069108     297652      12204               X                    0      10885       1319
LOWES COMPANIES INC COM                  548661107    1103101      21550   X                             7550          0      14000
LOWES COMPANIES INC COM                  548661107      51188       1000               X                    0       1000          0
LUCENT TECHNOLOGIES INC COM              549463107   29742296     270537   X                           260779       2430       7328
LUCENT TECHNOLOGIES INC COM              549463107   20597104     187352               X               105375      58155      23822
MBIA INC COM                             55262C100     262252       4000               X                    0       4000          0
MCI WORLDCOM INC                         55268B106   21831014     304265   X                           287657        225      16383
MCI WORLDCOM INC                         55268B106    5312729      74045               X                23783      41028       9234
MARSH AND MCCLENNAN CO COM               571748102      46750        800   X                              800          0          0
MARSH AND MCCLENNAN CO COM               571748102     365939       6262               X                 3150       2712        400
MASCO CORP COM                           574599106     109250       3800   X                             3800          0          0
MASCO CORP COM                           574599106     166750       5800               X                 5200        600          0
MASSACHUSETTS INVESTORS SBI TRUST A      575736103     224613      11092   X                            11092          0          0
MASSACHUSETTS INVESTORS SBI TRUST A      575736103      11067        547               X                  206          0        341
MASTERS SELECT FDS                       576417109    1144797      84362               X                    0      76025       8337
MASTERS SELECT FD                        576417208     190745      17420               X                    0      15678       1742
MATTEL INC COM                           577081102    3101530     131980   X                           130510          0       1470
MATTEL INC COM                           577081102     183418       7805               X                 6189       1616          0
MAY DEPARTMENT STORES CO COM             577778103    4248891      70375   X                            66425          0       3950
MAY DEPARTMENT STORES CO COM             577778103    5724335      94813               X                38029      33600      23184
MCDONALD'S CORP COM                      580135101    2981497      38815   X                            37815          0       1000
MCDONALD'S CORP COM                      580135101   12489947     162602               X                76052      56250      30300
MEDIAONE GROUP INC                       58440J104     264328       5624   X                             5624          0          0
MEDIAONE GROUP INC                       58440J104     456182       9706               X                 4320       2972       2414
MEDTRONIC INC COM                        585055106   11954784     160940   X                           153920        150       6870
MEDTRONIC INC COM                        585055106    1944677      26180               X                10730      12350       3100
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             255879343    3449096                              2380849     740392     327855
</TABLE>
<PAGE>   184
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   195
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

MELLON BANK CORP COM                     585509102    1824969      26545   X                            24769          0       1776
MELLON BANK CORP COM                     585509102    1328800      19328               X                15000       1502       2826
MERCK & CO INC COM                       589331107   61275188     415425   X                           399601       3500      12324
MERCK & CO INC COM                       589331107   57811909     391945               X               171625     141503      78817
MERITOR AUTOMOTIVE INC                   59000G100     937132      44492   X                            44492          0          0
MERITOR AUTOMOTIVE INC                   59000G100     505554      24002               X                23050        166        786
MICROSOFT CORP COM                       594918104   22222672     160235   X                           150865        125       9245
MICROSOFT CORP COM                       594918104    6743704      48625               X                37105       8820       2700
MINNESOTA MINING & MFG CO COM            604059105    5754226      80903   X                            78453        800       1650
MINNESOTA MINING & MFG CO COM            604059105    9814610     137991               X                75224      44363      18404
MOBIL CORP COM                           607059102    8933101     102532   X                           100522          0       2010
MOBIL CORP COM                           607059102   23148154     265689               X               194499      41582      29608
MONSANTO CO COM                          611662107   13408775     282290   X                           276795        450       5045
MONSANTO CO COM                          611662107    3001335      63186               X                38856      17580       6750
J P MORGAN & CO INC COM                  616880100    1648438      15690   X                            15690          0          0
J P MORGAN & CO INC COM                  616880100    1608515      15310               X                 8310       6500        500
MORGAN STANLEY DEAN WITTER & CO          617446448     160105       2255   X                             2255          0          0
MORGAN STANLEY DEAN WITTER & CO          617446448     435372       6132               X                 4666        882        584
MOTOROLA INC COM                         620076109     484230       7930   X                             7100          0        830
MOTOROLA INC COM                         620076109     953316      15612               X                11920       3392        300
MYLAN LABORATORIES INC COM               628530107     181535       5763   X                             5763          0          0
MYLAN LABORATORIES INC COM               628530107     442985      14063               X                 5463          0       8600
NSD BANCORP INC COM                      62938D108     140021       5259   X                             5259          0          0
NSD BANCORP INC COM                      62938D108     213000       8000               X                 8000          0          0
NVF CO COM                               629449109          0      10000   X                            10000          0          0
NALCO CHEMICAL CO COM                    629853102     207700       6700               X                    0       6700          0
NATIONAL CITY CORP COM                   635405103  290522508    4007207   X                          3948108       9834      49265
NATIONAL CITY CORP COM                   635405103  321270212    4431313               X              3291431     473087     666795
NATIONAL FUEL GAS CO NJ COM              636180101    1036974      22948   X                            22948          0          0
NATIONAL FUEL GAS CO NJ COM              636180101    1742585      38563               X                25894       9669       3000
NEWELL COMPANIES INC COM                 651192106    1707255      41388   X                            40238        500        650
NEWELL COMPANIES INC COM                 651192106     412500      10000               X                 8250        400       1350
NIKE INC COM CLASS B                     654106103     194702       4800   X                             4800          0          0
NIKE INC COM CLASS B                     654106103     239322       5900               X                 5100        800          0
NORFOLK SOUTHERN CORP COM                655844108     737221      23265   X                            23265          0          0
NORFOLK SOUTHERN CORP COM                655844108    1253324      39552               X                27702       6150       5700
NORTH PITTSBURGH SYSTEMS INC COM         661562108       5350        400   X                              400          0          0
NORTH PITTSBURGH SYSTEMS INC COM         661562108    2625486     196298               X                19960      48298     128040
NORTHERN TR CORP COM                     665859104    2837673      32500   X                            32500          0          0
NORTHWEST BANCORP INC PA                 667328108      66300       6800   X                             6800          0          0
NORTHWEST BANCORP INC PA                 667328108     202800      20800               X                    0      20800          0
NUVEEN PA PREMIUM INCOME MUNICIPAL       67061F101     254462      17935   X                            17935          0          0
NUVEEN PA PREMIUM INCOME MUNICIPAL       67061F101      17026       1200               X                    0          0       1200
NUVEEN FLAGSHIP MULTISTATE I             67065L716     214160      20185   X                            20185          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             848525206   11096956                              9210798     847403    1038755
</TABLE>
<PAGE>   185
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   196
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

OFFICEMAX INC COM                        67622M108      96163       7850   X                             7850          0          0
OFFICEMAX INC COM                        67622M108     156800      12800               X                 5800       7000          0
OIL WELL AUTOMATION INC CLASS A COM      677895997          1     450000               X               450000          0          0
OPPENHEIMER STRATEGIC INCM               68380K201     220126      47958               X                47958          0          0
ORACLE CORPORATION                       68389X105      97031       2250   X                             2250          0          0
ORACLE CORPORATION                       68389X105     462516      10725               X                 6675       2850       1200
PECO ENERGY CO COM                       693304107     144413       3459   X                             3459          0          0
PECO ENERGY CO COM                       693304107     117192       2807               X                  757        600       1450
PIMCO                                    693391633     121112      11932               X                11932          0          0
PNC BANK CORP COM                        693475105    5979852     110738   X                           108938          0       1800
PNC BANK CORP COM                        693475105   10319421     191100               X               125302      30723      35075
P P & L RES INC COM                      693499105     436606      15663   X                            15663          0          0
P P & L RES INC COM                      693499105     428955      15389               X                 6865       6078       2446
PPG INDUSTRIES INC COM                   693506107   13844496     237927   X                           221077        400      16450
PPG INDUSTRIES INC COM                   693506107   21733567     373506               X               207315      89768      76423
PARK OHIO HLDGS CORP                     700666100     151250      10000   X                            10000          0          0
J C PENNEY CO INC COM                    708160106    1135172      24217   X                            23367          0        850
J C PENNEY CO INC COM                    708160106    6503625     138744               X                25294     107600       5850
PENNZOIL-QUAKER STATE COMPAN             709323109     188089      12752   X                            12752          0          0
PENNZOIL-QUAKER STATE COMPAN             709323109     100119       6788               X                 3765       2773        250
PENNZOIL CO COM                          709903108      97013       5947   X                             5947          0          0
PENNZOIL CO COM                          709903108      73686       4517               X                 2268       2149        100
PEOPLES FINANCIAL CORP INC COM           71103G101    1670636      38852               X                    0          0      38852
DREYFUS MIDCAP INDEX FD                  712223106     212367       9006               X                    0       9006          0
PEPSICO INC COM                          713448108   22522452     551008   X                           510308       1400      39300
PEPSICO INC COM                          713448108   28672382     701465               X               368346     232540     100579
PFIZER INC COM                           717081103   50652375     405219   X                           392414         50      12755
PFIZER INC COM                           717081103   18515875     148127               X                64492      68510      15125
PHARMACEUTICAL MKTG SVCS INC COM         717123103     431250      30000               X                30000          0          0
PHILIP MORRIS COMPANIES INC COM          718154107   34840217     651219   X                           620594       3525      27100
PHILIP MORRIS COMPANIES INC COM          718154107   14607218     273032               X               173000      79990      20042
PHILLIPS PETROLEUM CO COM                718507106     286142       6713   X                             6713          0          0
PHILLIPS PETROLEUM CO COM                718507106     411374       9651               X                 5690       2996        965
PHOENIX NETWORK INC                      718910995          1      69000   X                                0          0      69000
PITT-DES MOINES INC COM                  724508106    1511472      62978   X                            62978          0          0
PITT-DES MOINES INC COM                  724508106    4421952     184248               X                    0     184248          0
PITTSBURGH TUBE CO COM                   725378103    1318212       9858   X                             9858          0          0
POTOMAC ELECTRIC POWER CO COM            737679100     101989       3876   X                             3876          0          0
POTOMAC ELECTRIC POWER CO COM            737679100     264446      10050               X                 6450       3143        457
PREMIER BANCORP INC PA                   74046J109     435600      39600               X                39600          0          0
PROCTER & GAMBLE CO COM                  742718109   34303281     375667   X                           358509        450      16708
PROCTER & GAMBLE CO COM                  742718109   22546915     246919               X               157297      61430      28192
PROVIDIAN FINL CORP                      74406A102     230625       3075   X                             3075          0          0
PROVIDIAN FINL CORP                      74406A102      11250        150               X                    0          0        150
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             300375236    5526782                              4118434     897229     511119
</TABLE>
<PAGE>   186
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   197
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

PRUDENTIAL HIGH YIELD FD INC CL A        74435F106     174077      22091               X                22091          0          0
PUBLIC SERVICE ENTERPRISE GROUP          744573106     198000       4950   X                             4950          0          0
PUBLIC SERVICE ENTERPRISE GROUP          744573106     151640       3791               X                 2811         24        956
PUTNAM FUND FOR GROWTH & INCOME          746761105      61470       3000   X                             3000          0          0
PUTNAM FUND FOR GROWTH & INCOME          746761105     236291      11532               X                    0          0      11532
PUTNAM PA TAX EXEMPT INCOME FD CL A      746852102      99358      10707   X                            10707          0          0
PUTNAM PA TAX EXEMPT INCOME FD CL A      746852102     167755      18077               X                13398          0       4679
QUALCOMM INC COM                         747525103     624347      12050               X                10850       1200          0
RPM INC COM                              749685103     195696      12231   X                            12231          0          0
RPM INC COM                              749685103     726400      45400               X                35850       6975       2575
RAYTHEON CO CL B                         755111408    5556797     104353   X                            95653       7500       1200
RAYTHEON CO CL B                         755111408    5322817      99959               X                31720      54639      13600
REX HIDE INC COM                         761576107     559053      50823   X                            50823          0          0
RHONE POULENC S A SPONSORED ADR          762426609     301500       6000               X                 6000          0          0
ROBROY INDUSTRIES INC COM                771078102      92250       6000   X                             6000          0          0
ROBROY INDUSTRIES INC COM                771078102     127382       8285               X                 8285          0          0
ROBROY INDUSTRIES INC CL B               771078201     177219      13375               X                13375          0          0
ROCKWELL INTL CORP NEW                   773903109    6729666     138576   X                           138576          0          0
ROCKWELL INTL CORP NEW                   773903109    4239356      87296               X                81380       4716       1200
ROWE T PRICE NEW AMER GRWTH              779557107     371626       7776               X                    0          0       7776
T ROWE PRICE INTERNATIONAL FUNDS INC     77956H203     778211      51915   X                            51915          0          0
T ROWE PRICE INTERNATIONAL FUNDS INC     77956H203      51897       3462               X                    0          0       3462
T ROWE PRICE NEW HORIZONS FUND INC       779562107     242613      10395   X                            10395          0          0
ROYAL DUTCH PETROLEUM CO                 780257804    3877731      80997   X                            77264          0       3733
ROYAL DUTCH PETROLEUM CO                 780257804    3761587      78571               X                41904      34000       2667
RUBBERMAID INC COM                       781088109    1764929      56140   X                            46140      10000          0
RUBBERMAID INC COM                       781088109    2766481      87998               X                54500      16550      16948
SBC COMMUNICATIONS INC COM               78387G103   13394667     249784   X                           245296        150       4338
SBC COMMUNICATIONS INC COM               78387G103    4653309      86775               X                54898      20065      11812
SEI INDEX FUNDS                          783924103    2108874      54861   X                            54861          0          0
SEI INSTL MANAGED TR VALUE PORTFOLIO     783925100     145313       7628   X                             7628          0          0
SEI INSTL MANAGED TR VALUE PORTFOLIO     783925100      49168       2581               X                    0       1302       1279
SEI INSTL MANAGED TRUST                  783925308     863506      64828   X                            64828          0          0
SEI INSTL MANAGED TRUST                  783925308     333412      25031               X                19951       5080          0
SEI INSTL MANAGED TR                     783925407    4447656     342655   X                           327482       2035      13137
SEI INSTL MANAGED TR                     783925407    1679026     129355               X                75396      33960      19999
SEI DAILY INCOME TR                      783965742    9680297     945341   X                           930140       4000      11201
SEI DAILY INCOME TR                      783965742    5236424     511370               X               215202     197001      99166
SEI TAX EXEMPT TR                        784118507   32155196    2999552   X                          2944241      32437      22874
SEI TAX EXEMPT TR                        784118507   35116221    3275767               X              1990768     942117     342883
SAFEWAY INC COM NEW                      786514208   22466927     368685   X                           364440          0       4245
SAFEWAY INC COM NEW                      786514208    1065501      17485               X                 8565       5320       3600
SARA LEE CORP COM                        803111103     213778       7584   X                             7584          0          0
SARA LEE CORP COM                        803111103     937815      33270               X                20930      12340          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             173903239   10158302                              8162028    1391411     604862
</TABLE>
<PAGE>   187
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   198
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

SCHERING-PLOUGH CORP COM                 806605101   18546652     335686   X                           329936        300       5450
SCHERING-PLOUGH CORP COM                 806605101   11896430     215320               X                95680     118040       1600
SCHLUMBERGER LTD COM                     806857108   11932751     257310   X                           242205          0      15105
SCHLUMBERGER LTD COM                     806857108    5456112     117652               X                55997      51605      10050
SCUDDER INTERNATIONAL FUND INC COM       811165109     383287       7870               X                 3810       3978         83
SCUDDER TAX FREE FDS MASS FD             811184308     227327      15699               X                    0      15699          0
SEAGRAM CO LTD COM                       811850106     228000       6000               X                 6000          0          0
SEARS ROEBUCK & CO COM                   812387108     152575       3590   X                             3590          0          0
SEARS ROEBUCK & CO COM                   812387108     567758      13359               X                10618       1491       1250
SERVICE CORP INTERNATIONAL COM           817565104   10771601     282994   X                           261469        375      21150
SERVICE CORP INTERNATIONAL COM           817565104    3544731      93128               X                51844      39234       2050
SERVICE MASTER CO COM                    81760N109     195566       8864   X                             8864          0          0
SERVICE MASTER CO COM                    81760N109      48384       2193               X                 2193          0          0
SHERWIN WILLIAMS CO COM                  824348106      94000       3200   X                             3200          0          0
SHERWIN WILLIAMS CO COM                  824348106     176250       6000               X                    0       6000          0
SILICON GRAPHICS INC COM                 827056102     128750      10000               X                    0      10000          0
SIMON PPTY GROUP INC NEW                 828806109     243390       8540               X                 7940        600          0
SMITHKLINE BEECHAM PLC                   832378301     733086      10548   X                             8848          0       1700
SMITHKLINE BEECHAM PLC                   832378301    1319805      18990               X                 9314       6400       3276
SONOCO PRODUCTS CO COM                   835495102     751971      25383               X                25383          0          0
SOUTHERN CO COM                          842587107     199953       6880   X                             6880          0          0
SOUTHERN CO COM                          842587107      29063       1000               X                 1000          0          0
SPRINT CORP COM                          852061100   25759832     306209   X                           301659          0       4550
SPRINT CORP COM                          852061100    3396631      40376               X                29730       6196       4450
SPRINT CORP                              852061506    3522262     152314   X                           150239          0       2075
SPRINT CORP                              852061506     462870      20016               X                13813       2698       3505
STATE STR CORP                           857477103     273488       3900   X                             3900          0          0
STATE STR CORP                           857477103     154275       2200               X                 2200          0          0
STRUTHERS INDS INC                       863583209       1880      10000   X                            10000          0          0
SUN MICROSYSTEMS INC COM                 866810104   29631816     346065   X                           343430          0       2635
SUN MICROSYSTEMS INC COM                 866810104    1437644      16790               X                12510       3980        300
SUNAMERICA INC COM                       866930100   10336100     126050   X                           125085          0        965
SUNAMERICA INC COM                       866930100     122590       1495               X                 1230        265          0
SUNTRUST BANKS INC COM                   867914103      91800       1200   X                                0          0       1200
SUNTRUST BANKS INC COM                   867914103     382500       5000               X                 1000       3000       1000
SYMBOL TECHNOLOGIES INC COM              871508107    1313926      20550   X                              300          0      20250
SYSCO CORP COM                           871829107    1896844      69132   X                            62132          0       7000
SYSCO CORP COM                           871829107    5593127     203846               X               108246      79400      16200
TECO ENERGY INC COM                      872375100     198105       7028   X                             7028          0          0
TECO ENERGY INC COM                      872375100    1091157      38710               X                24700       2610      11400
TRW INC COM                              872649108     678811      12108               X                 8300       2960        848
T W P INC COM                            873106108     393094        449   X                              449          0          0
T W P INC COM                            873106108    2859281       3268               X                 2600        536        132
TELECOM CORP NEW ZEALAND LTD             879278208     215250       6000               X                 6000          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             157440725    2842912                              2349322     355367     138224
</TABLE>
<PAGE>   188
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   199
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     275623       4020               X                 3020       1000          0
TEMPLETON FUNDS INC FOREIGN FUND         880196209   13263715    1580896   X                          1544059       5758      31079
TEMPLETON FUNDS INC FOREIGN FUND         880196209    5776349     688480               X               170870     467417      50193
TEMPLETON INSTL FDS INC                  880210208     382689      46052   X                            44337          0       1715
TEMPLETON INSTL FDS INC                  880210208     177302      21336               X                21336          0          0
TEMPLETON INSTITUTIONAL FUNDS            880210505   18469211    1039933   X                          1023754          0      16179
TEMPLETON INSTITUTIONAL FUNDS            880210505     934072      52594               X                42090      10194        310
TEXACO INC COM                           881694103   54342702    1025334   X                          1023334          0       2000
TEXACO INC COM                           881694103    9992938     188546               X                39793      71071      77682
TEXAS INSTRUMENTS INC COM                882508104     154125       1800   X                             1800          0          0
TEXAS INSTRUMENTS INC COM                882508104     710688       8300               X                 4300       4000          0
TEXAS UTILITIES CO COM (HLDG)            882848104    6988307     149681   X                           147465        166       2050
TEXAS UTILITIES CO COM (HLDG)            882848104     132360       2835               X                 2344        390        101
TEXTRON INC COM                          883203101    5457208      71864   X                            70114          0       1750
TEXTRON INC COM                          883203101    2247765      29600               X                 6000      21600       2000
THERMO ELECTRON CORP COM                 883556102     232677      13737               X                13737          0          0
THOMAS & BETTS CORP COM                  884315102      42577        983   X                              983          0          0
THOMAS & BETTS CORP COM                  884315102     160778       3712               X                    0       3712          0
3 COM CORP COM                           885535104     791666      17666   X                            17666          0          0
3 COM CORP COM                           885535104     418733       9344               X                 3022       4322       2000
TIME WARNER INC COM                      887315109   17994546     289940   X                           287500          0       2440
TIME WARNER INC COM                      887315109     472920       7620               X                 5100       2320        200
TOYS R US INC COM                        892335100     194787      11500               X                    0      11500          0
TRICON GLOBAL RESTAURANTS                895953107     529621      10566   X                            10566          0          0
TRICON GLOBAL RESTAURANTS                895953107     759093      15144               X                 6296       7258       1590
TRIBUNE CO COM                           896047107    3649800      55300   X                            53300          0       2000
TRIBUNE CO COM                           896047107    1504536      22796               X                14700       7846        250
TRION INC COM                            896726106      30000      10000               X                10000          0          0
TYCO INTL LTD NEW                        902124106   22946429     304176   X                           291451        225      12500
TYCO INTL LTD NEW                        902124106    2217953      29401               X                 6806      21395       1200
USX MARATHON GROUP COM NEW               902905827      64558       2143   X                             2143          0          0
USX MARATHON GROUP COM NEW               902905827     154993       5145               X                 1390        230       3525
UNILEVER N V NEW YORK SHARES             904784501    1230800      14840   X                            10940          0       3900
UNILEVER N V NEW YORK SHARES             904784501    2906148      35040               X                23140       8900       3000
UNION PACIFIC CORP COM                   907818108    2875876      63819   X                            63719        100          0
UNION PACIFIC CORP COM                   907818108    2534253      56238               X                35740      19030       1468
UNION PACIFIC RESOURCES GROUP INC        907834105     130824      14435   X                            14435          0          0
UNION PACIFIC RESOURCES GROUP INC        907834105     126601      13969               X                 9934       3809        226
UNITED DOMINION RLTY TR INC COM          910197102     135616      13150               X                11850       1300          0
U S WEST INC NEW                         91273H101     663721      10270   X                            10270          0          0
U S WEST INC NEW                         91273H101     977083      15119               X                 8370       4244       2506
UNITED TECHNOLOGIES CORP COM             913017109   20068290     184536   X                           181346          0       3190
UNITED TECHNOLOGIES CORP COM             913017109    3854318      35442               X                16927       8140      10375
VAN KAMPEN EQUITY INCOME FUND CL A       92113D102     216828      27727   X                            27727          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             207191079    6205029                              5283674     685927     235429
</TABLE>
<PAGE>   189
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   200
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

VAN KAMPEN EQUITY INCOME FUND CL A       92113D102      39647       5070               X                 5070          0          0
VANGUARD WORLD FUND INTERNATIONAL        921910204     244722      13038   X                            13038          0          0
VANGUARD/WELLINGTON FUND INC COM         921935102      42232       1439   X                             1439          0          0
VANGUARD/WELLINGTON FUND INC COM         921935102     398301      13571               X                 8286          0       5284
VANGUARD AIRLS INC                       92201B109      10630      10000   X                                0      10000          0
VANGUARD/WINDSOR FUND INC COM            922018106     367686      23615   X                            23615          0          0
VANGUARD/WINDSOR FUND INC COM            922018106     974451      62585               X                  908          0      61677
VANGUARD FIXED INCOME SECURITIES         922031307     138680      13271   X                            13271          0          0
VANGUARD NY INSURED TAX FREE FD SBI      92204H103     615698      54973               X                    0      54973          0
VANGUARD PA TAX-FREE FUND INSURED        92204L104     503541      44170   X                            44170          0          0
VANGUARD PA TAX-FREE FUND INSURED        92204L104     219377      19244               X                18197          0       1046
VENCOR INC NEW                           92260R102      60750      13500               X                    0      13500          0
VENTAS INC                               92276F100     164538      13500               X                    0      13500          0
VANGUARD MONEY MARKET RESERVES INC       922906201       6051       6051   X                             6051          0          0
VANGUARD MONEY MARKET RESERVES INC       922906201       4161       4161               X                    0       4161          0
VANGUARD MUN BD FD INC                   922907308     878354      78007   X                            78007          0          0
VANGUARD MUN BD FD INC                   922907308      94750       8415               X                 8415          0          0
VANGUARD MUNICIPAL BOND FUND INC         922907704     110705      10203   X                            10203          0          0
VANGUARD MUNICIPAL BOND FUND INC         922907704       5464        504               X                    0          0        504
VANGUARD INDEX TRUST                     922908207     300016       9798   X                             9798          0          0
VISTA MUT FD GROUP                       928374701    6771904     158741   X                           153975          0       4766
VISTA MUT FD GROUP                       928374701    3218211      75439               X                36869      28947       9622
VULCAN MATERIALS CO COM                  929160109      65782        500   X                              500          0          0
VULCAN MATERIALS CO COM                  929160109     368376       2800               X                    0       2800          0
WAL-MART STORES INC COM                  931142103   34730294     426463   X                           420813        500       5150
WAL-MART STORES INC COM                  931142103    8704745     106888               X                55913      42275       8700
WALGREEN CO COM                          931422109   11810810     201677   X                           198657        275       2745
WALGREEN CO COM                          931422109    1369789      23390               X                 8160       5380       9850
WARNER-LAMBERT CO COM                    934488107    7319176      97345   X                            96200        225        920
WARNER-LAMBERT CO COM                    934488107    3430227      45622               X                36544       8928        150
WASHINGTON MUTUAL INVS FUND INC COM      939330106     436766      13272   X                            13272          0          0
WASHINGTON MUTUAL INVS FUND INC COM      939330106     208779       6344               X                    0       3390       2954
WEIDER NUTRITION INTL INC                948603105      69443      11000   X                                0       1000      10000
WELLMAN INC COM                          949702104     152820      15000               X                    0      15000          0
WELLS FARGO & CO NEW                     949746101   14578448     365027   X                           330062          0      34965
WELLS FARGO & CO NEW                     949746101    1968544      49290               X                26930      16560       5800
WESTVACO CORP COM                        961548104     334144      12462               X                 2362       7100       3000
WILLAMETTE INDUSTRIES INC COM            969133107      10988        328   X                              328          0          0
WILLAMETTE INDUSTRIES INC COM            969133107     335000      10000               X                    0          0      10000
WILLIAMS CO INC DEL COM                  969457100     519592      16660   X                            11560          0       5100
WILLIAMS CO INC DEL COM                  969457100    1030763      33050               X                12250        300      20500
WISCONSIN ENERGY CORP COM                976657106     227611       7240               X                 5519          0       1721
WRIGLEY WM JR CO COM                     982526105    1289707      14400   X                            14400          0          0
WRIGLEY WM JR CO COM                     982526105       8956        100               X                    0          0        100
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                             104140629    2098153                              1664782     228814     204554
</TABLE>
<PAGE>   190
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   201
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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    9576290      81155   X                            80465          0        690
XEROX CORP COM                           984121103    1168790       9905               X                 5520       3790        595
YACKTMAN FUND                            984281105     493436      42501   X                            39544         13       2944
YACKTMAN FUND                            984281105     953545      82131               X                25493      51177       5462
YAHOO INC COM                            984332106     201397        850               X                  850          0          0
AVALON CELLULAR INC COM                  990100935      14700      27000               X                27000          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
JERAS CORPORATION COM                    994726016     225000        750   X                              750          0          0
LEZZER CASH & CARRY OF CURWENSVILLE      995160009       3116          5   X                                5          0          0
LEZZER CASH & CARRY OF CURWENSVILLE      995160009    1553638       2493               X                    0       2493          0
PHILLIPS RESOURCES INC COM               997310990     707438        404   X                              404          0          0
PHILLIPS 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          3      22653               X                 3535          0      19118
SPANG & CO COM                           998463970     265600       3200               X                 3200          0          0
SPANG & CO COM (RESTRICTED I)            998463988     249000       3000   X                             3000          0          0
STANDARD STEEL SPECIALTY CO COM          998541452     410020       5395   X                             5395          0          0
STANDARD STEEL SPECIALTY CO COM          998541452     908656      11956               X                10956       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                              33788500     382414                               224227     103640      54548
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR COMMON STOCK                         4851695542  121579535                            100284029   14103037    7192467
</TABLE>
<PAGE>   191
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   202
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   192
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   203
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 RESHEARCH INS CONV SUB DEB          225224AA2      14500      20000               X                    0      20000          0
INTERIM SVCS INC SUB NT CONV             45868PAA8     386463     430000               X               405000      25000          0
JACOBSON STORES INC CONV SUB DEB         469834AC9      16600      20000               X                    0      20000          0
KENT ELECTRS CORP                        490553AA2     115688     150000               X               150000          0          0
MICRON TECHNOLOGY INC                    595112AB9     560438     525000               X               500000      25000          0
ORYX ENERGY CO                           68763FAD2      14700      15000               X                    0      15000          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                               1108389    1160000                              1055000     105000          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR OTHER                                   1108389    1160000                              1055000     105000          0
</TABLE>
<PAGE>   193
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 46-NATIONAL CITY BANK OF PA.            ON 05/11/99 AS OF 12/31/98

DEPT ID# 046                                                          PAGE   204

**SUMMARY PAGE FOR: 46-NATIONAL CITY BANK OF PA.        **

<TABLE>
<CAPTION>
CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
- ----------------------------------------           ----------  ---------                            ---------  ---------  ---------

<S>                                                <C>         <C>                                  <C>       <C>        <C>    
A. COMMON STOCK                                    4851695542  121579535                            100284029   14103037    7192467
B. PREFERRED STOCK                                          0          0                                    0          0          0
C. OTHER                                              1108389    1160000                              1055000     105000          0
                                                  ----------- ----------                           ---------- ---------- ----------
**GRAND TOTALS**                                   4852803931  122739535                            101339029   14208037    7192467
</TABLE>
<PAGE>   194
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                          PAGE   205
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     348228       3625   X                             3625          0          0
DAIMLERCHRYSLER AG                       D1668R123     353320       3678               X                 3678          0          0
DAWLEN CORPORATION                       U72150458     317218        569   X                              569          0          0
MARSILJE SERVICES INCORPORATED           000334995          1      11667               X                11667          0          0
CNB CORPORATION                          000405993    1026480      17108   X                            17108          0          0
INCOME ADVANTAGE FUND, A COLLECTIVE      000504993    1872609    1872609   X                          1872609          0          0
INCOME ADVANTAGE FUND, A COLLECTIVE      000504993          0          0               X                    0          0          0
INCOME ADVANTAGE FUND - DAILY, A         000520999   33472274   33472274   X                         33472274          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     646000      19000   X                            19000          0          0
ADC TELECOMMUNICATIONS INCORPORATED      000886101    1242313      35750   X                            35550          0        200
ADC TELECOMMUNICATIONS INCORPORATED      000886101      46913       1350               X                 1350          0          0
ACM GOVERNMENT SPECTRUM FUND             000917104      18564       3000   X                                0          0       3000
ACM GOVERNMENT SPECTRUM FUND             000917104     247520      40000               X                40000          0          0
AT & T CORPORATION                       001957109    5256671      69395   X                            67039          0       2356
AT & T CORPORATION                       001957109    3138431      41431               X                36420          0       5011
ABBOTT LABORATORIES                      002824100   14422758     294342   X                           247502          0      46840
ABBOTT LABORATORIES                      002824100    4004231      81719               X                31458          0      50261
ACORN FUND                               004851101      41952       2490   X                             2490          0          0
ACORN FUND                               004851101     293280      17405               X                15801          0       1604
AEGON N V                                007924103    1871648      15310   X                            15310          0          0
AEGON N V                                007924103     269072       2201               X                 2201          0          0
AETNA INCORPORATED                       008117103     250028       3180   X                             3180          0          0
AETNA INCORPORATED                       008117103      95608       1216               X                  316          0        900
AIRTOUCH COMMUNICATIONS INCORPORATED     00949T100    2881221      39775   X                            37523          0       2252
AIRTOUCH COMMUNICATIONS INCORPORATED     00949T100     852306      11766               X                11102          0        664
ALBERTSONS INCORPORATED                  013104104    7682365     120625   X                           115875          0       4750
ALBERTSONS INCORPORATED                  013104104    1161727      18241               X                16941          0       1300
ALLEGHENY ENERGY INCORPORATED            017361106     412275      11950   X                            11350          0        600
ALLEGHENY ENERGY INCORPORATED            017361106     302738       8775               X                 7175          0       1600
ALLEGIANCE CORPORATION                   017475104     627013      13448   X                            13448          0          0
ALLEGIANCE CORPORATION                   017475104     215035       4612               X                 4432          0        180
ALLIANCE MULTI MARKET STATEGY TRUST      01864D104     106537      16167   X                            16167          0          0
ALLIANCE MULTI MARKET STATEGY TRUST      01864D104      52393       7950               X                 2259          0       5692
ALLIED SIGNAL INCORPORATED               019512102     218818       4938   X                             4938          0          0
ALLIED SIGNAL INCORPORATED               019512102     373381       8426               X                 8076          0        350
ALLSTATE CORPORATION                     020002101    1962307      50969   X                            39969          0      11000
ALLSTATE CORPORATION                     020002101     787248      20448               X                20264          0        184
ALLTEL CORPORATION                       020039103     914048      15282   X                            15282          0          0
ALLTEL CORPORATION                       020039103     182525       3052               X                 2852          0        200
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              95495086   36381273                             36241506          0     139768
</TABLE>
<PAGE>   195
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                          PAGE   206
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

ALPHA BETA TECHNOLOGY INCORPORATED       02071K105      20640      30000   X                            30000          0          0
ALUMINUM COMPANY OF AMERICA              022249106    1036724      13904   X                            13779          0        125
ALUMINUM COMPANY OF AMERICA              022249106     589644       7908               X                 6708          0       1200
AMEREN CORPORATION                       023608102     115300       2701   X                             2701          0          0
AMEREN CORPORATION                       023608102     521775      12223               X                10405          0       1818
AMERICA ONLINE INCORPORATED DELAWARE     02364J104     985044       6350   X                             6350          0          0
AMERICA ONLINE INCORPORATED DELAWARE     02364J104     155125       1000               X                  400          0        600
BENHAM CALIF HIGH-YIELD MUNI             025075201     203317      20704   X                            20704          0          0
BENHAM CALIF INTERMEDIATE-TERM           025075508     589642      52273   X                            52273          0          0
AMERICAN CENTY MUT FDS INC               025083882      82360       2465   X                             2465          0          0
AMERICAN CENTY MUT FDS INC               025083882     315407       9440               X                 9440          0          0
AMERICAN TWENTIETH CENTURY               025086505     195137      20391   X                            20391          0          0
AMERICAN ELECTRIC POWER COMPANY          025537101     754985      16042   X                            14642          0       1400
AMERICAN ELECTRIC POWER COMPANY          025537101     258470       5492               X                 4892          0        600
AMERICAN EXPRESS COMPANY                 025816109    2470660      24104   X                            23304          0        800
AMERICAN EXPRESS COMPANY                 025816109     274393       2677               X                 2377          0        300
AMERICAN GENERAL CORPORATION             026351106     390000       5000   X                             5000          0          0
AMERICAN GENERAL CORPORATION             026351106     132288       1696               X                 1696          0          0
AMERICAN HOME PRODUCTS CORPORATION       026609107   12954017     229783   X                           225683          0       4100
AMERICAN HOME PRODUCTS CORPORATION       026609107    4222826      74906               X                64998          0       9908
AMERICAN INTERNATIONAL GROUP             026874107   16681630     172643   X                           165289          0       7354
AMERICAN INTERNATIONAL GROUP             026874107    2710428      28051               X                25099          0       2952
AMERICAN POWER CONVERSION                029066107     303948       6275   X                             6275          0          0
AMERITECH CORPORATION                    030954101   13306025     209957   X                           200301          0       9656
AMERITECH CORPORATION                    030954101    3665417      57837               X                47317          0      10520
AMGEN INCORPORATED                       031162100     317035       3032   X                             3032          0          0
AMGEN INCORPORATED                       031162100     629365       6019               X                 5519          0        500
AMP INCORPORATED                         031897101     535208      10280   X                            10280          0          0
AMP INCORPORATED                         031897101     139685       2683               X                 2683          0          0
AMOCO CORPORATION                        031905102    7532078     125797   X                           122809          0       2988
AMOCO CORPORATION                        031905102    5436770      90802               X                65252          0      25550
ANALOG DEVICES                           032654105      87850       2800   X                             2800          0          0
ANALOG DEVICES                           032654105     195560       6233               X                 6233          0          0
ANHEUSER BUSCH COMPANIES                 035229103    1428263      21764   X                            21764          0          0
ANHEUSER BUSCH COMPANIES                 035229103    4230975      64472               X                58458          0       6014
AON CORPORATION                          037389103     275768       4980   X                             4980          0          0
AON CORPORATION                          037389103      52329        945               X                  945          0          0
APPLIED MATERIALS INCORPORATED           038222105     824305      19310   X                            19310          0          0
APPLIED MATERIALS INCORPORATED           038222105      52592       1232               X                  432          0        800
ARCHER DANIELS MIDLAND COMPANY           039483102     140250       8190   X                             8190          0          0
ARCHER DANIELS MIDLAND COMPANY           039483102     171647      10023               X                 6314          0       3710
ARMADA MONEY MARKET FUND                 042086108   12095229   12095229   X                         12095229          0          0
ARMADA FDS TAX                           042086330     254979      21319   X                            21319          0          0
ARMADA FDS TAX                           042086330     435127      36382               X                36382          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              97770217   13545314                             13454420          0      90895
</TABLE>
<PAGE>   196
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                          PAGE   207
                                                                           
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<TABLE>
<CAPTION>
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 FDS #297                          042086363     566447      55973   X                            55973          0          0
ARMADA FDS #297                          042086363     444608      43934               X                 3990          0      39944
ARMADA TREASURY MONEY MKT FD             042086504    1800000    1800000   X                          1800000          0          0
ARMADA SMALL CAP GROWTH FD               042086579     916139      80575   X                            72457          0       8118
ARMADA SMALL CAP GROWTH FD               042086579     148608      13070               X                 1008          0      12062
ARMADA CORE EQUITY FD                    042086595     650460      49997   X                            49997          0          0
ARMADA CORE EQUITY FD                    042086595      93979       7224               X                    0          0       7224
ARMADA INTERNATIONAL EQUITY FD           042086629     528086      47661   X                            47661          0          0
ARMADA INTERNATIONAL EQUITY FD           042086629     280358      25303               X                 4673          0      20630
ARMADA EQUITY INDEX INSTITUTIONAL        042086645    6739712     632243   X                           626483          0       5760
ARMADA EQUITY INDEX INSTITUTIONAL        042086645     400387      37560               X                28638          0       8922
ARMADA FDS GNMA FD                       042086660     387697      37568   X                            37568          0          0
ARMADA FDS GNMA FD                       042086660      73743       7146               X                 7146          0          0
ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     441912      42207   X                            42207          0          0
ARMADA INTERMEDIATE BD FUND              042086793     548490      51117   X                            51117          0          0
ARMADA INTERMEDIATE BD FUND              042086793     250433      23340               X                23340          0          0
ARMADA SMALL CAPITAL VALUE FUND          042086843    3960703     302344   X                           302344          0          0
ARMADA SMALL CAPITAL VALUE FUND          042086843     751777      57388               X                24272          0      33115
ARMADA EQUITY INCOME FUND                042086868    2483861     142751   X                           138305          0       4445
ARMADA EQUITY INCOME FUND                042086868     641595      36873               X                23592          0      13282
ARMADA EQUITY GROWTH FUND                042086884    2128517      87919   X                            87919          0          0
ARMADA EQUITY GROWTH FUND                042086884      56212       2322               X                 2322          0          0
ASSOCIATES FIRST CAPITAL CORPORATION     046008108    1898146      44794   X                            42794          0       2000
ASSOCIATES FIRST CAPITAL CORPORATION     046008108    1139390      26888               X                23148          0       3740
ATLANTIC RICHFIELD COMPANY               048825103    1679484      25690   X                            25346          0        344
ATLANTIC RICHFIELD COMPANY               048825103     585564       8957               X                 6533          0       2424
AUTOMATIC DATA PROCESSING                053015103    8377000     104467   X                            97867          0       6600
AUTOMATIC DATA PROCESSING                053015103    1362394      16990               X                16260          0        730
AVERY DENNISON CORPORATION               053611109     550354      12213   X                            12213          0          0
AVERY DENNISON CORPORATION               053611109     376907       8364               X                 7864          0        500
AVON PRODUCTS INCORPORATED               054303102     946950      21400   X                            21400          0          0
AVON PRODUCTS INCORPORATED               054303102      33984        768               X                  768          0          0
BMC SOFTWARE INCORPORATED                055921100    1350259      30300   X                            21500          0       8800
BMC SOFTWARE INCORPORATED                055921100     100534       2256               X                 2156          0        100
BALTIMORE GAS AND ELECTRIC COMPANY       059165100     255089       8262   X                             8262          0          0
BALTIMORE GAS AND ELECTRIC COMPANY       059165100     100930       3269               X                  994          0       2275
BANK OF NEW YORK                         064057102     190946       4744   X                             4744          0          0
BANK OF NEW YORK                         064057102      59409       1476               X                 1476          0          0
BANK ONE CORPORATION NEW                 06423A103    7191151     140829   X                           140829          0          0
BANK ONE CORPORATION NEW                 06423A103    2545133      49843               X                38956          0      10887
BANKAMERICA CORPORATION NEW              06605F102    9678870     160979   X                           160979          0          0
BANKAMERICA CORPORATION NEW              06605F102    1078064      17930               X                14747          0       3183
BANKBOSTON CORPORATION                   06605R106     145472       3736   X                             3736          0          0
BANKBOSTON CORPORATION                   06605R106      89635       2302               X                  286          0       2016
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              64029389    4280972                              4083870          0     197101
</TABLE>
<PAGE>   197
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                          PAGE   208
                                                                           
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<TABLE>
<CAPTION>
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

BARD C R INCORPORATED                    067383109     128948       2605   X                             2605          0          0
BARD C R INCORPORATED                    067383109     119345       2411               X                   36          0       2375
BARNES & NOBLE INCORPORATED              067774109      76288       1795   X                             1795          0          0
BARNES & NOBLE INCORPORATED              067774109     140250       3300               X                 2500          0        800
BARON ASSET FUND                         068278100    1789272      35403   X                            35403          0          0
BARON ASSET FUND                         068278100     210223       4160               X                 4160          0          0
BARON ASSET FD                           068278308      16823       1596   X                             1596          0          0
BARON ASSET FD                           068278308     211022      20021               X                20021          0          0
BARRY COUNTY SERVICE COMPANY             068810894     210000       3000   X                             3000          0          0
BATH NATIONAL CORPORATION                071122105     575650      11600   X                            11600          0          0
BAXTER INTERNATIONAL INCORPORATED        071813109    1733171      26949   X                            26949          0          0
BAXTER INTERNATIONAL INCORPORATED        071813109     423694       6588               X                 6138          0        450
BELL ATLANTIC CORPORATION                077853109    3023947      55999   X                            52457          0       3542
BELL ATLANTIC CORPORATION                077853109    4079376      75544               X                67304          0       8240
BELLSOUTH CORPORATION                    079860102   10238158     205276   X                           193400          0      11876
BELLSOUTH CORPORATION                    079860102    3740051      74988               X                67998          0       6990
A.H. BELO CORP CL A                      080555105     636820      31940   X                            31940          0          0
BERGER SMALL CAPITAL VALUE               083902106     183857       9516   X                             9516          0          0
BERGER SMALL CAPITAL VALUE               083902106      39592       2049               X                 1486          0        564
BERGER SMALL CAP VALUE FUND              083902205    3899118     201818   X                           201818          0          0
BERGER SMALL CAP VALUE FUND              083902205     180680       9352               X                 9352          0          0
BERGER 100 FUND                          084056100     261320      17899   X                            17899          0          0
BERGER 100 FUND                          084056100     587790      40260               X                40260          0          0
BERNSTEIN INTERNATIONAL VALUE            085568707     242539      13618   X                            13618          0          0
BESTFOODS INCORPORATED                   08658U101    2562230      48117   X                            48017          0        100
BESTFOODS INCORPORATED                   08658U101     662057      12433               X                11133          0       1300
BOEING COMPANY                           097023105    1033952      31692   X                            31292          0        400
BOEING COMPANY                           097023105     441547      13534               X                 8590          0       4944
BOSTON SCIENTIFIC CORPORATION            101137107     450458      16800   X                            16800          0          0
BOSTON SCIENTIFIC CORPORATION            101137107      26438        986               X                  986          0          0
BRIGHTPOINT INCORPORATED                 109473108     664125      48300   X                            48300          0          0
BRIGHTPOINT INCORPORATED                 109473108       5500        400               X                  400          0          0
BRISTOL MYERS SQUIBB COMPANY             110122108   16556230     123727   X                           115991          0       7736
BRISTOL MYERS SQUIBB COMPANY             110122108    8045774      60127               X                50778          0       9349
BRITISH PETROLEUM COMPANY PLC ADR        110889409    1038089      11439   X                            11439          0          0
BRITISH PETROLEUM COMPANY PLC ADR        110889409     223790       2466               X                 2466          0          0
BURLINGTON NORTHERN SANTA FE             12189T104    3330025      97227   X                            97227          0          0
BURLINGTON NORTHERN SANTA FE             12189T104     900707      26298               X                19650          0       6648
BURLINGTON RESOURCES INCORPORATED        122014103     254953       7119   X                             7119          0          0
BURLINGTON RESOURCES INCORPORATED        122014103     217815       6082               X                 2202          0       3880
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 CORPORATION                          12490K107     265785       8100   X                             8100          0          0
CBS CORPORATION                          12490K107      34618       1055               X                 1055          0          0
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              71039320    1512643                              1443450          0      69194
</TABLE>
<PAGE>   198
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT 
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                          PAGE   209
                                                                           
SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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

CGM REALTY FUND (137)                    125325407    1633977     140982   X                           140982          0          0
CIGNA CORPORATION                        125509109    2503782      32385   X                            32385          0          0
CIGNA CORPORATION                        125509109    1421709      18389               X                18089          0        300
CMS ENERGY CORPORATION                   125896100     125018       2581   X                             2581          0          0
CMS ENERGY CORPORATION                   125896100      80979       1672               X                 1672          0          0
CSX CORPORATION                          126408103     294401       7094   X                             7094          0          0
CSX CORPORATION                          126408103     344492       8301               X                 2139          0       6162
CVS CORPORATION                          126650100    5695800     103560   X                            92360          0      11200
CVS CORPORATION                          126650100     508420       9244               X                 9144          0        100
CAMPBELL SOUP COMPANY                    134429109      22000        400   X                              400          0          0
CAMPBELL SOUP COMPANY                    134429109     587840      10688               X                10688          0          0
CARDINAL HEALTH INCORPORATED             14149Y108    6340494      83565   X                            72766          0      10799
CARDINAL HEALTH INCORPORATED             14149Y108     598578       7889               X                 7477          0        412
CARNIVAL CORPORATION CLASS A             143658102    3064800      63850   X                            52850          0      11000
CARNIVAL CORPORATION CLASS A             143658102     434400       9050               X                 7700          0       1350
CAROLINA POWER AND LIGHT COMPANY         144141108     454582       9659   X                             9659          0          0
CAROLINA POWER AND LIGHT COMPANY         144141108     198135       4210               X                 4210          0          0
CASEYS GENERAL STORES                    147528103      82095       6300   X                             6300          0          0
CASEYS GENERAL STORES                    147528103     224133      17200               X                17200          0          0
CATERPILLAR INCORPORATED                 149123101    4482434      97444   X                            96944          0        500
CATERPILLAR INCORPORATED                 149123101    7540566     163925               X               126261          0      37664
CEDAR FAIR LIMITED PARTNERSHIP           150185106     777400      29900   X                            29900          0          0
CENDANT CORPORATION                      151313103     223471      11571   X                            11571          0          0
CENDANT CORPORATION                      151313103     316926      16410               X                15910          0        500
CENTRAL AND SOUTH WEST CORPORATION       152357109    1545390      56323   X                            54823          0       1500
CENTRAL AND SOUTH WEST CORPORATION       152357109     481674      17555               X                12455          0       5100
CENTURY FINANCIAL CORPORATION            15652L102     303232       6592               X                 6592          0          0
CENTURY INSTRUMENT CORPORATION CLASS     156573107     256500       9500               X                 9500          0          0
CENTURY SHARES TRUST                     156681108      59096       1323   X                             1323          0          0
CENTURY SHARES TRUST                     156681108     424212       9499               X                 9499          0          0
CENTURY TELEPHONE ENTERPRISES            156686107     270000       4000   X                             4000          0          0
CENTURY TELEPHONE ENTERPRISES            156686107     373883       5539               X                 5539          0          0
CERIDIAN CORPORATION                     15677T106    3644239      52200   X                            45800          0       6400
CERIDIAN CORPORATION                     15677T106     184725       2646               X                 2646          0          0
CHARTER ONE FINANCIAL INCORPORATED       160903100     346903      12501               X                12501          0          0
CHASE MANHATTAN CORPORATION (NEW)        16161A108    3423975      48225   X                            48225          0          0
CHASE MANHATTAN CORPORATION (NEW)        16161A108    1125563      15853               X                11062          0       4791
CHEMICAL FINANCIAL CORPORATION           163731102     324088       9532   X                             9532          0          0
CHEMICAL FINANCIAL CORPORATION           163731102      54774       1611               X                 1611          0          0
CHEVRON CORPORATION                      166751107    2532014      30529   X                            30429          0        100
CHEVRON CORPORATION                      166751107    2318864      27959               X                27373          0        586
CHUBB CORPORATION                        171232101     401903       6207   X                             6207          0          0
CHUBB CORPORATION                        171232101      65139       1006               X                 1006          0          0
CILCORP INCORPORATED                     171794100     535089       8745   X                             7945          0        800
                                                   ---------- ----------                           ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE                              56627695    1183614                              1084350          0      99264
</TABLE>

<PAGE>   199
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 210

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CILCORP INCORPORATED                     171794100     530574       8671               X                 7670          0       1001
 CINCINNATI BELL                          171870108     280724       7424               X                 7424          0          0
 CINCINNATI FINANCIAL CORPORATION         172062101     170416       4653   X                             4653          0          0
 CINCINNATI FINANCIAL CORPORATION         172062101      33878        925               X                  925          0          0
 CINDERELLA INCORPORATED CLASS B          172398950     210624       4800   X                             4800          0          0
 CISCO SYSTEMS INCORPORATED               17275R102   20801343     224121   X                           208272          0      15849
 CISCO SYSTEMS INCORPORATED               17275R102    2517367      27123               X                25323          0       1800
 CINTAS CORPORATION                       172908105    1033678      14675   X                            14275          0        400
 CINTAS CORPORATION                       172908105     359234       5100               X                 4900          0        200
 CITIGROUP INC COM                        172967101    1413822      28454   X                            28454          0          0
 CITIGROUP INC COM                        172967101    1621965      32643               X                31015          0       1628
 CITIZENS BANKING CORPORATION             174420109     431156      12775   X                            12775          0          0
 CITIZENS BANKING CORPORATION             174420109      25313        750               X                    0          0        750
 CLEAR CHANNEL COMMUNICATIONS             184502102    2005600      36800   X                            36800          0          0
 CLEAR CHANNEL COMMUNICATIONS             184502102       8557        157               X                  157          0          0
 CLIFFORD JACOBS FORGING COMPANY          187995105     421500        281   X                              281          0          0
 CLIFFORD JACOBS FORGING COMPANY          187995105      30000         20               X                    0          0         20
 CLOROX COMPANY                           189054109    2158120      18475   X                            17425          0       1050
 CLOROX COMPANY                           189054109     112841        966               X                  716          0        250
 COASTAL CORPORATION                      190441105     637519      18150   X                            18150          0          0
 COASTAL CORPORATION                      190441105     166317       4735               X                  735          0       4000
 COCA COLA COMPANY                        191216100   13349655     199249   X                           192899          0       6350
 COCA COLA COMPANY                        191216100    4902926      73178               X                56458          0      16720
 COHEN FURNITURE COMPANY                  191995109     673320        186   X                               93          0         93
 COHEN FURNITURE COMPANY                  191995109      14480          4               X                    0          0          4
 COLGATE PALMOLIVE COMPANY                194162103    1623919      17485   X                            17485          0          0
 COLGATE PALMOLIVE COMPANY                194162103     714023       7688               X                 6988          0        700
 COMCAST CORPORATION CLASS A SPECIAL      200300200    4992882      85075   X                            76625          0       8450
 COMCAST CORPORATION CLASS A SPECIAL      200300200     175360       2988               X                 2583          0        405
 COMERICA INCORPORATED                    200340107    2794617      40984   X                            36384          0       4600
 COMERICA INCORPORATED                    200340107    2587462      37946               X                28294          0       9652
 COMMERCE BANCSHARES INCORPORATED         200525103     186618       4391   X                             4391          0          0
 COMMERCE BANCSHARES INCORPORATED         200525103    4206608      98979               X                97127          0       1852
 COMPAQ COMPUTER CORPORATION              204493100    2899806      69043   X                            68293          0        750
 COMPAQ COMPUTER CORPORATION              204493100     551586      13133               X                 9957          0       3176
 COMPARATOR SYSTEM CORPORATION COMMON     204494207       1250     250000               X                    0          0     250000
 COMPUTER ASSOCIATES INTERNATIONAL        204912109     270669       6350   X                             6350          0          0
 COMPUTER ASSOCIATES INTERNATIONAL        204912109      66964       1571               X                  571          0       1000
 COMPUTER SCIENCES CORPORATION            205363104     745300      11600   X                            11600          0          0
 COMPUTER SCIENCES CORPORATION            205363104      51336        799               X                  599          0        200
 COMSAT CORPORATION                       20564D107     288000       8000   X                             8000          0          0
 CONAGRA INCORPORATED                     205887102    2412018      76572   X                            76572          0          0
 CONAGRA INCORPORATED                     205887102      85176       2704               X                 2704          0          0
 CONCORD EFS INCORPORATED                 206197105     240478       5675   X                             5675          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              78805001    1465298                              1134398          0     330900
</TABLE>
<PAGE>   200
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 211

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 CONCORD EFS INCORPORATED                 206197105    1282352      30262               X                 7200          0      23062
 CONSECO INCORPORATED                     208464107     374113      12266   X                            12266          0          0
 CONSECO INCORPORATED                     208464107     249978       8196               X                 8096          0        100
 CONSOLIDATED EDISON INCORPORATED         209115104     375518       7102   X                             7102          0          0
 CONSOLIDATED EDISON INCORPORATED         209115104     932081      17628               X                 8128          0       9500
 CONSOLIDATED NATURAL GAS COMPANY         209615103     529200       9800   X                             9800          0          0
 CONSOLIDATED NATURAL GAS COMPANY         209615103     396090       7335               X                 5749          0       1586
 CORNING INCORPORATED                     219350105    2814570      62546   X                            62546          0          0
 CORNING INCORPORATED                     219350105     286065       6357               X                 6357          0          0
 COSTCO COMPANIES INCORPORATED            22160Q102    6143199      85100   X                            75500          0       9600
 COSTCO COMPANIES INCORPORATED            22160Q102     367220       5087               X                 4787          0        300
 DTE ENERGY COMPANY                       233331107     961209      22321   X                            22321          0          0
 DTE ENERGY COMPANY                       233331107     510579      11857               X                10314          0       1543
 DAKOTA MINING CORPORATION                23423G105         10      10000   X                            10000          0          0
 DAKOTA MINING CORPORATION                23423G105          0        419               X                  419          0          0
 DARDEN RESTAURANTS INCORPORATED          237194105     177462       9859   X                             9859          0          0
 DARDEN RESTAURANTS INCORPORATED          237194105     224478      12471               X                 7591          0       4880
 DAYTON HUDSON CORPORATION                239753106    7685869     141675   X                           133175          0       8500
 DAYTON HUDSON CORPORATION                239753106     419190       7727               X                 7127          0        600
 DEERE AND COMPANY                        244199105     480797      14625   X                            14625          0          0
 DEERE AND COMPANY                        244199105     233643       7107               X                 7107          0          0
 DELAWARE GROUP DECATUR INCOME FUND       245907100     294570      16097   X                            16097          0          0
 DELL COMPUTER CORPORATION                247025109     499947       6831   X                             6831          0          0
 DELL COMPUTER CORPORATION                247025109     154866       2116               X                 1916          0        200
 DISNEY WALT COMPANY                      254687106    2751750      91725   X                            91325          0        400
 DISNEY WALT COMPANY                      254687106     954360      31812               X                19096          0      12716
 DODGE & COX STOCK FUND                   256219106    2097631      23127   X                            13791          0       9336
 DODGE & COX STOCK FUND                   256219106     165859       1829               X                 1829          0          0
 DOMINION RESOURCES INCORPORATED          257470104     207944       4448   X                             3248          0       1200
 DOMINION RESOURCES INCORPORATED          257470104     280921       6009               X                 3451          0       2558
 DOW CHEMICAL COMPANY                     260543103   65319011     718281   X                           718281          0          0
 DOW CHEMICAL COMPANY                     260543103    3990632      43883               X                40371          0       3512
 DREYFUS MUNICIPAL BOND FUND              26201Q104      45615       3632   X                             3632          0          0
 DREYFUS MUNICIPAL BOND FUND              26201Q104     183146      14582               X                14582          0          0
 DREYFUS PREMIER STATE MUNICIPAL BOND     26202D813     413912      26381   X                            26381          0          0
 DREYFUS PREMIER STATE MUNICIPAL BOND     26202D813      44607       2843               X                 2843          0          0
 E I DUPONT DE NEMOURS AND COMPANY $5     263534109    3712924      69972   X                            69972          0          0
 E I DUPONT DE NEMOURS AND COMPANY $5     263534109    1941204      36583               X                24203          0      12380
 DUKE ENERGY CORPORATION                  264399106     348375       5438   X                             5438          0          0
 DUKE ENERGY CORPORATION                  264399106     265679       4147               X                 2247          0       1900
 DUKE REALTY INVESTMENT INCORPORATED      264411505     191813       8250   X                             8250          0          0
 DUKE REALTY INVESTMENT INCORPORATED      264411505      82538       3550               X                 3550          0          0
 DUN & BRADSTREET CORPORATION             26483B106     125463       3975   X                             3975          0          0
 DUN & BRADSTREET CORPORATION             26483B106     169146       5359               X                 5359          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             108685536    1620610                              1516737          0     103873
</TABLE>
<PAGE>   201
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 212

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 EMC CORPORATION MASSACHUSETTS            268648102    2318630      27278   X                            27278          0          0
 EMC CORPORATION MASSACHUSETTS            268648102     594150       6990               X                 6890          0        100
 EASTMAN KODAK COMPANY                    277461109    1482048      20584   X                            20259          0        325
 EASTMAN KODAK COMPANY                    277461109     721224      10017               X                 8548          0       1469
 EATON VANCE GROWTH FD INC                277902813     220886      12629   X                            12629          0          0
 EATON CORPORATION $.50 PAR               278058102    2649598      37483   X                            37483          0          0
 EATON CORPORATION $.50 PAR               278058102     239350       3386               X                 3386          0          0
 EDISON INTERNATIONAL                     281020107     603661      21656   X                            21056          0        600
 EDISON INTERNATIONAL                     281020107     161861       5807               X                 4635          0       1172
 ELAN CORPORATION PLC ADR                 284131208     121552       1738   X                             1738          0          0
 ELAN CORPORATION PLC ADR                 284131208     181839       2600               X                 2600          0          0
 ELECTRONIC DATA SYSTEMS CORPORATION      285661104     375808       7488   X                             6616          0        872
 ELECTRONIC DATA SYSTEMS CORPORATION      285661104     205169       4088               X                 3156          0        932
 EMERSON ELECTRIC COMPANY                 291011104    9330855     154229   X                           144929          0       9300
 EMERSON ELECTRIC COMPANY                 291011104    1042597      17233               X                16333          0        900
 ENGELHARD CORPORATION                    292845104     294080      15081   X                            15081          0          0
 ENGELHARD CORPORATION                    292845104      11544        592               X                  592          0          0
 ENESCO GROUP INCORPORATED                292973104     316200      13600   X                            13600          0          0
 ENRON CORPORATION                        293561106    4329769      75877   X                            75877          0          0
 ENRON CORPORATION                        293561106     253816       4448               X                 3248          0       1200
 EQUITY INCOME FUND                       294700703     198690       1074   X                             1074          0          0
 EQUITY INCOME FUND                       294700703     105450        570               X                    0          0        570
 EQUITY INVESTMENT FUND UNIT SELECT       294701750      20486      19889               X                    0          0      19889
 EQUITY INVESTMENT FUND                   294710173      32454      31509               X                    0          0      31509
 EQUITY INVT FD                           294710348      32110      30581               X                    0          0      30581
 EVERGREEN MUNICIPAL TRUST                300258746     252939      33194   X                            33194          0          0
 EVERGREEN MUNICIPAL TRUST                300258746      87664      11505               X                11505          0          0
 EXXON CORPORATION                        302290101   21144313     289153   X                           282550          0       6603
 EXXON CORPORATION                        302290101   19587116     267858               X               148811          0     119047
 FPA NEW INCOME FUND                      302544101     116847      10880               X                10880          0          0
 FPL GROUP INCORPORATED                   302571104    1380400      22400   X                            22400          0          0
 FPL GROUP INCORPORATED                   302571104     558631       9065               X                 8665          0        400
 FEDERAL HOME LOAN MORTGAGE               313400301    7867880     122100   X                           111800          0      10300
 FEDERAL HOME LOAN MORTGAGE               313400301     594763       9230               X                 8980          0        250
 FEDERAL NATIONAL MORTGAGE                313586109   11823088     159771   X                           150671          0       9100
 FEDERAL NATIONAL MORTGAGE                313586109    1867168      25232               X                23082          0       2150
 FEDERATED SHORT-TERM MUNICIPAL TRUST     313907107     214430      20698               X                20698          0          0
 FEDERATED U S GOVERNMENT SECURITIES      314182106     138179      17447   X                            17447          0          0
 FEDERATED GROUP GNMA TRUST FUND          314184102     608204      53492   X                            53492          0          0
 FEDERATED GROUP GNMA TRUST FUND          314184102     144106      12674               X                12674          0          0
 FEDERATED INCOME TRUST                   314199100      15442       1486   X                             1486          0          0
 FEDERATED INCOME TRUST                   314199100     246496      23724               X                23724          0          0
 FIDELITY ADVISOR EQUITY PORTFOLIO        315805200     655286      11482   X                            11482          0          0
 FIDELITY ADVISOR II GROWTH               315807206   15838750     315450   X                           315450          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             108985529    1943268                              1695999          0     247269
</TABLE>
<PAGE>   202
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 213

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MUNICIPAL INCOME FUND                    316089507     393078      30661   X                            30661          0          0
 MUNICIPAL INCOME FUND                    316089507     750106      58511               X                26171          0      32339
 FIDELITY EQUITY INCOME FUND              316138106     108970       1963   X                             1963          0          0
 FIDELITY EQUITY INCOME FUND              316138106     900713      16229               X                16229          0          0
 FIDELITY FINL TR                         316145101     238856       7967   X                             7967          0          0
 FIDELITY FINL TR                         316145101     170099       5674               X                    0          0       5674
 FIDELITY FUND INCORPORATED               316153105      51622       1409   X                             1409          0          0
 FIDELITY FUND INCORPORATED               316153105     712455      19439               X                10050          0       9390
 FIDELITY MAGELLAN FUND INCORPORATED      316184100     411243       3415   X                             3415          0          0
 FIDELITY MAGELLAN FUND INCORPORATED      316184100     253427       2104               X                  385          0       1719
 FIDELITY PURITAN FUND                    316345107      13095        653   X                              653          0          0
 FIDELITY PURITAN FUND                    316345107     192440       9598               X                 8211          0       1387
 FIDELITY LIMITED TERM MUNICIPALS         31638R204     988883      99086               X                77461          0      21626
 FIDELITY SECURITIES FUND A BLUE CHIP     316389303     325925       6474   X                             6474          0          0
 FIDELITY SECURITIES FUND A BLUE CHIP     316389303     132809       2638               X                    0          0       2638
 FIDELITY SECS FD                         316389402      79659       2773   X                             2339          0        434
 FIDELITY SECS FD                         316389402     127127       4425               X                  842          0       3583
 FIDELITY SELECT PORTFOLIOS UTILITY       316390509     219040       3594   X                             3594          0          0
 FIDELITY SPARTAN MICHIGAN                316412204     124945      10661   X                            10661          0          0
 FIDELITY SPARTAN MUNICIPAL MONEY         316448406      65996      65996               X                    0          0      65996
 FIFTH THIRD BANCORP                      316773100     155106       2175   X                             2175          0          0
 FIFTH THIRD BANCORP                      316773100     424241       5949               X                 5949          0          0
 FIRST OF AMERICA BANK CORPORATION        318906104     267285       3090   X                             3090          0          0
 FIRST DATA CORPORATION                   319963104     406916      12766   X                            12766          0          0
 FIRST DATA CORPORATION                   319963104     604254      18957               X                18757          0        200
 FIRST INVESTORS INSURED TAX EXEMPT       32060M101     134907      12787   X                            12787          0          0
 FIRST HEALTH GROUP CORPORATION           320960107     110972       6700   X                             6700          0          0
 FIRST HEALTH GROUP CORPORATION           320960107     132504       8000               X                 8000          0          0
 FIRST TENNESSEE NATIONAL CORPORATION     337162101     442482      11625   X                            11625          0          0
 FIRST TRUST GNMA TRUST UNIT SERIES       337335202        541      10811   X                            10811          0          0
 FIRST UNION CORPORATION                  337358105    6886160     113235   X                           113235          0          0
 FIRST UNION CORPORATION                  337358105    1454829      23923               X                19110          0       4813
 FIRSTAR CORP NEW WIS                     33763V109     770598       8286   X                             8286          0          0
 FIRSTAR CORP NEW WIS                     33763V109      27900        300               X                  200          0        100
 FLEET FINANCIAL GROUP INCORPORATED       338915101    5596815     125242   X                           125242          0          0
 FLEET FINANCIAL GROUP INCORPORATED       338915101     810551      18138               X                18138          0          0
 FLORIDA PROGRESS CORPORATION             341109106     210487       4697   X                             4697          0          0
 FLORIDA PROGRESS CORPORATION             341109106     147883       3300               X                 2500          0        800
 FLOWSERVE CORPORATION                    34354P105   15265653     921672   X                           792150          0     129522
 FLOWSERVE CORPORATION                    34354P105    1620690      97850               X                97850          0          0
 FORD MOTOR COMPANY                       345370100    2103984      35850   X                            35850          0          0
 FORD MOTOR COMPANY                       345370100    2653559      45215               X                38445          0       6770
 FORTUNE BRANDS INCORPORATED              349631101     606821      19188   X                            19188          0          0
 FORTUNE BRANDS INCORPORATED              349631101     654258      20688               X                15040          0       5648
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              47749884    1883714                              1591076          0     292639
</TABLE>
<PAGE>   203
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 214

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 FOUNDERS FUNDS INCORPORATED BLUE         350553103      86133      11767   X                            11767          0          0
 FRANKLIN TEMPLETON INCOME FUND           353496300     235313      99709   X                            99709          0          0
 FRANKLIN TEMPLETON FUND U S              353496607     202791      29348   X                            29348          0          0
 FRANKLIN TEMPLETON FUND U S              353496607     147036      21279               X                    0          0      21279
 FRANKLIN TEMPLETON FEDERAL TAX FREE      353519101     368813      29767   X                            29767          0          0
 FRANKLIN TEMPLETON FEDERAL TAX FREE      353519101     353179      28505               X                 4507          0      23998
 FRANKLIN TEMPLETON AGE HIGH INCOME       353538101      59872      21693   X                            21693          0          0
 FRANKLIN TEMPLETON AGE HIGH INCOME       353538101      46334      16788               X                    0          0      16788
 FRANKLIN TEMPLETON INVESTORS             353612302     371673      39879   X                            39879          0          0
 FRANKLIN RESOURCES INCORPORATED          354613101     315200       9850   X                             9450          0        400
 FRANKLIN RESOURCES INCORPORATED          354613101      49920       1560               X                 1360          0        200
 FRANKLIN TEMPLETON INSURED TAX FREE      354723108     153222      12457   X                             9165          0       3292
 FRANKLIN TEMPLETON INSURED TAX FREE      354723108      71337       5800               X                 2513          0       3287
 FRANKLIN TEMPLETON MICHIGAN INSURED      354723306    1144904      93233   X                            93233          0          0
 FRANKLIN TEMPLETON MICHIGAN INSURED      354723306     192477      15674               X                 6904          0       8770
 FRANKLIN TEMPLETON HIGH YIELD TAX        354723702     220556      19162   X                            19162          0          0
 FRANKLIN TEMPLETON HIGH YIELD TAX        354723702     249112      21643               X                21643          0          0
 GE GOVERNMENT SECURITIES FUND            36158B455      91179      10349               X                10349          0          0
 GPU INCORPORATED                         36225X100     299374       6775   X                             6775          0          0
 GPU INCORPORATED                         36225X100     255407       5780               X                 4981          0        799
 GTE CORPORATION                          362320103   14884675     228995   X                           224795          0       4200
 GTE CORPORATION                          362320103    4185545      64393               X                50909          0      13484
 GABELLI GROWTH FUND                      362398109     165202       4667   X                             4667          0          0
 GABELLI GROWTH FUND                      362398109      55457       1567               X                 1567          0          0
 GALLAHER GROUP PLC                       363595109     450668      16576   X                            16576          0          0
 GALLAHER GROUP PLC                       363595109     279493      10280               X                10280          0          0
 GANNETT COMPANY INCORPORATED             364730101    7074489     109682   X                           109682          0          0
 GANNETT COMPANY INCORPORATED             364730101      11610        180               X                  180          0          0
 GAP INCORPORATED                         364760108     305152       5437   X                             5437          0          0
 GAP INCORPORATED                         364760108      20935        373               X                  373          0          0
 GENERAL ELECTRIC COMPANY                 369604103   48478254     475277   X                           458743          0      16534
 GENERAL ELECTRIC COMPANY                 369604103   20321047     199226               X               141547          0      57679
 GENERAL MILLS INCORPORATED               370334104    1179397      15169   X                            15169          0          0
 GENERAL MILLS INCORPORATED               370334104     780144      10034               X                 7934          0       2100
 GENERAL MOTORS CORPORATION               370442105    7545672     105441   X                           101617          0       3824
 GENERAL MOTORS CORPORATION               370442105     879517      12290               X                11255          0       1035
 GENERAL RE CORPORATION                   370563108     222243       1110   X                             1110          0          0
 GENERAL RE CORPORATION                   370563108     155570        777               X                  777          0          0
 GENUINE PARTS COMPANY                    372460105     247575       7404   X                             7404          0          0
 GENUINE PARTS COMPANY                    372460105     365310      10925               X                10925          0          0
 GEORGIA PACIFIC CORPORATION $.80 PAR     373298108     258790       4419   X                             4419          0          0
 GEORGIA PACIFIC CORPORATION $.80 PAR     373298108     332814       5683               X                 5058          0        625
 GEORGIA PACIFIC CORPORATION COMMON       373298702      94395       3964   X                             3964          0          0
 GEORGIA PACIFIC CORPORATION COMMON       373298702     111326       4675               X                 4050          0        625
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             113319112    1799562                              1620643          0     178919
</TABLE>
<PAGE>   204
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 215

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 THE GILLETTE COMPANY $1 PAR              375766102    9344764     195444   X                           188290          0       7154
 THE GILLETTE COMPANY $1 PAR              375766102    1630758      34107               X                27551          0       6556
 GLAXO WELLCOME PLC                       37733W105    1476875      21250   X                            21250          0          0
 GLAXO WELLCOME PLC                       37733W105     139000       2000               X                 2000          0          0
 GOODYEAR TIRE AND RUBBER COMPANY         382550101    2722946      53986   X                            53786          0        200
 GOODYEAR TIRE AND RUBBER COMPANY         382550101      75657       1500               X                  900          0        600
 GOVERNMENT SECURITIES INCOME FUND        383743234       1827      18267   X                            18267          0          0
 GOVERNMENT SECURITIES INCOME FUND        383743267       2071      18823   X                            18823          0          0
 GOVERNMENT SECURITIES INCOME FUND        383743523       1913      38250   X                                0          0      38250
 GOVERNMENT SECURITIES INCOME FUND        383743580       1483      29654               X                29654          0          0
 GOVERNMENT SECURITIES INCOME FUND        383744612      14295      21659   X                            21659          0          0
 GREAT AMERICAN BANK FEDERAL SAVINGS      389908104          1      15000   X                                0          0      15000
 GUIDANT CORPORATION                      401698105    1160500      10550   X                             7050          0       3500
 GUIDANT CORPORATION                      401698105     335060       3046               X                 2946          0        100
 HBO & COMPANY                            404100109    5078981     177042   X                           158392          0      18650
 HBO & COMPANY                            404100109     254520       8872               X                 8172          0        700
 HCR MANOR CARE INCORPORATED              404134108     227274       7737   X                             7737          0          0
 HCR MANOR CARE INCORPORATED              404134108       1204         41               X                   41          0          0
 HALLIBURTON COMPANY                      406216101    2358150      79600   X                            69600          0      10000
 HALLIBURTON COMPANY                      406216101     497315      16787               X                15387          0       1400
 HARBOR BOND FUND                         411511108     329541      29215   X                            29215          0          0
 HARBOR BOND FUND                         411511108     248877      22064               X                22064          0          0
 HARBOR CAPITAL APPRECIATION FUND         411511504     282587       7438   X                             7438          0          0
 HARBOR CAPITAL APPRECIATION FUND         411511504      84163       2215               X                 2215          0          0
 HARLEY DAVIDSON INCORPORATED             412822108    1195745      25240   X                            24590          0        650
 HARLEY DAVIDSON INCORPORATED             412822108     106594       2250               X                 1650          0        600
 OAKMARK FUND                             413838103     677366      18910   X                            18910          0          0
 OAKMARK FUND                             413838103      58542       1634               X                 1634          0          0
 HARRIS CORPORATION DELAWARE              413875105     377238      10300   X                            10300          0          0
 HARRIS CORPORATION DELAWARE              413875105      23843        651               X                   51          0        600
 HARTFORD FINANCIAL SERVICES GROUP        416515104     147504       2688   X                             2688          0          0
 HARTFORD FINANCIAL SERVICES GROUP        416515104     142949       2605               X                 2205          0        400
 HASBRO INCORPORATED                      418056107     300705       8324   X                             8324          0          0
 HASBRO INCORPORATED                      418056107      13908        385               X                  385          0          0
 HAYDEN HILL CONSOLIDATED MINING          420686107          1      10000   X                            10000          0          0
 HEALTHSOUTH CORPORATION                  421924101    1376529      89165   X                            61665          0      27500
 HEALTHSOUTH CORPORATION                  421924101     277375      17967               X                17967          0          0
 HEALTH MANAGEMENT ASSOCIATES             421933102     206832       9565   X                             9565          0          0
 HEALTH MANAGEMENT ASSOCIATES             421933102     231928      10725               X                10725          0          0
 HEINZ HJ COMPANY                         423074103    1697334      29975   X                            28475          0       1500
 HEINZ HJ COMPANY                         423074103    1907187      33681               X                23681          0      10000
 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 CORPORATION                427866108     244409       3930   X                             3930          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              35635251    1092707                               949190          0     143517
</TABLE>
<PAGE>   205
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 216

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 HERSHEY FOODS CORPORATION                427866108     210880       3391               X                 3091          0        300
 HEWLETT PACKARD COMPANY                  428236103   10318747     151051   X                           145651          0       5400
 HEWLETT PACKARD COMPANY                  428236103    1501656      21982               X                18982          0       3000
 HOME DEPOT INCORPORATED                  437076102   15161897     247792   X                           226318          0      21474
 HOME DEPOT INCORPORATED                  437076102    2655804      43404               X                42703          0        701
 HON INDUSTRIES INC COM                   438092108     731545      30560   X                            30560          0          0
 HON INDUSTRIES INC COM                   438092108       7181        300               X                    0          0        300
 HONEYWELL INCORPORATED                   438506107     447058       5936   X                             5136          0        800
 HONEYWELL INCORPORATED                   438506107      77572       1030               X                 1030          0          0
 HOUSEHOLD INTERNATIONAL                  441815107    1403438      35418   X                            34518          0        900
 HOUSEHOLD INTERNATIONAL                  441815107     439758      11098               X                10948          0        150
 HOUSTON INDUSTRIES INCORPORATED          442161105     160251       4998   X                             4998          0          0
 HOUSTON INDUSTRIES INCORPORATED          442161105      87756       2737               X                 1737          0       1000
 HUMPHREY PRODUCTS                        445485998    6720255      35036   X                            35036          0          0
 HUNTINGTON BANCSHARES INCORPORATED       446150104    1190555      39602   X                            39602          0          0
 HUNTINGTON BANCSHARES INCORPORATED       446150104     227847       7579               X                 7579          0          0
 HUTTON TELEPHONE TRUST FIRST TAX         447900101      68292      12600               X                12600          0          0
 HUTTON E F INVESTMENT TRUST GNMA         448903799       5825      23300   X                            23300          0          0
 ICAP FUNDS INCORPORATED EQUITY           448926204     436832      11308   X                            11308          0          0
 ICNB FINANCIAL CORPORATION               449286103     850686      29334               X                29334          0          0
 IDS BOND FUND INCORPORATED               449427103     124582      24380               X                 5324          0      19056
 IDS EXTRA INCOME FUND                    449433101      34443       8786   X                             8786          0          0
 IDS EXTRA INCOME FUND                    449433101     121692      31044               X                31044          0          0
 IDS HIGH YIELD TAX EXEMPT FUND           449440106     122999      26338   X                            26338          0          0
 IDS-SELECTIVE FUND INCORPORATED          449478106     187968      20277   X                            20277          0          0
 IDS-SELECTIVE FUND INCORPORATED          449478106      15959       1722               X                 1722          0          0
 IDS STOCK FUND                           449479104     190010       7130   X                             7130          0          0
 IDS STOCK FUND                           449479104      23493        882               X                  882          0          0
 IMS HEALTH INCORPORATED                  449934108    2278228      30200   X                            22400          0       7800
 IMS HEALTH INCORPORATED                  449934108     269087       3567               X                 3417          0        150
 ILLINOIS MACHINERY                       451997100     109000     109000   X                           109000          0          0
 ILLINOIS TOOL WORKS INCORPORATED $10     452308109   30196772     520634   X                           520634          0          0
 ILLINOIS TOOL WORKS INCORPORATED $10     452308109    1435964      24758               X                22608          0       2150
 IMAGYN MEDICAL TECHNOLOGIES              45244E100       2030      10000   X                            10000          0          0
 AMERICAN FUNDS INCOME FUND OF            453320103     320484      18482   X                            18482          0          0
 AMERICAN FUNDS INCOME FUND OF            453320103     200494      11563               X                 7648          0       3915
 T ROWE PRICE INSTITUTIONAL               457759108    5241236     291342   X                           291342          0          0
 T ROWE PRICE INSTITUTIONAL               457759108     390630      21714               X                20098          0       1616
 INTEL CORPORATION                        458140100   16256647     137114   X                           129464          0       7650
 INTEL CORPORATION                        458140100    3652096      30803               X                25577          0       5226
 AMERICAN FUNDS                           458809100     488087      36048   X                            36048          0          0
 INTERNATIONAL BUSINESS MACHINES          459200101   53064111     287805   X                           283155          0       4650
 INTERNATIONAL BUSINESS MACHINES          459200101    6086772      33013               X                31147          0       1866
 INTERNATIONAL FLAVORS AND FRAGRANCES     459506101     234196       5300   X                             5300          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             163750815    2410358                              2322254          0      88104
</TABLE>
<PAGE>   206
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 217

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 FLAVORS AND FRAGRANCES     459506101     376393       8518               X                 7968          0        550
 INTERNATIONAL PAPER COMPANY              460146103    1158102      25843   X                            25843          0          0
 INTERNATIONAL PAPER COMPANY              460146103     434540       9697               X                 7197          0       2500
 INTERNATIONAL RESEARCH AND               460263106          1      56200   X                            56200          0          0
 INVESCO HEALTH SCI PORTFOLIO             46127P303     241824       3962   X                             3962          0          0
 AMERICAN FUNDS INVESTMENT COMPANY OF     461308108    1974015      63534   X                            63534          0          0
 AMERICAN FUNDS INVESTMENT COMPANY OF     461308108      19107        615               X                  615          0          0
 IPALCO ENTERPRISES INCORPORATED          462613100      54052        975   X                              975          0          0
 IPALCO ENTERPRISES INCORPORATED          462613100     159661       2880               X                  580          0       2300
 JANUS GROWTH AND INCOME FUND             471023200     284986       9793   X                             9793          0          0
 JANUS WORLD WIDE FUND                    471023309     487218      10288   X                            10163          0        124
 JANUS WORLD WIDE FUND                    471023309     128235       2708               X                 2708          0          0
 JANUS OVERSEAS FUND                      471023846     318502      15862   X                            15862          0          0
 JANUS OVERSEAS FUND                      471023846      20917       1042               X                 1042          0          0
 JOHNSON AND JOHNSON                      478160104   13723849     163623   X                           157548          0       6075
 JOHNSON AND JOHNSON                      478160104    2766281      32981               X                27731          0       5250
 JOHNSON CONTROLS INCORPORATED            478366107    1112858      18862   X                            18862          0          0
 JOHNSON CONTROLS INCORPORATED            478366107     446866       7574               X                 7574          0          0
 K MART CORPORATION                       482584109     168213      10985   X                            10985          0          0
 K MART CORPORATION                       482584109     267472      17467               X                16667          0        800
 KAUFMAN FUND                             486250103     196284      34557   X                            34557          0          0
 KAUFMAN FUND                             486250103      33472       5893               X                 5893          0          0
 KAYDON CORPORATION                       486587108      80126       2000   X                             2000          0          0
 KAYDON CORPORATION                       486587108     216340       5400               X                    0          0       5400
 KELLOGG COMPANY $.50 PAR                 487836108    1721572      50449   X                            50449          0          0
 KELLOGG COMPANY $.50 PAR                 487836108     597836      17519               X                14519          0       3000
 KEMPER PORTFOLIOS U.S. MORTGAGE FUND     487902843       9277       1312   X                             1312          0          0
 KEMPER PORTFOLIOS U.S. MORTGAGE FUND     487902843     249792      35331               X                35331          0          0
 KEMPER DIVERSIFIED INCOME FUND CLASS     48840K108      95986      16693   X                            16693          0          0
 KEMPER DIVERSIFIED INCOME FUND CLASS     48840K108       4372        760               X                  760          0          0
 KEMPER HIGH YIELD FUND CLASS A           488411109      50258       6468   X                             6468          0          0
 KEMPER HIGH YIELD FUND CLASS A           488411109      44655       5747               X                 2119          0       3628
 KEMPER INCOME AND CAPITAL                488412107     372910      42913   X                            42913          0          0
 KEMPER INCOME AND CAPITAL                488412107      83313       9587               X                 9587          0          0
 KEMPER MUNICIPAL BOND FUND               488419201      69599       6797   X                             6797          0          0
 KEMPER MUNICIPAL BOND FUND               488419201     174744      17065               X                17065          0          0
 KEMPER MUNICIPAL INCOME TRUST            48842C104     170325      11900   X                            11900          0          0
 KEMPER MUNICIPAL INCOME TRUST            48842C104      75859       5300               X                 2100          0       3200
 KEMPER SMALL CAPITALIZATION EQUITY       488421108     149728      24748               X                 5618          0      19131
 KEMPER TOTAL RETURN FUND                 488436106     164701      15393               X                15393          0          0
 KEMPER U S GOVERNMENT SECURITIES         488438102     131789      14993   X                            14993          0          0
 KEMPER U S GOVERNMENT SECURITIES         488438102       4685        533               X                  533          0          0
 KEMPER TECHNOLOGY FUND CLASS A           488908104      72778       5140   X                             5140          0          0
 KEMPER TECHNOLOGY FUND CLASS A           488908104     666791      47090               X                47090          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              29580284     846997                               795039          0      51958
</TABLE>
<PAGE>   207
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 218

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 KIMBERLY CLARK CORPORATION               494368103    5510386     101108   X                           101108          0          0
 KIMBERLY CLARK CORPORATION               494368103    1119757      20546               X                 5292          0      15254
 KROGER COMPANY $1 PAR                    501044101     977075      16150   X                            10550          0       5600
 KROGER COMPANY $1 PAR                    501044101     418539       6918               X                 6518          0        400
 LG AND E ENERGY CORPORATION              501917108     399412      14107   X                            14107          0          0
 LG AND E ENERGY CORPORATION              501917108     179136       6327               X                 6327          0          0
 LA Z BOY INCORPORATED                    505336107    1780801      99972   X                            99972          0          0
 LA Z BOY INCORPORATED                    505336107      10688        600               X                  600          0          0
 LEGG MASON VALUE TRUST INCORPORATED      524659109     662119      10752   X                            10752          0          0
 LILLY ELI AND COMPANY                    532457108   16181116     182066   X                           169866          0      12200
 LILLY ELI AND COMPANY                    532457108    2532760      28498               X                26998          0       1500
 THORNBURG LIMITED TERM MUNICIPAL         532723806     339257      24964               X                24964          0          0
 LINCOLN NATIONAL CORPORATION             534187109     343669       4201   X                             4201          0          0
 LINCOLN NATIONAL CORPORATION             534187109     764651       9346               X                 8813          0        533
 LINEAR TECHNOLOGY CORPORATION            535678106     365865       4085   X                             4085          0          0
 LIZ CLAIBORNE INCORPORATED               539320101     290380       9200   X                             9200          0          0
 LIZ CLAIBORNE INCORPORATED               539320101       4482        142               X                   42          0        100
 LOCKHEED MARTIN CORPORATION              539830109     190518       2248   X                             2248          0          0
 LOCKHEED MARTIN CORPORATION              539830109     256369       3025               X                 2625          0        400
 LORD ABBETT AFFILIATED FUND CL A         544001100     390361      26483   X                            26483          0          0
 LORD ABBETT AFFILIATED FUND CL A         544001100     286501      19437               X                19437          0          0
 LOWES COMPANY INCORPORATED               548661107    2449346      47850   X                            45650          0       2200
 LOWES COMPANY INCORPORATED               548661107     162317       3171               X                 2121          0       1050
 LUCENT TECHNOLOGIES INCORPORATED         549463107   19322483     175758   X                           162494          0      13264
 LUCENT TECHNOLOGIES INCORPORATED         549463107    4584965      41705               X                33617          0       8088
 MBIA INCORPORATED                        55262C100     249139       3800   X                             3800          0          0
 MBIA INCORPORATED                        55262C100      69628       1062               X                 1062          0          0
 MBNA CORPORATION                         55262L100    4970466     200317   X                           196815          0       3502
 MBNA CORPORATION                         55262L100    1222685      49276               X                48771          0        505
 MCI WORLDCOM INCORPORATED                55268B106   10172428     141776   X                           129726          0      12050
 MCI WORLDCOM INCORPORATED                55268B106    1902308      26513               X                20888          0       5625
 MDU RESOURCES GROUP INCORPORATED         552690109     157115       5971   X                             5971          0          0
 MDU RESOURCES GROUP INCORPORATED         552690109    2090147      79434               X                79434          0          0
 MFS GROWTH OPPORTUNITY A                 552723108     175486      11002               X                11002          0          0
 MGIC INVESTMENT CORPORATION              552848103     236887       5950   X                             5800          0        150
 MGIC INVESTMENT CORPORATION              552848103      68558       1722               X                 1572          0        150
 MFS RESEARCH FUND                        552981706    1523322      60306   X                            60306          0          0
 MFS EMERGING GROWTH FUND CLASS B         552985202     504756      11601               X                11601          0          0
 MFS MUNICIPAL BOND FUND-A                552987505     310767      28355   X                            28355          0          0
 MFS CAPITAL OPPORTUNITIES FUND           552988883    9848968     590112   X                           589022          0       1089
 MFS CAPITAL OPPORTUNITIES FUND           552988883    1143868      68536               X                64265          0       4271
 MANITOWOC COMPANY                        563571108     159750       3600   X                             3600          0          0
 MANITOWOC COMPANY                        563571108     270688       6100               X                 6100          0          0
 MARSH AND MCLENNAN                       571748102     483574       8275   X                             8125          0        150
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              95083493    2162367                              2074285          0      88081
</TABLE>
<PAGE>   208
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 219

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MARSH AND MCLENNAN                       571748102     127804       2187               X                 2037          0        150
 MARRIOTT INTERNATIONAL INCORPORATED      571903202    1979250      68250   X                            68250          0          0
 MARRIOTT INTERNATIONAL INCORPORATED      571903202      62698       2162               X                 1762          0        400
 MASCO CORPORATION                        574599106     737438      25650   X                            25050          0        600
 MASCO CORPORATION                        574599106     128541       4471               X                 2915          0       1556
 MASSACHUSETTS INVESTORS GROWTH STOCK     575719109     811370      50998   X                            50998          0          0
 MATTEL INCORPORATED                      577081102    1634707      69562   X                            63555          0       6007
 MATTEL INCORPORATED                      577081102     141447       6019               X                 5497          0        522
 MAY DEPARTMENT STORES COMPANY            577778103     724500      12000   X                            12000          0          0
 MAY DEPARTMENT STORES COMPANY            577778103     174242       2886               X                 2886          0          0
 MAYTAG CORPORATION                       578592107     286350       4600   X                             4600          0          0
 MAYTAG CORPORATION                       578592107      78373       1259               X                  559          0        700
 MCDONALDS CORPORATION                    580135101    2020552      26305   X                            26105          0        200
 MCDONALDS CORPORATION                    580135101     557835       7262               X                 4880          0       2382
 MCLOUTH STEEL PRODUCTS CORPORATION       580200004          5    5083758               X              5083758          0          0
 MCLOUTH STEEL PRODUCTS CORPORATION       580201002          1     814220               X               814220          0          0
 MEAD CORPORATION                         582834107     524703      17900   X                            17900          0          0
 MEAD CORPORATION                         582834107      34531       1178               X                 1178          0          0
 MEDIAONE GROUP INCORPORATED              58440J104    1364692      29036   X                            28812          0        224
 MEDIAONE GROUP INCORPORATED              58440J104     620212      13196               X                11108          0       2088
 MEDTRONIC INCORPORATED                   585055106    3517280      47351   X                            39626          0       7725
 MEDTRONIC INCORPORATED                   585055106     313614       4222               X                 3553          0        669
 MERCANTILE BANCORP INCORPORATED          587342106     103458       2243   X                             2243          0          0
 MERCANTILE BANCORP INCORPORATED          587342106     178873       3878               X                 3878          0          0
 MERCK AND COMPANY INCORPORATED           589331107   26479715     179523   X                           174223          0       5300
 MERCK AND COMPANY INCORPORATED           589331107    6088904      41281               X                34848          0       6433
 MERCURY GENERAL CORPORATION              589400100     219065       5000               X                 5000          0          0
 MERITOR AUTOMOTIVE INCORPORATED          59000G100      69066       3279   X                             3279          0          0
 MERITOR AUTOMOTIVE INCORPORATED          59000G100     207302       9842               X                  566          0       9276
 MERRILL LYNCH FEDERAL SECURITIES         59019M502     107915      11023   X                            11023          0          0
 MERRILL LYNCH FEDERAL SECURITIES         59019M502      26893       2747               X                 2747          0          0
 MERRILL LYNCH MUNICIPAL BOND FUND        590193108      23855       2927   X                             2927          0          0
 MERRILL LYNCH MUNICIPAL BOND FUND        590193108     390901      47963               X                47963          0          0
 MERRILL LYNCH MUN BD FD INC              590193405     159084      19519               X                19519          0          0
 MESA OFFSHORE TRUST                      590650107        372      12000               X                    0          0      12000
 MICROSOFT CORPORATION                    594918104   23810233     171682   X                           157382          0      14300
 MICROSOFT CORPORATION                    594918104    6793909      48987               X                40016          0       8971
 MID ILLINOIS BANCORP INCORPORATED        595990102     164400       1370   X                             1370          0          0
 MID ILLINOIS BANCORP INCORPORATED        595990102      36000        300               X                  300          0          0
 METROCORP INCORPORATED                   595990904     280776       1709   X                             1709          0          0
 HERMAN MILLER INCORPORATED               600544100     231125       8600   X                             6800          0       1800
 MINNESOTA MINING AND MANUFACTURING       604059105    3594586      50539   X                            50239          0        300
 MINNESOTA MINING AND MANUFACTURING       604059105    2871259      40369               X                34681          0       5688
 MINNESOTA POWER INCORPORATED             604110106     233948       5317   X                             4489          0        828
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              87911784    6964570                              6876451          0      88119
</TABLE>
<PAGE>   209
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 220

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 MINNESOTA POWER INCORPORATED             604110106      94600       2150               X                 2150          0          0
 MOBIL CORPORATION                        607059102   10606990     121745   X                           121065          0        680
 MOBIL CORPORATION                        607059102    3167604      36357               X                24974          0      11383
 MOLEX INCORPORATED CLASS A               608554200     257646       8083   X                             8083          0          0
 MOLEX INCORPORATED CLASS A               608554200     288501       9051               X                 7985          0       1066
 MOLTEN METAL TECHNOLOGY INCORPORATED     608712105        184      11500   X                            11500          0          0
 MONSANTO COMPANY $2 PAR                  611662107    7832560     164896   X                           154996          0       9900
 MONSANTO COMPANY $2 PAR                  611662107    1295658      27277               X                24324          0       2953
 J P MORGAN AND COMPANY INCORPORATED      616880100    1609880      15323   X                            14923          0        400
 J P MORGAN AND COMPANY INCORPORATED      616880100     459230       4371               X                 3813          0        558
 MORGAN STANLEY INSTITUTIONAL FUND        61744J408   11741516     643371   X                           643371          0          0
 MORGAN STANLEY DEAN WITTER & COMPANY     617446448     506514       7134   X                             7134          0          0
 MORGAN STANLEY DEAN WITTER & COMPANY     617446448     376113       5297               X                 5219          0         78
 MORGAN STANLEY DEAN WITTER               61745P734     181693      11400   X                            11400          0          0
 MORGAN STANLEY DEAN WITTER               61745P734     127504       8000               X                    0          0       8000
 MOTOROLA INCORPORATED                    620076109    3989612      65336   X                            64736          0        600
 MOTOROLA INCORPORATED                    620076109     820862      13443               X                10588          0       2855
 MUNDER FDS INC                           626124580     487217      38977   X                            38977          0          0
 MUNDER FDS TR                            626129837     493039      27761   X                            27761          0          0
 MUNIYIELD MICHIGAN FUND INCORPORATED     626300107     307714      18371   X                            18371          0          0
 MUNIYIELD MICHIGAN FUND INCORPORATED     626300107     732243      43716               X                38539          0       5177
 FRANKLIN MUTUAL SERIES MUTUAL SHARES     628380107    1482987      75895   X                            75895          0          0
 FRANKLIN MUTUAL SERIES MUTUAL SHARES     628380107      24413       1249               X                    0          0       1249
 MYLAN LABORATORIES INCORPORATED          628530107     286650       9100   X                             9100          0          0
 MYLAN LABORATORIES INCORPORATED          628530107       6300        200               X                  200          0          0
 NATIONAL CITY CORPORATION                635405103  110353773    1522121   X                          1481655          0      40466
 NATIONAL CITY CORPORATION                635405103  113401383    1564157               X              1114023          0     450134
 NATIONAL CANTON BANCSHARES               637995101    1423800      40680   X                            40680          0          0
 NETWORKS ASSOCIATES INCORPORATED         640938106     367290       5544   X                             5544          0          0
 NETWORKS ASSOCIATES INCORPORATED         640938106     198750       3000               X                 3000          0          0
 NEW ENGLAND FUNDS                        644036204     128697      11329               X                11329          0          0
 AMERICAN FUNDS NEW PERSPECTIVE FUND      648018109     106974       4661   X                             4661          0          0
 AMERICAN FUNDS NEW PERSPECTIVE FUND      648018109     106031       4620               X                 4620          0          0
 NEWELL COMPANY                           651192106    1464045      35492   X                            30942          0       4550
 NEWELL COMPANY                           651192106     375953       9114               X                 9114          0          0
 NICHOLAS INCOME FUND INCORPORATED        653741108     102860      30342               X                30342          0          0
 NORFOLK SOUTHERN CORPORATION             655844108    1706842      53864   X                            53864          0          0
 NORFOLK SOUTHERN CORPORATION             655844108     581602      18354               X                16554          0       1800
 NORTHEAST INVESTORS TRUST FUND           664210101     146420      13985   X                            13985          0          0
 NORTHEAST INVESTORS TRUST FUND           664210101     159703      15253               X                15253          0          0
 NORTHERN STATES POWER COMPANY            665772109     762681      27484   X                            27484          0          0
 NORTHERN STATES POWER COMPANY            665772109     200050       7209               X                 7209          0          0
 NORTHERN TRUST CORPORATION               665859104    1082681      12400   X                            12400          0          0
 NORTHERN TRUST CORPORATION               665859104    2773934      31770               X                30270          0       1500
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                             282620699    4781382                              4238033          0     543349
</TABLE>
<PAGE>   210
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 221

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 NUVEEN FLAGSHIP MUNICIPAL TRUST          67065Q400     178314      18517   X                            18517          0          0
 NUVEEN FLAGSHIP MUNICIPAL TRUST          67065Q400      82135       8529               X                 8529          0          0
 NUVEEN MICHIGAN MUNICIPAL BOND           67065R853     132871      10990   X                            10990          0          0
 OGE ENERGY CORPORATION                   670837103     218544       7536   X                             7536          0          0
 OGE ENERGY CORPORATION                   670837103      46168       1592               X                 1592          0          0
 NUVEEN TAX EXEMPT UNIT TRUST INSURED     67095D155     204693       1985   X                             1985          0          0
 NUVEEN MICHIGAN QUALITY INCOME           670979103     234419      13443   X                            13443          0          0
 OFFICEMAX INCORPORATED                   67622M108     243775      19900   X                            19900          0          0
 OFFICEMAX INCORPORATED                   67622M108      13475       1100               X                 1100          0          0
 OFFICE DEPOT INCORPORATED                676220106     497571      13425   X                            13425          0          0
 OFFICE DEPOT INCORPORATED                676220106     203847       5500               X                 5500          0          0
 OHIO CASUALTY CORPORATION                677240103     381805       9284   X                             9284          0          0
 OLD KENT FINANCIAL CORPORATION           679833103    4844155     104175   X                           103163          0       1012
 OLD KENT FINANCIAL CORPORATION           679833103     354930       7633               X                 6382          0       1251
 OLD REPUBLIC INTERNATIONAL               680223104    7520198     334231   X                           334231          0          0
 OMNICARE INCORPORATED                    681904108      78188       2250   X                             2250          0          0
 OMNICARE INCORPORATED                    681904108     257150       7400               X                 7400          0          0
 OPPENHEIMER MAIN STREET INCOME AND       68380D108     159320       3992   X                             3992          0          0
 OPPENHEIMER MAIN STREET INCOME AND       68380D108      61923       1552               X                 1552          0          0
 ORACLE SYSTEMS CORPORATION               68389X105    2057063      47700   X                            47700          0          0
 ORACLE SYSTEMS CORPORATION               68389X105     994463      23060               X                20542          0       2518
 OPPENHEIMER MUNICIPAL BOND FUND A        683977102     197087      18951   X                            18951          0          0
 PACIFIC INVESTMENT MANAGEMENT            693390700     661589      62769   X                            62769          0          0
 PNC BANK CORPORATION                     693475105     246996       4574   X                             4574          0          0
 PNC BANK CORPORATION                     693475105      10314        191               X                  191          0          0
 PPG INDUSTRIES $2.50 PAR                 693506107    1098008      18870   X                            18870          0          0
 PPG INDUSTRIES $2.50 PAR                 693506107      86526       1487               X                 1087          0        400
 PARKSTONE BOND FUND                      701475105  222877265   22023445   X                         21608115          0     415330
 PARKSTONE BOND FUND                      701475105   15221436    1504094               X              1099038          0     405057
 PARKSTONE EQUITY INCOME FUND             701475204  154718869    9264603   X                          9198608          0      65995
 PARKSTONE EQUITY INCOME FUND             701475204   29386690    1759682               X              1450579          0     309103
 PARKSTONE AGGRESSIVE ALLOCATION FUND     701475279    3465994     292983   X                           286419          0       6564
 PARKSTONE CONSERVATIVE ALLOCATION        701475287     594404      53454   X                            53454          0          0
 PARKSTONE CONSERVATIVE ALLOCATION        701475287     125455      11282               X                11282          0          0
 PARKSTONE MUNICIPAL BOND FUND            701475303   73527091    6962793   X                          6928296          0      34497
 PARKSTONE MUNICIPAL BOND FUND            701475303   19738524    1869178               X              1597695          0     271483
 PARKSTONE LARGE CAPITALIZATION FUND      701475329  193185720    9806382   X                          9646879          0     159503
 PARKSTONE LARGE CAPITALIZATION FUND      701475329   21107808    1071462               X               926878          0     144584
 PARKSTONE MID CAPITALIZATION FUND        701475402  149426314   10922976   X                         10822007          0     100969
 PARKSTONE MID CAPITALIZATION FUND        701475402   17888426    1307633               X              1087881          0     219752
 PARKSTONE LIMITED MATURITY BOND FUND     701475600   99703177   10429203   X                         10329300          0      99903
 PARKSTONE LIMITED MATURITY BOND FUND     701475600   10812820    1131048               X               931024          0     200024
 PARKSTONE SMALL CAPITALIZATION FUND      701475709  113154861    5159820   X                          5056647          0     103174
 PARKSTONE SMALL CAPITALIZATION FUND      701475709   18874841     860686               X               793945          0      66741
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                            1164875222   85181360                             82573502          0    2607860
</TABLE>
<PAGE>   211
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 222

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 INTERMEDIATE GOVERNMENT        701475808   92597536    9195386   X                          9103186          0      92200
 PARKSTONE INTERMEDIATE GOVERNMENT        701475808   16230733    1611791               X              1287392          0     324398
 PARKSTONE INTERNATIONAL DISCOVERY        701475824  153064627    9862412   X                          9665729          0     196682
 PARKSTONE INTERNATIONAL DISCOVERY        701475824   22803454    1469295               X              1310852          0     158443
 PARKSTONE U S GOVERNMENT INCOME FUND     701475832  108758709   11669389   X                         11597008          0      72381
 PARKSTONE U S GOVERNMENT INCOME FUND     701475832   21318139    2287354               X              1908332          0     379022
 PARKSTONE BALANCED ALLOCATION FUND       701475840   49400047    3531097   X                          3233788          0     297309
 PARKSTONE BALANCED ALLOCATION FUND       701475840    1805416     129050               X               127571          0       1480
 PARKSTONE PRIME OBLIGATIONS MONEY        701475857    1990769    1990769   X                          1990769          0          0
 PARKSTONE U S GOVERNMENT OBLIGATIONS     701475865      10781      10781   X                            10781          0          0
 PARKSTONE U S GOVERNMENT OBLIGATIONS     701475865      64930      64930               X                64930          0          0
 PARKSTONE MICHIGAN MUNICIPAL BOND        701475881  146367826   13198181   X                         13092906          0     105275
 PARKSTONE MICHIGAN MUNICIPAL BOND        701475881   40168758    3622070               X              3224591          0     397479
 PAYCHEX INCORPORATED                     704326107     145570       2830   X                             2830          0          0
 PAYCHEX INCORPORATED                     704326107     237232       4612               X                 4612          0          0
 PENNEY J C COMPANY INCORPORATED          708160106    3144047      67073   X                            67073          0          0
 PENNEY J C COMPANY INCORPORATED          708160106     562922      12009               X                10409          0       1600
 PEPSICO INCORPORATED                     713448108    9268345     226749   X                           216149          0      10600
 PEPSICO INCORPORATED                     713448108    1792859      43862               X                38304          0       5558
 PHARMACIA & UPJOHN INCORPORATED          716941109  313062298    5528694   X                          5379924          0     148770
 PHARMACIA & UPJOHN INCORPORATED          716941109   78492103    1386174               X              1386174          0          0
 PFIZER INCORPORATED                      717081103   14516045     116128   X                           105878          0      10250
 PFIZER INCORPORATED                      717081103    4345875      34767               X                29667          0       5100
 PHILIP MORRIS COMPANIES INCORPORATED     718154107    6055612     113189   X                           101089          0      12100
 PHILIP MORRIS COMPANIES INCORPORATED     718154107    5537946     103513               X                97305          0       6208
 PHILLIPS PETROLEUM COMPANY               718507106     207328       4864   X                             4864          0          0
 PHILLIPS PETROLEUM COMPANY               718507106      34100        800               X                  650          0        150
 PIONEER RAILCORP CLASS A WARRANT         723839114          2      19386   X                            19386          0          0
 PIONEER RAILCORP CLASS A WARRANT         723839114          1       1000               X                 1000          0          0
 PITNEY BOWES INCORPORATED                724479100    1638362      24800   X                            17900          0       6900
 PITNEY BOWES INCORPORATED                724479100     176586       2673               X                 2673          0          0
 PRINCIPAL PRESERVATION PORTFOLIOS        74252B105      23567       2551   X                             2551          0          0
 PRINCIPAL PRESERVATION PORTFOLIOS        74252B105     191991      20778               X                20778          0          0
 PROCTER AND GAMBLE COMPANY               742718109   18484011     202425   X                           191875          0      10550
 PROCTER AND GAMBLE COMPANY               742718109    5395411      59087               X                52797          0       6290
 PROFIT TECHNOLOGY INCORPORATED           743169104          0      23000               X                    0          0      23000
 PROVIDIAN FINANCIAL CORPORATION          74406A102    2406600      32088   X                            32088          0          0
 PROVIDIAN FINANCIAL CORPORATION          74406A102     344175       4589               X                 4589          0          0
 PRUDENTIAL MUNICIPAL SERIES FUND         74435L301     120801      10700               X                    0          0      10700
 PRUDENTIAL MUNICIPAL SERIES FUND         74435M671      84893       7022   X                             7022          0          0
 PRUDENTIAL MUNICIPAL SERIES FUND         74435M671      47706       3946               X                 3946          0          0
 PUBLIC SERVICE ENTERPRISE GROUP          744573106     346960       8674   X                             7174          0       1500
 PUBLIC SERVICE ENTERPRISE GROUP          744573106     194240       4856               X                 4856          0          0
 PUTNAM DIVERSIFIED INCOME CLASS A        746704105    1042588      90660   X                            90660          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                            1122481901   66806004                             64522058          0    2283945
</TABLE>
<PAGE>   212
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 223

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 DIVERSIFIED INCOME CLASS B        746704204     121074      10574   X                            10574          0          0
 PUTNAM DIVERSIFIED INCOME CLASS B        746704204      79672       6958               X                 6958          0          0
 PUTNAM GEORGE FUND OF BOSTON CLASS A     746758101      25527       1415   X                             1415          0          0
 PUTNAM GEORGE FUND OF BOSTON CLASS A     746758101     259989      14412               X                14412          0          0
 PUTNAM GROWTH AND INCOME CLASS A         746761105    1511728      73779   X                            73779          0          0
 PUTNAM FUND FOR GROWTH & INCOME          746761204     163545       8084   X                             8084          0          0
 PUTNAM FUND FOR GROWTH & INCOME          746761204     133904       6619               X                 6619          0          0
 PUTNAM HEALTH SCIENCES TRUST CLASS A     746778109     291372       4551               X                 4551          0          0
 PUTNAM MICHIGAN TAX EXEMPT INCOME        74683L300     618122      66322   X                            66322          0          0
 PUTNAM TAX EXEMPT INCOME FUND CLASS      746870104     122088      13299   X                            13299          0          0
 PUTNAM TAX FREE HIGH YIELD FUND          746872407     186402      12741   X                            12741          0          0
 PUTNAM NEW OPPORTUNITIES FUND            746916105     420713       7200   X                             7200          0          0
 PUTNAM NEW OPPORTUNITIES FUND            746916105     327549       5606               X                    0          0       5606
 QUAKER OATS COMPANY                      747402105     665210      11180   X                             9444          0       1736
 QUAKER OATS COMPANY                      747402105     225386       3788               X                 3788          0          0
 QUESTAR CORPORATION                      748356102    1076281      55550   X                            55550          0          0
 QUESTAR CORPORATION                      748356102       7750        400               X                  400          0          0
 RPM INCORPORATED OHIO                    749685103     124000       7750   X                             7750          0          0
 RPM INCORPORATED OHIO                    749685103      38400       2400               X                 2400          0          0
 RAYTHEON COMPANY CLASS A                 755111309     314418       6083   X                             5744          0        339
 RAYTHEON COMPANY CLASS A                 755111309      86629       1676               X                 1637          0         39
 RAYTHEON COMPANY CLASS B                 755111408     196706       3694   X                             3694          0          0
 RAYTHEON COMPANY CLASS B                 755111408      22099        415               X                  415          0          0
 REX HIDE INCORPORATED                    761576107     250236      23832               X                23832          0          0
 ROBERT HALF INTERNATIONAL                770323103      86775       1950   X                             1950          0          0
 ROBERT HALF INTERNATIONAL                770323103     155750       3500               X                 3500          0          0
 ROCHELLE BROADCASTING COMPANY            771196995     203992       1224   X                             1224          0          0
 ROCKWELL INTERNATIONAL CORPORATION       773903109     478151       9846   X                             9846          0          0
 ROCKWELL INTERNATIONAL CORPORATION       773903109    1287891      26520               X                 2049          0      24471
 T ROWE PRICE EQUITY INCOME FUND          779547108    5068882     192587   X                           191648          0        939
 T ROWE PRICE EQUITY INCOME FUND          779547108     693144      26335               X                23996          0       2340
 T ROWE PRICE MID CAP GROWTH FUND         779556109     461731      13548   X                            13548          0          0
 T ROWE PRICE MID CAP GROWTH FUND         779556109    1096075      32162               X                32162          0          0
 T ROWE PRICE INTERNATIONAL FUNDS         77956H203     137399       9166   X                             9166          0          0
 T ROWE PRICE INTERNATIONAL FUNDS         77956H203     198625      13251               X                 9687          0       3563
 ROWE T PRICE INTL FDS INC                77956H401     284936      13088   X                            13088          0          0
 T ROWE PRICE LATIN AMERICAN FUND         77956H880      84062      12344   X                            12344          0          0
 T ROWE PRICE MARYLAND TAX FREE BOND      77957R101     752808      70029   X                            70029          0          0
 T ROWE PRICE SMALL CAPITAL STOCK         779572106    5940197     285724   X                           285724          0          0
 T ROWE PRICE SMALL CAPITAL STOCK         779572106     405051      19483               X                18542          0        941
 ROYAL DUTCH PETROLEUM COMPANY            780257804    4599256      96068   X                            96068          0          0
 ROYAL DUTCH PETROLEUM COMPANY            780257804    1310099      27365               X                21877          0       5488
 SBC COMMUNICATIONS INCORPORATED          78387G103    8604828     160463   X                           145345          0      15118
 SBC COMMUNICATIONS INCORPORATED          78387G103    3442403      64194               X                47830          0      16364
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              42560855    1427175                              1350231          0      76944
</TABLE>
<PAGE>   213
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 224

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 INST MGD CORE FXD INC - A            783925506    2704499     255624   X                           255624          0          0
 SEI INST MGD CORE FXD INC - A            783925506     457363      43229               X                43229          0          0
 SEI SMALL CAP GROWTH FUND                783925837     961454      55003   X                            55003          0          0
 SEI GNMA FUND                            783965643     284221      28709   X                            28709          0          0
 SEI DAILY INCOME TRUST INTERMEDIATE      783965742    1488536     145365   X                           145365          0          0
 SEI DAILY INCOME TRUST INTERMEDIATE      783965742     341192      33320               X                33320          0          0
 SEI INTERNATIONAL FIXED INCOME FUND      78411R307     386913      31976   X                            31976          0          0
 SEI INVESTMENT COMPANY                   784117103     298125       3000   X                             3000          0          0
 SPDR TRUST                               78462F103    4655066      37750   X                            37750          0          0
 SPDR TRUST                               78462F103    2273398      18436               X                18436          0          0
 SPX CORPORATION                          784635104     309205       4615   X                             4615          0          0
 SPX CORPORATION                          784635104      98423       1469               X                 1469          0          0
 SAFEWAY INCORPORATED                     786514208    3514599      57675   X                            40975          0      16700
 SAFEWAY INCORPORATED                     786514208     465566       7640               X                 7300          0        340
 SARA LEE CORPORATION                     803111103    5073445     179986   X                           179986          0          0
 SARA LEE CORPORATION                     803111103      73063       2592               X                 2592          0          0
 SCHERING PLOUGH CORPORATION              806605101    8669609     156916   X                           139216          0      17700
 SCHERING PLOUGH CORPORATION              806605101    4993053      90372               X                65850          0      24522
 SCHLUMBERGER LIMITED                     806857108    6265402     135103   X                           131003          0       4100
 SCHLUMBERGER LIMITED                     806857108     616138      13286               X                11636          0       1650
 SCUDDER INTERNATIONAL FUND               811165109     308139       6327   X                             6327          0          0
 SCUDDER INTL FD INC                      811165406      36671       1382   X                              796          0        586
 SCUDDER INTL FD INC                      811165406     233231       8791               X                    0          0       8791
 SCUDDER MASSACHUSETTS TAX FREE FUND      811184308     572904      39565               X                39565          0          0
 SEARS ROEBUCK AND COMPANY                812387108     633293      14901   X                            14901          0          0
 SEARS ROEBUCK AND COMPANY                812387108     407883       9597               X                 9397          0        200
 SELIGMAN GROWTH FUND INCORPORATED        816335103     208156      28053   X                            28053          0          0
 SEMPRA ENERGY                            816851109     137050       5401   X                             5401          0          0
 SEMPRA ENERGY                            816851109     116471       4590               X                 4090          0        500
 SERVICE CORPORATION INTERNATIONAL        817565104    5686460     149396   X                           136596          0      12800
 SERVICE CORPORATION INTERNATIONAL        817565104     434375      11412               X                10962          0        450
 SERVICEMASTER COMPANY                    81760N109     141468       6412   X                             6412          0          0
 SERVICEMASTER COMPANY                    81760N109     492667      22330               X                 3120          0      19210
 SHELL TRANSPORT AND TRADING PLC          822703609     446256      12000   X                            12000          0          0
 SHERWIN WILLIAMS                         824348106    2711606      92310   X                            92310          0          0
 SHERWIN WILLIAMS                         824348106     540794      18410               X                 1410          0      17000
 SMITHKLINE BEECHAM PLC                   832378301      93130       1340   X                             1340          0          0
 SMITHKLINE BEECHAM PLC                   832378301     492616       7088               X                 7088          0          0
 SOUND SHORE FUND INCORPORATED            836083105     227125       7668   X                             7668          0          0
 SOUND SHORE FUND INCORPORATED            836083105     103444       3492               X                 3492          0          0
 SOUTHERN COMPANY                         842587107    1521945      52367   X                            48967          0       3400
 SOUTHERN COMPANY                         842587107     507469      17461               X                14573          0       2888
 SCB BANCORP INCORPORATED                 845996107     220000       2200   X                             2200          0          0
 SPARTAN STORES INCORPORATED              846837995     158760      10800   X                            10800          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              60361183    1835359                              1704522          0     130837
</TABLE>
<PAGE>   214
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 225

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SPRINT CORPORATION                       852061100    2645058      31442   X                            31442          0          0
 SPRINT CORPORATION                       852061100     453181       5387               X                 5387          0          0
 SPRINT CORP                              852061506     436924      18894   X                            18894          0          0
 SPRINT CORP                              852061506      43475       1880               X                 1880          0          0
 STAPLES INCORPORATED                     855030102    6135980     140450   X                           140250          0        200
 STAPLES INCORPORATED                     855030102      85192       1950               X                 1950          0          0
 STAR OF THE WEST MILLING COMPANY         85515P103    1075875      11325   X                            11325          0          0
 STARBUCKS CORPORATION                    855244109      11225        200   X                              200          0          0
 STARBUCKS CORPORATION                    855244109     437775       7800               X                 7800          0          0
 STATE STREET CORPORATION                 857477103    1874091      26725   X                            19825          0       6900
 STATE STREET CORPORATION                 857477103     578672       8252               X                 7902          0        350
 STATE STREET INVESTMENT TRUST            857483101     610563      49160   X                            49160          0          0
 STATE STREET RESEARCH FINANCIAL          857918106     214145      16460   X                            16460          0          0
 STEIN ROE INCOME FUND                    858420102     120260      12334   X                            12334          0          0
 STRONG CORPORATE BOND FUND               862912102     248664      22103   X                            22103          0          0
 STRONG CORPORATE BOND FUND               862912102     129140      11479               X                11479          0          0
 STRONG SCHAFER VALUE FUND                862918109    1872896      31589   X                            31475          0        114
 STRONG SCHAFER VALUE FUND                862918109     523081       8822               X                 8414          0        409
 STRONG HIGH YIELD MUNICIPAL BOND         863345104     690027      66798   X                            66798          0          0
 STRONG HIGH YIELD MUNICIPAL BOND         863345104    1190978     115293               X                75812          0      39482
 STRYKER CORPORATION                      863667101    3932269      71414   X                            71414          0          0
 STRYKER CORPORATION                      863667101     487748       8858               X                 8858          0          0
 SUN MICROSYSTEMS INCORPORATED            866810104     548942       6411   X                             6211          0        200
 SUN MICROSYSTEMS INCORPORATED            866810104     508613       5940               X                 5540          0        400
 SUNAMERICA INCORPORATED                  866930100    6880456      83908   X                            74671          0       9237
 SUNAMERICA INCORPORATED                  866930100     634188       7734               X                 7109          0        625
 SUN TRUST BANKS INCORPORATED             867914103     428425       5600   X                             5600          0          0
 SUN TRUST BANKS INCORPORATED             867914103     160701       2101               X                 1434          0        667
 SYSCO CORPORATION                        871829107    1361748      49630   X                            49630          0          0
 SYSCO CORPORATION                        871829107     688804      25104               X                25104          0          0
 TCW/DW TERM TRUST 2003 SHARE             87234U108      95000      10000   X                            10000          0          0
 TECO ENERGY INCORPORATED                 872375100     878169      31154   X                            31154          0          0
 TECO ENERGY INCORPORATED                 872375100     448415      15908               X                14640          0       1268
 TANDY CORPORATION $1 PAR                 875382103     616584      14970   X                             7470          0       7500
 TANDY CORPORATION $1 PAR                 875382103     140616       3414               X                 3414          0          0
 TEMPLETON DEVELOPING MARKETS TRUST       88018W104     378496      36747   X                            36747          0          0
 TEMPLETON FUNDS INCORPORATED WORLD       880196100      81071       5089   X                             5089          0          0
 TEMPLETON FUNDS INCORPORATED WORLD       880196100     276338      17347               X                17347          0          0
 TEMPLETON GROWTH FUND INCORPORATED       880199104    1094305      66848   X                            66848          0          0
 TEMPLETON GROWTH FUND INCORPORATED       880199104     143760       8782               X                 2239          0       6543
 TENET HEALTHCARE CORPORATION             88033G100     280875      10700   X                            10700          0          0
 TENET HEALTHCARE CORPORATION             88033G100      15645        596               X                  596          0          0
 TENNECO INCORPORATED NEW                 88037E101    2245726      65929   X                            65687          0        242
 TENNECO INCORPORATED NEW                 88037E101      70170       2060               X                 1383          0        677
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              41774266    1144587                              1069775          0      74814
</TABLE>
<PAGE>   215
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 226

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 TEXACO INCORPORATED                      881694103    1306026      24642   X                            23042          0       1600
 TEXACO INCORPORATED                      881694103     680573      12841               X                11941          0        900
 TEXAS INSTRUMENTS INCORPORATED           882508104     450730       5264   X                             5264          0          0
 TEXAS INSTRUMENTS INCORPORATED           882508104     123985       1448               X                 1148          0        300
 TEXAS UTILITIES COMPANY                  882848104    4587739      98264   X                            98264          0          0
 TEXAS UTILITIES COMPANY                  882848104     469308      10052               X                 9277          0        775
 TEXTRON INCORPORATED                     883203101     229485       3022   X                             3022          0          0
 TEXTRON INCORPORATED                     883203101      27945        368               X                  104          0        264
 THERMO ELECTRON CORPORATION              883556102     164045       9685   X                             9685          0          0
 THERMO ELECTRON CORPORATION              883556102      93718       5533               X                 5533          0          0
 THIRD AVE VALUE FD INC                   884116104     148594       4602   X                             4602          0          0
 THIRD AVE VALUE FD INC                   884116104      64637       2002               X                 2002          0          0
 3 COM CORPORATION                        885535104    1712081      38205   X                            38205          0          0
 3 COM CORPORATION                        885535104      45933       1025               X                 1025          0          0
 TIME WARNER INCORPORATED                 887315109    3792049      61100   X                            49000          0      12100
 TIME WARNER INCORPORATED                 887315109     741529      11948               X                11948          0          0
 TORCHMARK CORP                           891027104    3518058      99625   X                            95075          0       4550
 TORCHMARK CORP                           891027104     141746       4014               X                 3639          0        375
 TORRAY FUND                              891402109     188836       5176   X                             5176          0          0
 TORRAY FUND                              891402109      80859       2217               X                 2217          0          0
 TRI CONTINENTAL CORPORATION              895436103     170373       5978   X                             5978          0          0
 TRI CONTINENTAL CORPORATION              895436103     412634      14478               X                 3384          0      11094
 TRICON GLOBAL RESTAURANTS                895953107     150626       3005   X                             3005          0          0
 TRICON GLOBAL RESTAURANTS                895953107     130526       2604               X                 2384          0        220
 TYCO INTERNATIONAL LIMITED NEW           902124106    7109353      94241   X                            84391          0       9850
 TYCO INTERNATIONAL LIMITED NEW           902124106     629907       8350               X                 6150          0       2200
 UST INCORPORATED                         902911106     515278      14775   X                            14775          0          0
 UST INCORPORATED                         902911106    2760949      79167               X                79167          0          0
 U S BANCORP NEW                          902973106     657851      18531   X                            10311          0       8220
 U S BANCORP NEW                          902973106     313004       8817               X                 8817          0          0
 USAA TAX EXEMPT FD INC                   903289502    1721655     151821   X                           151821          0          0
 UNILEVER N V NEW YORK SHARES             904784501     132701       1600   X                             1600          0          0
 UNILEVER N V NEW YORK SHARES             904784501      88992       1073               X                  806          0        267
 UNICOM CORPORATION                       904911104     327689       8497   X                             8497          0          0
 UNICOM CORPORATION                       904911104     194049       5032               X                 5032          0          0
 UNION CAMP CORPORATION                   905530101     201375       3000   X                             3000          0          0
 UNION CAMP CORPORATION                   905530101     145527       2168               X                  494          0       1674
 UNION PACIFIC CORPORATION                907818108     491727      10912   X                            10612          0        300
 UNION PACIFIC CORPORATION                907818108     354150       7859               X                 5377          0       2482
 UNION PACIFIC RESOURCES GROUP            907834105      46910       5176   X                             5176          0          0
 UNION PACIFIC RESOURCES GROUP            907834105      59807       6599               X                 2253          0       4346
 UNION PLANTERS CORPORATION               908068109       9063        200   X                              200          0          0
 UNION PLANTERS CORPORATION               908068109     231685       5113               X                 5113          0          0
 UNITED CONTL INCOME FD INC               910056100     120541      15068               X                15068          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              35544248     875097                               813580          0      61517
</TABLE>
<PAGE>   216
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 227

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 UNITED SCIENCE AND TECHNOLOGY FUND       910450402     156392      15781   X                            15781          0          0
 UNITED HEALTHCARE CORPORATION            910581107      25838        600   X                              600          0          0
 UNITED HEALTHCARE CORPORATION            910581107     257172       5972               X                 5872          0        100
 UNITED INCOME INCORPORATED               910666403      44550      47250   X                            47250          0          0
 U S WEST INCORPORATED NEW                91273H101    1231882      19062   X                            18832          0        230
 U S WEST INCORPORATED NEW                91273H101    1151036      17811               X                15088          0       2723
 UNITED TRUST INC COMMON NEW              913BSE986          3     150000   X                           150000          0          0
 UNITED TECHNOLOGIES CORPORATION          913017109   10620634      97661   X                            92261          0       5400
 UNITED TECHNOLOGIES CORPORATION          913017109    1359810      12504               X                11834          0        670
 UNITED TRUST INCORPORATED                913111100     657000    1500000   X                          1500000          0          0
 VAN KAMPEN U.S. GOVERNMENT TRUST         921129102     204782      14162   X                            14162          0          0
 VANGUARD SPECIALIZED PORTFOLIOS          921908307     310215       3203   X                             3203          0          0
 VANGUARD SPECIALIZED PORTFOLIOS          921908307     601874       6214               X                  130          0       6084
 VANGUARD REIT INDEX PORTFOLIO            921908703    2693916     243133   X                           243133          0          0
 VANGUARD U S GROWTH PORTFOLIO            921910105     672643      17942   X                             1035          0      16907
 VANGUARD/PRIMECAP FUND                   921936100     567460      11906   X                            11906          0          0
 VANGUARD BOND INDEX FUND TOTAL BOND      921937108     968878      94341   X                            94341          0          0
 VANGUARD BOND INDEX FUND TOTAL BOND      921937108     114605      11159               X                11159          0          0
 VANGUARD BD INDEX FD INC                 921937405     174116      15381   X                            15381          0          0
 VANGUARD/WINDSOR FUND                    922018106      58505       3758   X                             3758          0          0
 VANGUARD/WINDSOR FUND                    922018106     375242      24100               X                    0          0      24100
 VANGUARD/WINDSOR FUND INCORPORATED       922018205      97201       3256   X                             3256          0          0
 VANGUARD/WINDSOR FUND INCORPORATED       922018205     118447       3968               X                 3076          0        892
 VANGUARD CALIF TAX FREE FD               922021308     300550      27523   X                            27523          0          0
 VANGUARD FIXED INCOME SECURITIES         922031109     116491      12539   X                            12539          0          0
 VANGUARD FIXED INCOME SECURITIES         922031109     303334      32652               X                32652          0          0
 VANGUARD FIXED INCOME SECURITIES         922031208     227720      29083   X                            29083          0          0
 VANGUARD FIXED INCOME SECURITIES         922031208     119858      15308               X                15308          0          0
 VANGUARD FIXED INCOME SECURITIES         922031307     118340      11324   X                            11324          0          0
 VANGUARD FIXED INCOME SECURITIES         922031307     661552      63306               X                63306          0          0
 VANGUARD FIXED INCOME SECURITIES         922031406     111367      10274               X                10274          0          0
 VANGUARD INTERNATIONAL EQUITY INDEX      922042106      78790      10050   X                            10050          0          0
 VANGUARD INTERNATIONAL EQUITY INDEX      922042205     198285       7844   X                             7844          0          0
 VANGUARD INTERNATIONAL EQUITY INDEX      922042205      25531       1010               X                 1010          0          0
 VANGUARD MONEY MARKET RESERVES PRIME     922906201      14586      14586               X                14586          0          0
 VANGUARD MUNICIPAL BOND FUND             922907209     747985      55489   X                            55489          0          0
 VANGUARD MUNICIPAL BOND FUND             922907209     487878      36193               X                14052          0      22140
 VANGUARD MUNICIPAL BOND FUND HIGH        922907407     539236      49156   X                            49156          0          0
 VANGUARD INDEX TRUST 500 PORTFOLIO       922908108   56103959     492356   X                           492356          0          0
 VANGUARD INDEX TRUST 500 PORTFOLIO       922908108    5705098      50067               X                41808          0       8258
 VANGUARD INDEX TRUST VALUE PORTFOLIO     922908405     203414       9037   X                             9037          0          0
 VANGUARD INDEX TRUST SMALL               922908702     546132      25761   X                            25761          0          0
 VIRAGEN INCORPORATED                     927638106      12195      15000   X                            15000          0          0
 VIRGINIA ENTERPRISES INCORPORATED        927832998     289248         51   X                               51          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              89373750    3287773                              3200267          0      87504
</TABLE>
<PAGE>   217
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 228

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 VODAFONE GROUP PUBLIC LIMITED            92857T107     340296       2112   X                             1812          0        300
 VODAFONE GROUP PUBLIC LIMITED            92857T107     386700       2400               X                 2400          0          0
 WPS RESOURCES CORPORATION                92931B106     243472       6907   X                             6007          0        900
 WPS RESOURCES CORPORATION                92931B106      25944        736               X                  286          0        450
 WACHOVIA CORPORATION                     929771103     608568       6960   X                             6960          0          0
 WACHOVIA CORPORATION                     929771103     200320       2291               X                 2291          0          0
 WAL MART STORES INCORPORATED             931142103    5573372      68437   X                            62387          0       6050
 WAL MART STORES INCORPORATED             931142103    1707185      20963               X                15167          0       5796
 WALGREEN COMPANY                         931422109    9267478     158248   X                           139598          0      18650
 WALGREEN COMPANY                         931422109    2205190      37655               X                33430          0       4225
 WARBURG PINCUS GLOBAL FIXED              933907107     237350      22392   X                            22392          0          0
 WARBURG PINCUS EMERGING GROWTH FUND      933909103     209425       5240   X                             5240          0          0
 WARBURG PINCUS INTERNATIONAL EQUITY      933910101     240325      13509   X                            13509          0          0
 WARBURG PINCUS INTERNATIONAL EQUITY      933910101      30477       1713               X                 1713          0          0
 WARNER LAMBERT COMPANY                   934488107   11914140     158458   X                           144608          0      13850
 WARNER LAMBERT COMPANY                   934488107    4068348      54109               X                47931          0       6178
 WASHINGTON MUTUAL INCORPORATED           939322103     163324       4256   X                             4256          0          0
 WASHINGTON MUTUAL INCORPORATED           939322103      68576       1787               X                 1787          0          0
 AMERICAN FUNDS WASHINGTON MUTUAL         939330106     591205      17964   X                            17964          0          0
 AMERICAN FUNDS WASHINGTON MUTUAL         939330106      73096       2221               X                 2221          0          0
 WASHINGTON TRUST BANCORP                 940610108      36099       1679   X                             1679          0          0
 WASHINGTON TRUST BANCORP                 940610108     750995      34930               X                34930          0          0
 WASTE MANAGEMENT INCORPORATED (NEW)      94106L109    3694658      79242   X                            68742          0      10500
 WASTE MANAGEMENT INCORPORATED (NEW)      94106L109     191069       4098               X                 3731          0        367
 WEITZ SERIES FUND VALUE PORTFOLIO        949045108     266727       9175   X                             9175          0          0
 WELLS FARGO & CO NEW                     949746101    6693569     167599   X                           145042          0      22557
 WELLS FARGO & CO NEW                     949746101    1684146      42169               X                41369          0        800
 WENDYS INTERNATIONAL INCORPORATED        950590109     172323       7900   X                             7400          0        500
 WENDYS INTERNATIONAL INCORPORATED        950590109     158886       7284               X                 6184          0       1100
 WEYERHAEUSER COMPANY                     962166104    1044207      20550   X                            20550          0          0
 WEYERHAEUSER COMPANY                     962166104     261839       5153               X                 4416          0        737
 WHIRLPOOL CORPORATION                    963320106      55375       1000   X                             1000          0          0
 WHIRLPOOL CORPORATION                    963320106     155493       2808               X                 2548          0        260
 WILLIAMS COMPANY                         969457100     332838      10672   X                            10672          0          0
 WILLIAMS COMPANY                         969457100     753752      24168               X                24168          0          0
 WISCONSIN ENERGY CORPORATION             976657106    1434296      45623   X                            44723          0        900
 WISCONSIN ENERGY CORPORATION             976657106     424790      13512               X                10575          0       2937
 XEROX CORPORATION                        984121103    8716188      73866   X                            69516          0       4350
 XEROX CORPORATION                        984121103    1337176      11332               X                10182          0       1150
 ZEPHYR ASSOCIATES INCORPORATED           98943F100        400      20000   X                            20000          0          0
 SEI STABLE ASSET FUND                    999901SG7     342982     342982   X                           342982          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              66662599    1514100                              1411543          0     102557
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                         4160723119  245946104                            237767179          0    8178928
</TABLE>
<PAGE>   218
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 229

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   219
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 230

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 HOME DEPOT INCORPORATED CONVERTIBLE      437076AE2      53300      20000   X                            10000          0      10000
 JACOBSON STORES INCORPORATED             469834AC9      41500      50000   X                            50000          0          0
 MAGNA INTL INC SUB DEB CONV              559222AE4      28750      25000   X                            25000          0          0
 POTOMAC ELECTRIC POWER COMPANY           737679BL3      10263      10000               X                10000          0          0
 RENAL TREATMENT CENTERS INCORPORATED     759671AC4      12050      10000   X                             5000          0       5000
 SIGNATURE RESORTS INCORPORATED           82668BAA4      21488      30000   X                            30000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                                167351     145000                               130000          0      15000
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR OTHER                                    167351     145000                               130000          0      15000
</TABLE>
<PAGE>   220
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 56-NATIONAL CITY BANK OF MI/IL          ON 05/11/99 AS OF 12/31/98

DEPT ID# 056                                                            PAGE 231

 **SUMMARY PAGE FOR: 56-NATIONAL CITY BANK OF MI/IL      **

<TABLE>
<CAPTION>
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                 <C>         <C>                                  <C>                <C>  <C>    
 A. COMMON STOCK                                    4160723119  245946104                            237767179          0    8178928
 B. PREFERRED STOCK                                    5801000      58010                                    0          0      58010
 C. OTHER                                               167351     145000                               130000          0      15000
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                   4166691470  246149114                            237897179          0    8251938
</TABLE>
<PAGE>   221
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 60-NATIONAL CITY BANK, SOUTHERN IND     ON 05/11/99 AS OF 12/31/98

DEPT ID# 060                                                            PAGE 232

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     898547      11862   X                            11862          0          0
 AMERICAN HOME PRODS CORP COM             026609107     231138       4100   X                             4100          0          0
 AMOCO CORP COM                           031905102     963988      16100   X                            16100          0          0
 AMOCO CORP COM                           031905102      12933        216               X                  216          0          0
 ARMADA BOND FD INSTL CL #630             042086686    1669008     161101   X                           161101          0          0
 ARMADA PA MUN FD INSTL CL FD #629        042086710     106983      10131   X                            10131          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     713830      68179   X                            68179          0          0
 ARMADA ENHANCED INCOME FUND              042086827     166530      16504   X                            16504          0          0
 ARMADA EQUITY INCOME FUND                042086868     911414      52380   X                            52380          0          0
 ARMADA EQUITY GROWTH FD                  042086884    1579083      65224   X                            65224          0          0
 CITIGROUP INC COM                        172967101     576381      11600   X                            11600          0          0
 EXXON CORP COM                           302290101     848250      11600   X                            11600          0          0
 EXXON CORP COM                           302290101      35831        490               X                  490          0          0
 GENERAL ELEC CO COM                      369604103     193800       1900   X                             1900          0          0
 GENERAL ELEC CO COM                      369604103      26520        260               X                  260          0          0
 HEINZ H J CO COM                         423074103     239524       4230   X                             4230          0          0
 INTERNATIONAL BUSINESS MACHS             459200101     317125       1720   X                             1720          0          0
 NATIONAL CITY CORP COM                   635405103     402955       5558   X                             5558          0          0
 NATIONAL CITY CORP COM                   635405103     679978       9379               X                 9379          0          0
 PNC BANK CORP COM                        693475105     276588       5122   X                             5122          0          0
 PNC BANK CORP COM                        693475105        540         10               X                   10          0          0
 VANGUARD INDEX TR                        922908108     250979       2203               X                 2203          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              11101925     459869                               459869          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                           11101925     459869                               459869          0          0
</TABLE>
<PAGE>   222
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 60-NATIONAL CITY BANK, SOUTHERN IND     ON 05/11/99 AS OF 12/31/98

DEPT ID# 060                                                            PAGE 233

 **SUMMARY PAGE FOR: 60-NATIONAL CITY BANK, SOUTHERN IND **

<TABLE>
<CAPTION>
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                   <C>          <C>                                  <C>        <C>        <C>
 A. COMMON STOCK                                      11101925     459869                               459869          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                     11101925     459869                               459869          0          0
</TABLE>
<PAGE>   223
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 234

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     226036       2353   X                             2353          0          0
 AT&T CORP COM                            001957109     187330       2473   X                             2473          0          0
 AT&T CORP COM                            001957109     504950       6666               X                 6666          0          0
 ABBOTT LABS COM                          002824100    1609160      32840   X                            32840          0          0
 ABBOTT LABS COM                          002824100    2149189      43861               X                43861          0          0
 AEGON N V ORD AMER REG (NLG)             007924103     693891       5676   X                             5676          0          0
 AEGON N V ORD AMER REG (NLG)             007924103     345356       2825               X                 2825          0          0
 ALBERTSONS INC COM                       013104104      89163       1400   X                             1400          0          0
 ALBERTSONS INC COM                       013104104     303155       4760               X                 4760          0          0
 ALLSTATE CORP COM                        020002101     328290       8527   X                             8527          0          0
 ALLSTATE CORP COM                        020002101     236198       6135               X                 6135          0          0
 ALLTEL CORP COM                          020039103     427902       7154   X                             7154          0          0
 ALLTEL CORP COM                          020039103     248224       4150               X                 4150          0          0
 ALUMINUM CO OF AMERICA COM               022249106     268501       3601   X                             3601          0          0
 ALUMINUM CO OF AMERICA COM               022249106     324871       4357               X                 4357          0          0
 AMERICAN EXPRESS CO COM                  025816109     258403       2521   X                             2521          0          0
 AMERICAN EXPRESS CO COM                  025816109      71750        700               X                  700          0          0
 AMERICAN HOME PRODS CORP COM             026609107    2292546      40666   X                            40666          0          0
 AMERICAN HOME PRODS CORP COM             026609107    1955311      34684               X                34684          0          0
 AMERICAN INTL GROUP INC COM              026874107     869432       8998   X                             8998          0          0
 AMERICAN INTL GROUP INC COM              026874107     743916       7699               X                 7699          0          0
 AMERICAN WTR WKS INC COM                 030411102     135000       4000   X                             4000          0          0
 AMERICAN WTR WKS INC COM                 030411102     168750       5000               X                 5000          0          0
 AMERITECH CORP NEW COM                   030954101     391594       6179   X                             6179          0          0
 AMERITECH CORP NEW COM                   030954101     986495      15566               X                14366          0       1200
 AMETEK INC NEW                           031100100    2208987      99000   X                            99000          0          0
 AMGEN INC COM                            031162100     206512       1975   X                             1975          0          0
 AMGEN INC COM                            031162100      62738        600               X                  600          0          0
 AMOCO CORP COM                           031905102     928063      15500   X                            15500          0          0
 AMOCO CORP COM                           031905102     626053      10456               X                10456          0          0
 AMSOUTH BANCORPORATION COM               032165102    4316490      94608   X                            94608          0          0
 ARDEN RLTY INC COM                       039793104     234199      10100   X                            10100          0          0
 ARDEN RLTY INC COM                       039793104     117679       5075               X                 5075          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330    1367401     114331   X                           114331          0          0
 ARMADA TAX MANAGED EQUITY FD #233        042086330    1659785     138778               X               138778          0          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    3260789     322212   X                           322212          0          0
 ARMADA NATIONAL TAX EXEMPT FD #297       042086363    1380583     136421               X               136421          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579    1411943     124181   X                           124181          0          0
 ARMADA SMALL CAP GROWTH FUND #519        042086579      97409       8567               X                 8567          0          0
 ARMADA CORE EQUITY FUND #681             042086595     245176      18845               X                18845          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629    1616658     145908   X                           145908          0          0
 ARMADA INTERNATIONAL EQUITY FD           042086629     208381      18807               X                18807          0          0
 ARMADA EQUITY INDEX FUND #42             042086645     270464      25372   X                            25372          0          0
 ARMADA EQUITY INDEX FUND #42             042086645      59112       5545               X                 5545          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              36093835    1559072                              1557872          0       1200
</TABLE>
<PAGE>   224
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 235

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     515533      49762   X                            49762          0          0
 ARMADA BOND FD INSTL CL #630             042086686    2150635     207590               X               198218          0       9372
 ARMADA OHIO TAX EXEMPT FUND #612         042086751   10322297     920812   X                           911883          0       8929
 ARMADA OHIO TAX EXEMPT FUND #612         042086751     651864      58150               X                58150          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777    1372208     131061   X                           131061          0          0
 ARMADA TOTAL RETURN ADVANTAGE FUND       042086777     970762      92718               X                84395          0       8324
 ARMADA INTERMEDIATE BD FUND              042086793      30922       2882   X                             2882          0          0
 ARMADA INTERMEDIATE BD FUND              042086793     248724      23180               X                18564          0       4616
 ARMADA SMALL CAP VALUE FUND #616         042086843     842491      64312   X                            64312          0          0
 ARMADA SMALL CAP VALUE FUND #616         042086843     283994      21679               X                21679          0          0
 ARMADA EQUITY INCOME FUND #614           042086868     119379       6861   X                             6861          0          0
 ARMADA EQUITY INCOME FUND #614           042086868     281058      16153               X                16153          0          0
 ARMADA EQUITY GROWTH FUND                042086884    4667800     192805   X                           192805          0          0
 ARMADA EQUITY GROWTH FUND                042086884    2534130     104673               X               103404          0       1269
 ASSOCIATES FIRST CAP CORP COM            046008108     177551       4190   X                             4190          0          0
 ASSOCIATES FIRST CAP CORP COM            046008108      24832        586               X                  586          0          0
 ATLANTIC RICHFIELD CO COM                048825103     261500       4000   X                             4000          0          0
 ATLANTIC RICHFIELD CO COM                048825103      47070        720               X                  720          0          0
 AUSTRALIA & NEW ZEALAND BKG              052528304     243750       7500   X                             7500          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103    1140674      14225   X                            14225          0          0
 AUTOMATIC DATA PROCESSING INC COM        053015103     789691       9848               X                 9848          0          0
 AVALONBAY CMNTYS INC                     053484101     466211      13612   X                            13612          0          0
 AVALONBAY CMNTYS INC                     053484101     412815      12053               X                12053          0          0
 BANK ONE CORP COM                        06423A103    2505815      49073   X                            49073          0          0
 BANK ONE CORP COM                        06423A103     426478       8352               X                 7391          0        961
 BANKAMERICA CORP NEW                     06605F102     229076       3810   X                             3810          0          0
 BANKAMERICA CORP NEW                     06605F102      81530       1356               X                 1356          0          0
 BANKERS TRUST CORP COM                   066365107     557483       6525   X                             6525          0          0
 BANKERS TRUST CORP COM                   066365107     384471       4500               X                 4200          0        300
 BELL ATLANTIC CORP COM                   077853109     514728       9532   X                             9532          0          0
 BELL ATLANTIC CORP COM                   077853109     636876      11794               X                10794          0       1000
 BELLSOUTH CORP COM                       079860102     503738      10100   X                            10100          0          0
 BELLSOUTH CORP COM                       079860102    2173852      43586               X                43586          0          0
 BORDERS GROUP INC COM                    099709107     555743      22285   X                            22285          0          0
 BORDERS GROUP INC COM                    099709107     408983      16400               X                16400          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108    3976789      29719   X                            29719          0          0
 BRISTOL MYERS SQUIBB CO COM              110122108    4282953      32007               X                32007          0          0
 CSX CORP COM                             126408103     166000       4000   X                             4000          0          0
 CSX CORP COM                             126408103      58100       1400               X                 1400          0          0
 CAMPBELL SOUP CO COM                     134429109     440000       8000               X                 8000          0          0
 CARNIVAL CORP COM                        143658102     128400       2675   X                             2675          0          0
 CARNIVAL CORP COM                        143658102     177792       3704               X                 3704          0          0
 CATERPILLAR INC COM                      149123101     135516       2946   X                             2946          0          0
 CATERPILLAR INC COM                      149123101     108284       2354               X                 1854          0        500
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              47008498    2233490                              2198220          0      35271
</TABLE>
<PAGE>   225
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 236

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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     891760      12560   X                            12560          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108     236075       3325               X                 3325          0          0
 CHEVRON CORP COM                         166751107     161231       1944   X                             1944          0          0
 CHEVRON CORP COM                         166751107    1221428      14727               X                14727          0          0
 CHUBB CORP COM                           171232101     462639       7145               X                 7145          0          0
 CINCINNATI FINL CORP COM                 172062101     145365       3969   X                             3969          0          0
 CINCINNATI FINL CORP COM                 172062101      72627       1983               X                 1983          0          0
 CISCO SYS INC COM                        17275R102    2194842      23648   X                            23648          0          0
 CISCO SYS INC COM                        17275R102    2216931      23886               X                23886          0          0
 CITIGROUP INC COM                        172967101     394374       7937   X                             7937          0          0
 CITIGROUP INC COM                        172967101      37266        750               X                  750          0          0
 COCA-COLA CO COM                         191216100     827450      12350   X                            12350          0          0
 COCA-COLA CO COM                         191216100    2242892      33476               X                33476          0          0
 COMPAQ COMPUTER CORP COM                 204493100     711900      16950   X                            16950          0          0
 COMPAQ COMPUTER CORP COM                 204493100      81984       1952               X                 1952          0          0
 CONSOLIDATED EDISON INC                  209115104     527428       9975   X                             9975          0          0
 CONSOLIDATED EDISON INC                  209115104     122406       2315               X                 2315          0          0
 COSTCO COMPANIES INC                     22160Q102     774216      10725   X                            10725          0          0
 COSTCO COMPANIES INC                     22160Q102     124524       1725               X                 1725          0          0
 DELL COMPUTER CORP COM                   247025109     290922       3975   X                             3975          0          0
 DELL COMPUTER CORP COM                   247025109     318807       4356               X                 4356          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     143775       8100   X                             8100          0          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     447069      25187               X                23887          0       1300
 DISNEY WALT CO COM                       254687106     760410      25347   X                            25347          0          0
 DISNEY WALT CO COM                       254687106     870990      29033               X                29033          0          0
 DOMINION RES INC VA                      257470104      97567       2087   X                             2087          0          0
 DOMINION RES INC VA                      257470104     234825       5023               X                 5023          0          0
 DOW CHEM CO COM                          260543103     411494       4525   X                             4525          0          0
 DOW CHEM CO COM                          260543103     893830       9829               X                 9829          0          0
 DREYFUS INVT GRADE BD FDS IN             261967103     131221      11168               X                11168          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109     486853       9175   X                             9175          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109     665941      12550               X                12550          0          0
 DUN & BRADSTREET CORP DEL                26483B106     261657       8290   X                             8290          0          0
 DUN & BRADSTREET CORP DEL                26483B106      99802       3162               X                 3162          0          0
 ELF AQUITAINE SPONSORED ADR              286269105     226500       4000   X                             4000          0          0
 EMERSON ELEC CO COM                      291011104     490050       8100   X                             8100          0          0
 EMERSON ELEC CO COM                      291011104    1075811      17782               X                16366          0       1416
 EXXON CORP COM                           302290101    3317681      45370   X                            45370          0          0
 EXXON CORP COM                           302290101    3557751      48653               X                48653          0          0
 FPL GROUP INC COM                        302571104     139273       2260   X                             2260          0          0
 FPL GROUP INC COM                        302571104     602261       9773               X                 9273          0        500
 FREDDIE MAC COM                          313400301     161095       2500   X                             2500          0          0
 FREDDIE MAC COM                          313400301     162706       2525               X                 2525          0          0
 FANNIE MAE COM                           313586109     797350      10775   X                            10775          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              30092979     504887                               501671          0       3216
</TABLE>
<PAGE>   226
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 237

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 FANNIE MAE COM                           313586109     975098      13177               X                13177          0          0
 FIDELITY CAPITAL & INCOME FD             316062108     147412      15885               X                15885          0          0
 FIDELITY ASSET MANAGER                   316069103     517667      29802               X                15746          0      14056
 FIDELITY GROWTH & INCOME FDS             316389204     268284       5855               X                 5855          0          0
 FIRSTMERIT CORP COM                      337915102     241875       9000   X                             9000          0          0
 FLAG INVS TEL INCOME FD INC COM CL A     338331101     872209      25982   X                            25982          0          0
 FLEET FINL GROUP INC NEW COM             338915101     216737       4850               X                 4850          0          0
 FORD MOTOR CO DEL COM                    345370100     422554       7200   X                             7200          0          0
 FORD MOTOR CO DEL COM                    345370100     180759       3080               X                 3080          0          0
 FORT JAMES CORP                          347471104     499960      12499   X                            12499          0          0
 FORT JAMES CORP                          347471104      82480       2062               X                 2062          0          0
 FORTUNE BRANDS INC                       349631101     189750       6000   X                             6000          0          0
 FORTUNE BRANDS INC                       349631101      72738       2300               X                 2300          0          0
 FOUNDERS FD INC                          350553202     301359      24722               X                24722          0          0
 FRANKLIN RES INC COM                     354613101     121600       3800   X                             3800          0          0
 FRANKLIN RES INC COM                     354613101     288000       9000               X                 9000          0          0
 GTE CORP COM                             362320103     543075       8355   X                             8355          0          0
 GTE CORP COM                             362320103    1082640      16656               X                16656          0          0
 GAP INC COM                              364760108      42094        750   X                              750          0          0
 GAP INC COM                              364760108     201938       3598               X                 3598          0          0
 GENERAL ELEC CO COM                      369604103    4177920      40960   X                            40960          0          0
 GENERAL ELEC CO COM                      369604103    4594692      45046               X                45046          0          0
 GENERAL MILLS INC COM                    370334104     202150       2600   X                             2600          0          0
 GENERAL MILLS INC COM                    370334104     165219       2125               X                 2125          0          0
 GENERAL RE CORP COM                      370563108      30033        150   X                              150          0          0
 GENERAL RE CORP COM                      370563108     270296       1350               X                 1350          0          0
 GENUINE PARTS CO COM                     372460105     394970      11812               X                11812          0          0
 GILLETTE CO COM                          375766102     267848       5602   X                             5602          0          0
 GILLETTE CO COM                          375766102     521353      10904               X                10454          0        450
 GOVERNMENT SECS INCOME FD UNIT GNMA      383744166       2506      22780               X                22780          0          0
 GOVERNMENT SECS INCOME FD UNIT GNMA      383744240       8195      63040               X                63040          0          0
 GOVERNMENT SECS INCOME FD UNIT           383744331       3354      37263               X                37263          0          0
 GOVERNMENT SECS INCOME FD UNIT GNMA      383744497       5351      44589               X                44589          0          0
 HALLIBURTON CO COM                       406216101     185156       6250   X                             6250          0          0
 HALLIBURTON CO COM                       406216101     301523      10178               X                10178          0          0
 HARLEY DAVIDSON INC COM                  412822108     791636      16710   X                            16710          0          0
 HARLEY DAVIDSON INC COM                  412822108     266484       5625               X                 5625          0          0
 HARRIS CORP COM                          413875105    1465000      40000   X                            40000          0          0
 HARRIS CORP COM                          413875105      14650        400               X                  400          0          0
 HEALTH CARE REIT INC                     42217K106     258750      10000               X                10000          0          0
 HEINZ H J CO COM                         423074103     416194       7350   X                             7350          0          0
 HEINZ H J CO COM                         423074103    1071062      18915               X                18915          0          0
 HEWLETT PACKARD CO COM                   428236103     136968       2005   X                             2005          0          0
 HEWLETT PACKARD CO COM                   428236103     300577       4400               X                 4400          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              23120116     614627                               600121          0      14506
</TABLE>
<PAGE>   227
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 238

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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    1300245      21250   X                            21250          0          0
 HOME DEPOT INC COM                       437076102    2661739      43501               X                43501          0          0
 HUNTINGTON BANCSHARES INC COM            446150104     253972       8448               X                 8448          0          0
 INTEL CORP COM                           458140100    2026123      17089   X                            17089          0          0
 INTEL CORP COM                           458140100    1552701      13096               X                13096          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101     634066       3439   X                             3439          0          0
 INTERNATIONAL BUSINESS MACHS CORP        459200101     700625       3800               X                 3800          0          0
 INTERPUBLIC GROUP COS INC COM            460690100     128557       1612   X                             1612          0          0
 INTERPUBLIC GROUP COS INC COM            460690100     287020       3599               X                 3599          0          0
 JANUS FD INC COM                         471023101     450226      13380               X                    0          0      13380
 JOHNSON & JOHNSON COM                    478160104     345984       4125   X                             4125          0          0
 JOHNSON & JOHNSON COM                    478160104     818620       9760               X                 9760          0          0
 KELLOGG CO COM                           487836108     670898      19660   X                            19660          0          0
 KEMPER SMALL CAPITALIZTION EQUITY FD     488421108      61114      10102               X                10102          0          0
 KEYCORP NEW COM                          493267108    1338592      41831   X                            41831          0          0
 KEYCORP NEW COM                          493267108    1539200      48100               X                48100          0          0
 KIMBERLY-CLARK CORP COM                  494368103     499329       9162   X                             9162          0          0
 KROGER CO COM                            501044101     317625       5250   X                             5250          0          0
 LILLY ELI & CO COM                       532457108     546759       6152   X                             6152          0          0
 LILLY ELI & CO COM                       532457108    1435420      16151               X                16151          0          0
 LOCKHEED MARTIN CORP COM                 539830109     708002       8354               X                    0          0       8354
 LOWES COS INC COM                        548661107     221490       4327   X                             4327          0          0
 LOWES COS INC COM                        548661107      38391        750               X                  750          0          0
 LUBRIZOL CORP COM                        549271104      30826       1200   X                             1200          0          0
 LUBRIZOL CORP COM                        549271104     453419      17651               X                17651          0          0
 LUCENT TECHNOLOGIES INC COM              549463107     456353       4151   X                             4151          0          0
 LUCENT TECHNOLOGIES INC COM              549463107     876316       7971               X                 7971          0          0
 MCI WORLDCOM INC                         55268B106     591148       8239   X                             8239          0          0
 MCI WORLDCOM INC                         55268B106     515667       7187               X                 7187          0          0
 MFS SER TR III                           552984304      96420      10725   X                            10725          0          0
 MFS SER TR IV                            552987505     159855      14585   X                            14585          0          0
 MARSH & MCLENNAN COS COM                 571748102     556622       9525   X                             9525          0          0
 MARSH & MCLENNAN COS COM                 571748102     938105      16053               X                16053          0          0
 MASCO CORP COM                           574599106     278875       9700   X                             9700          0          0
 MASCO CORP COM                           574599106     339250      11800               X                10400          0       1400
 MCDONALDS CORP COM                       580135101     361021       4700   X                             4700          0          0
 MCDONALDS CORP COM                       580135101     656751       8550               X                 8550          0          0
 MEDIAONE GROUP INC                       58440J104      75200       1600   X                             1600          0          0
 MEDIAONE GROUP INC                       58440J104     213380       4540               X                 4540          0          0
 MEDTRONIC INC COM                        585055106     696384       9375   X                             9375          0          0
 MEDTRONIC INC COM                        585055106     172703       2325               X                 2325          0          0
 MERCK & CO INC COM                       589331107    2011900      13640   X                            13640          0          0
 MERCK & CO INC COM                       589331107    2057183      13947               X                13947          0          0
 MICROSOFT CORP COM                       594918104    1728746      12465   X                            12465          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              31802822     502867                               479733          0      23134
</TABLE>
<PAGE>   228
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 239

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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 COM                       594918104    1546371      11150               X                11150          0          0
 MINNESOTA MINING & MFG CO COM            604059105     327175       4600   X                             4600          0          0
 MINNESOTA MINING & MFG CO COM            604059105     643895       9053               X                 9053          0          0
 MOBIL CORP COM                           607059102     509681       5850   X                             5850          0          0
 MOBIL CORP COM                           607059102     982334      11275               X                11275          0          0
 MONSANTO CO COM                          611662107     293313       6175   X                             6175          0          0
 MONSANTO CO COM                          611662107     366938       7725               X                 7100          0        625
 MSDW TAX EXEMPT SECURITIES I             616977401     183741      15299               X                15299          0          0
 MORTON INTL INC IND NEW                  619335102     218050       8900   X                             8900          0          0
 MORTON INTL INC IND NEW                  619335102     121275       4950               X                 4950          0          0
 NATIONAL CITY CORP COM                   635405103   13955743     192493   X                           192493          0          0
 NATIONAL CITY CORP COM                   635405103    2396560      33056               X                33056          0          0
 NESTLE S A SPONSORED ADR                 641069406     380951       3500   X                             3500          0          0
 NESTLE S A SPONSORED ADR                 641069406     508297       4670               X                 4670          0          0
 NORTHERN TR CORP COM                     665859104     593728       6800   X                             6800          0          0
 NORTHERN TR CORP COM                     665859104      43657        500               X                  500          0          0
 NUVEEN MUNICIPAL VALUE FD                670928100     174181      17750   X                            17750          0          0
 NUVEEN MUNICIPAL VALUE FD                670928100      63785       6500               X                 6500          0          0
 OFFICEMAX INC COM                        67622M108     121888       9950   X                             9950          0          0
 OFFICEMAX INC COM                        67622M108      58812       4801               X                 4801          0          0
 PNC BANK CORP COM                        693475105     377892       6998               X                 6998          0          0
 PPG INDS INC COM                         693506107     465504       8000   X                             8000          0          0
 PEOPLES BANCORP INC COM                  709789101     274950      11280   X                            11280          0          0
 PEPSICO INC COM                          713448108    1977533      48380   X                            48380          0          0
 PEPSICO INC COM                          713448108    1938538      47426               X                47426          0          0
 PFIZER INC COM                           717081103    2481375      19851   X                            19851          0          0
 PFIZER INC COM                           717081103    3051000      24408               X                24408          0          0
 PHILIP MORRIS COS INC COM                718154107     369150       6900   X                             6900          0          0
 PHILIP MORRIS COS INC COM                718154107     218013       4075               X                 4075          0          0
 PITNEY BOWES INC COM                     724479100    1189134      18000   X                            18000          0          0
 PITNEY BOWES INC COM                     724479100    2271246      34380               X                34380          0          0
 PROCTER & GAMBLE CO COM                  742718109    1825803      19995   X                            19995          0          0
 PROCTER & GAMBLE CO COM                  742718109    4052745      44383               X                44383          0          0
 PROVIDIAN FINL CORP                      74406A102     806625      10755   X                            10755          0          0
 PROVIDIAN FINL CORP                      74406A102     345375       4605               X                 4605          0          0
 QUAKER OATS CO COM                       747402105     200813       3375   X                             3375          0          0
 REUTERS GROUP PLC-SPONS ADR              76132M102     443562       6999   X                             6999          0          0
 REUTERS GROUP PLC-SPONS ADR              76132M102      61537        971               X                  971          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     234588       4900   X                             4900          0          0
 ROYAL DUTCH PETROLEUM CO                 780257804     839728      17540               X                15540          0       2000
 SBC COMMUNICATIONS INC COM               78387G103     524131       9774   X                             9774          0          0
 SBC COMMUNICATIONS INC COM               78387G103    2310219      43081               X                43081          0          0
 SAFEWAY INC COM NEW                      786514208     286409       4700   X                             4700          0          0
 SARA LEE CORP COM                        803111103     558122      19800   X                            19800          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              50594367     785573                               782948          0       2625
</TABLE>
<PAGE>   229
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 240

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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
 SARA LEE CORP COM                        803111103     606324      21510               X                21510          0          0
 SCHERING-PLOUGH CORP COM                 806605101    2016515      36498   X                            36498          0          0
 SCHERING-PLOUGH CORP COM                 806605101    1391748      25190               X                25190          0          0
 SCHLUMBERGER LTD COM                     806857108     157675       3400   X                             3400          0          0
 SCHLUMBERGER LTD COM                     806857108     138012       2976               X                 2976          0          0
 SERVICEMASTER CO COM                     81760N109     335071      15187   X                            15187          0          0
 SHERWIN WILLIAMS CO COM                  824348106     591378      20132               X                20132          0          0
 SMUCKER J M CO CL A                      832696108     693000      28000               X                28000          0          0
 SOUTHWEST AIRLINES CO COM                844741108     375055      16531               X                16531          0          0
 STRONG CORPORATE BD FD INC COM           862912102     146634      13034               X                13034          0          0
 SUN CMMNTYS INC COM                      866674104     102698       2950   X                             2950          0          0
 SUN CMMNTYS INC COM                      866674104     144474       4150               X                 4150          0          0
 SUN MICROSYSTEMS INC COM                 866810104    1166641      13625   X                            13625          0          0
 SUN MICROSYSTEMS INC COM                 866810104     481726       5626               X                 5626          0          0
 T R W INC COM                            872649108     745638      13300               X                13300          0          0
 TANDY CORP COM                           875382103     191524       4650   X                             4650          0          0
 TANDY CORP COM                           875382103      35010        850               X                  850          0          0
 TELLABS INC COM                          879664100     281108       4100   X                             4100          0          0
 TEXAS INSTRS INC COM                     882508104     777047       9075   X                             9075          0          0
 THOMAS REALTY COMPANY                    883996100     949424         60   X                               60          0          0
 TIME WARNER INC COM                      887315109     266871       4300   X                             4300          0          0
 TRICON GLOBAL RESTAURANTS                895953107     157994       3152   X                             3152          0          0
 TRICON GLOBAL RESTAURANTS                895953107     146114       2915               X                 2915          0          0
 TYCO INTL LTD NEW                        902124106     203833       2702   X                             2702          0          0
 US BANCORP NEW COM                       902973106      78810       2220   X                             2220          0          0
 US BANCORP NEW COM                       902973106     292875       8250               X                 8250          0          0
 UNITED STATES FILTER CORP COM NEW        911843209     475297      20778   X                            20778          0          0
 U S WEST INC NEW                         91273H101     538908       8339   X                             8339          0          0
 U S WEST INC NEW                         91273H101     723865      11201               X                10701          0        500
 UNITED TECHNOLOGIES CORP COM             913017109     437719       4025   X                             4025          0          0
 UNITED TECHNOLOGIES CORP COM             913017109     116906       1075               X                 1075          0          0
 VAN KAMPEN AMERN CAP TAX EXE             92113R101     124546      10700   X                            10700          0          0
 VANGUARD WINDSOR FUND INC                922018106     188048      12078               X                12078          0          0
 WACHOVIA CORP COM                        929771103     861264       9850   X                             9850          0          0
 WACHOVIA CORP COM                        929771103     984377      11258               X                10333          0        925
 WAL MART STORES INC                      931142103     746379       9165   X                             9165          0          0
 WAL MART STORES INC                      931142103    1380456      16951               X                16951          0          0
 WARNER LAMBERT CO COM                    934488107     708647       9425   X                             9425          0          0
 WARNER LAMBERT CO COM                    934488107     533384       7094               X                 7094          0          0
 WELLS FARGO & CO NEW                     949746101    1404819      35175   X                            35175          0          0
 WELLS FARGO & CO NEW                     949746101    1308968      32775               X                32775          0          0
 XEROX CORP COM                           984121103     637318       5401   X                             5401          0          0
 XEROX CORP COM                           984121103     554954       4703               X                 4703          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                              24199054     474376                               472951          0       1425
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR COMMON STOCK                          242911671    6674892                              6593516          0      81377
</TABLE>
<PAGE>   230
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 241

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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>   231
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 242

SEC USE ONLY________________________________________

<TABLE>
<CAPTION>
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      18800      20000               X                20000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR THIS PAGE                                 18800      20000                                20000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 SUBTOTALS FOR OTHER                                     18800      20000                                20000          0          0
</TABLE>
<PAGE>   232
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
TO SECTION 13(F)

PREPARED FOR: 76-NATIONAL CITY TRUST COMPANY          ON 05/11/99 AS OF 12/31/98

DEPT ID# 076                                                            PAGE 243

 **SUMMARY PAGE FOR: 76-NATIONAL CITY TRUST COMPANY      **

<TABLE>
<CAPTION>
 CATEGORY                                               MARKET      SH/PV                                 SOLE     SHARED       NONE
 ----------------------------------------           ----------  ---------                            ---------  ---------  ---------
<S>                                                  <C>          <C>                                  <C>         <C>        <C>  
 A. COMMON STOCK                                     242911671    6674892                              6593516          0      81377
 B. PREFERRED STOCK                                          0          0                                    0          0          0
 C. OTHER                                                18800      20000                                20000          0          0
                                                   ----------- ----------                           ---------- ---------- ----------
 **GRAND TOTALS**                                    242930471    6694892                              6613516          0      81377
</TABLE>


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