<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: September 30, 2000
(Please read instructions before preparing form)
If amended report check here:__________
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<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
</TABLE>
ATTENTION: Intentional misstatements or omissions of fact constitute Federal
Criminal Violators. See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
The Institutional Investment Manager submitting this form and the
attachments and the person by whom it is signed represent hereby that all
information contained herein is true, correct and complete. It is understood
that all required items, statements and schedules are considered integral parts
of this form and that the submission of any amendment representing that all
unamended items, statements and schedules remain true, correct and complete as
previously submitted.
Pursuant to the requirements of the Securities Exchange Act of 1934,
the undersigned Institutional Investment Manager has caused this report to be
signed on its behalf in the City of Cleveland and State of Ohio on the 1st day
of November, 2000.
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.
Name: 13F File No.:
1. National City, Ohio 28-1479
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2. National City Investment Management Company (AMG) 28-1479
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3. National City, Indiana 28-1479
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4. National City, Kentucky 28-1479
---------------------------------------------------------------------------
5. National City, Pennsylvania 28-1479
---------------------------------------------------------------------------
6. National City, Michigan/Illinois 28-1479
--------------------------------------------------------------------------------
7. National City, Southern Indiana 28-1479
--------------------------------------------------------------------------------
<PAGE> 2
13F Summary Page
Report Summary: National City Corporation 9-30-2000
Number of Other Included Managers: 7
-----
Form 13F Information Table Entry Total: 3,459
-----
Form 13F Information Table Value Total: 39,971,011,609
--------------
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 , Ohio
------- --------------------
2. 28-1479 National City Investment Mgmt Co.
------- ---------------------------------
3. 28-1479 National City, Indiana
------- ----------------------
4. 28-1479 National City, Kentucky
------- -----------------------
5. 28-1479 National City, Pennsylvania
------- ---------------------------
6. 28-1479 National City, Michigan/Illinois
------- --------------------------------
7. 28-1479 National City, Southern Indiana
------- -------------------------------
<PAGE> 3
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 1
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DAIMLERCHRYSLER AG D1668R123 252224 5682 X 5682 0 0
DAIMLERCHRYSLER AG D1668R123 684094 15411 X 13290 251 1870
AMDOCS LTD G02602103 16482282 264245 X 80545 0 183700
EVEREST RE GROUP LTD G3223R108 6682500 135000 X 1600 0 133400
GLOBAL CROSSING LTD G3921A100 2415055 77905 X 22600 0 55305
GLOBAL CROSSING LTD G3921A100 2628459 84789 X 72689 0 12100
LORAL SPACE & COMMUNICATIONS COM G56462107 81487 13304 X 6292 0 7012
RENAISSANCERE HOLDINGS LTD G7496G103 6416178 100350 X 1150 0 99200
TOMMY HILFIGER CORP ORD SHS G8915Z102 26950 2800 X 2800 0 0
TOMMY HILFIGER CORP ORD SHS G8915Z102 101063 10500 X 8500 0 2000
TRANSOCEAN SEDCO FOREX INC G90078109 15412008 262891 X 147800 0 115091
TRANSOCEAN SEDCO FOREX INC G90078109 4348100 74168 X 63539 3722 6907
TRITON ENERGY LTD CL A G90751101 7800 200 X 200 0 0
TRITON ENERGY LTD CL A G90751101 388479 9961 X 7061 0 2900
XL CAP LTD G98255105 1361367 18522 X 17422 400 700
XL CAP LTD G98255105 1683150 22900 X 15000 6800 1100
LEMAR INVESTMENT CO LEMARINV0 342020 80 X 54 26 0
MARDOT L.P. CLASS "B" LIMITED LP0000366 1248300 146 X 146 0 0
AREL COMMUNICATIONS AND SOFTWARE M14925107 9187491 1049999 X 1049999 0 0
AUDIOCODES LTD M15342104 3847650 45200 X 2000 0 43200
CHECK POINT SOFTWARE TECH LT M22465104 20074163 127455 X 38440 50 88965
CHECK POINT SOFTWARE TECH LT M22465104 5144265 32662 X 30862 0 1800
ASM INTL N V N07045102 1540613 88035 X 6685 0 81350
QIAGEN NV N72482107 5631438 119500 X 1500 0 118000
DAWLEN CORPORATION U72150458 317218 569 X 569 0 0
ROYAL CARRIBEAN CRUISES LTD COM V7780T103 355212 13800 X 0 0 13800
FLEXTRONICS INTL LTD Y2573F102 445118 5420 X 5420 0 0
FLEXTRONICS INTL LTD Y2573F102 42787 521 X 421 0 100
MARSILJE SERVICES INCORPORATED 000334995 1 11667 X 11667 0 0
INCOME ADVANTAGE FUND, A COLLECTIVE 000504993 3293765 3293765 X 3293765 0 0
INCOME ADVANTAGE FD 0005209B4 12709458 12709458 X 12561348 0 148111
INCOME ADVANTAGE FUND 000520999 648425 648425 X 648425 0 0
ARBOR RESEARCH CORPORATION 000546994 35000 20000 X 0 0 20000
MORRIS MACHINE COMPANY INCORPORATED 000577999 433198 2018 X 0 0 2018
P B & G SAND & GRAVEL & CONTRACTING 000739995 212000 10000 X 10000 0 0
JHL PROPERTY MANAGEMENT COMPANY 000752998 1079286 574 X 0 0 574
ABN AMRO INSTITUTIONAL PRIME 00078H554 139642 139642 X 139642 0 0
INTERNATIONAL ENGINEERING & 000814996 1033206 13800 X 13800 0 0
AIRCOM METAL PRODUCTS INCORPORATED 000821991 238410 1422 X 1422 0 0
ADC TELECOMMUNICATIONS INC COM 000886101 68834775 2559770 X 1805828 1020 752922
ADC TELECOMMUNICATIONS INC COM 000886101 1990418 74018 X 69608 940 3470
PRAIRIE VIEW FARM INCORPORATED 000912998 287372 2048 X 0 0 2048
ACM GOVT SECS FD INC COM 000914101 39868 5499 X 5499 0 0
ACM GOVT SECS FD INC COM 000914101 49300 6800 X 300 1500 5000
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 198171595 22080921 20163570 14709 1902643
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 2
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ACT MFG INC 000973107 7727875 146500 X 10700 0 135800
AFLAC INC COM 001055102 4086451 63788 X 39366 400 24022
AFLAC INC COM 001055102 3892980 60768 X 39500 15400 5868
AGCO CORP 001084102 5224406 439950 X 4950 0 435000
AGCO CORP 001084102 11875 1000 X 1000 0 0
AES CORP 00130H105 16297246 237916 X 113566 0 124350
AES CORP 00130H105 271945 3970 X 3870 0 100
AIM EQUITY FDS INC 001413103 339352 18003 X 18003 0 0
AIM CONSTELLATION FD INC 001413202 267410 5736 X 5736 0 0
AIM CONSTELLATION FD INC 001413202 228161 4894 X 4894 0 0
AIM EQUITY FDS INC 001413301 325019 10495 X 10495 0 0
AIM EQUITY FDS INC 001413301 89763 2898 X 2898 0 0
AIM 001413863 211804 9494 X 9494 0 0
AIM 00142C706 3891 596 X 596 0 0
AIM 00142C706 75917 11626 X 0 9470 2156
AMLI RESIDENTAL PPTYS INC TR SH 001735109 357250 14885 X 14885 0 0
AMLI RESIDENTAL PPTYS INC TR SH 001735109 12000 500 X 0 0 500
AMR CORP DEL COM 001765106 461783 14127 X 3127 0 11000
AMR CORP DEL COM 001765106 75379 2306 X 606 0 1700
ANC RENTAL CORP 001813104 460 80 X 80 0 0
ANC RENTAL CORP 001813104 384181 66814 X 66814 0 0
AT&T CORP COM 001957109 50442612 1717195 X 1427655 2400 287140
AT&T CORP COM 001957109 26082267 887907 X 776137 57462 54308
AT&T CORP 001957208 546120 30340 X 29740 0 600
AT&T CORP 001957208 2758788 153266 X 97506 20000 35760
ARV ASSISTED LIVING INC 00204C107 8750 10000 X 10000 0 0
ATMI INC 00207R101 217388 9300 X 1000 0 8300
AXP EQUITY SELECT FD 00245H107 590644 29053 X 29053 0 0
AXP EQUITY SELECT FD 00245H107 1546104 76050 X 7683 0 68368
AXP HIGH YIELD TAX EXEMPT FUND, INC. 00245N104 512277 118036 X 118036 0 0
AXP HIGH YIELD TAX EXEMPT FUND, INC. 00245N104 851287 196149 X 196149 0 0
AXP HIGH YIELD TAX EXEMPTS FUND, INC 00245N203 174521 40212 X 40212 0 0
AXP HIGH YIELD TAX EXEMPTS FUND, INC 00245N203 70710 16293 X 16293 0 0
AXP INVT SER INC 00245Q404 154916 12688 X 12688 0 0
AXP INVT SER INC 00245Q404 55023 4506 X 0 0 4506
AXP NEW DIMENSIONS FUND, INC. CL A 00245V106 1350335 37426 X 37426 0 0
AXP NEW DIMENSIONS FUND, INC. CL A 00245V106 539213 14945 X 1914 0 13031
AXP SELECTIVE FUND, INC. CL A 00245Y100 173165 20277 X 20277 0 0
AXP SELECTIVE FUND, INC. CL A 00245Y100 14702 1722 X 1722 0 0
AXA FINL INC 002451102 185256 3637 X 3637 0 0
AXA FINL INC 002451102 146905 2884 X 1768 1116 0
AXP STOCK FUND, INC. CL A 00246B109 435033 16041 X 16041 0 0
AXP STOCK FUND, INC. CL A 00246B109 170976 6304 X 3531 2773 0
AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 412192 106235 X 106235 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 127784332 4626812 3305283 109021 1212509
</TABLE>
<PAGE> 4
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 3
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AXP TAX EXEMPT BOND FUND, INC. CL A 00246D402 105118 27092 X 27092 0 0
ABBOTT LABS 002824100 123331240 2593008 X 2466672 1250 125086
ABBOTT LABS 002824100 195535631 4111087 X 3899732 54170 157185
ABERCROMBIE & FITCH CO 002896207 4124128 216342 X 11092 0 205250
ABERCROMBIE & FITCH CO 002896207 123223 6464 X 6464 0 0
ABITI-CONSOLIDATED INC 003924107 2426250 258800 X 3300 0 255500
A C NIELSON 004833109 38696 1625 X 1625 0 0
A C NIELSON 004833109 201172 8448 X 8448 0 0
ACORN FUND 004851101 536791 28462 X 26009 0 2453
ACORN FUND 004851101 857062 45443 X 45443 0 0
ACORN 004851200 511417 16261 X 16261 0 0
BILLITON PLC ORD (GBP) 0056650S4 3946688 1000000 X 12800 0 987200
ADAMS EXPRESS CO 006212104 15064 390 X 390 0 0
ADAMS EXPRESS CO 006212104 521013 13489 X 13069 0 420
ADAPTEC INC COM 00651F108 174460 8723 X 1452 0 7271
ADAPTEC INC COM 00651F108 83800 4190 X 0 0 4190
ADOBE SYS INC COM 00724F101 16419395 105761 X 47052 0 58709
ADOBE SYS INC COM 00724F101 60548 390 X 390 0 0
ADTRAN INC 00738A106 1253009 29450 X 0 0 29450
ADVANCED LTG TECHNOLOGIES 00753C102 2790563 225500 X 225500 0 0
ADVANCED DRAINAGE SYSTEMS INC 0075999A3 1916169 14740 X 0 0 14740
ADVANCED NUTRACEUTICALS INC 00760Q102 30975 38100 X 0 0 38100
ADVANCED MICRO DEVICES 007903107 2083607 88195 X 67248 0 20947
ADVANCED MICRO DEVICES 007903107 52826 2236 X 2236 0 0
AEGON N V ORD AMER REG (NLG) 007924103 27802207 748881 X 748881 0 0
AEGON N V ORD AMER REG (NLG) 007924103 15553259 418943 X 398697 1240 19006
ADVENT SOFTWARE INC 007974108 5125331 73350 X 3700 0 69650
AETNA INC COM NEW 008117103 1171189 20171 X 6009 0 14162
AETNA INC COM NEW 008117103 570469 9825 X 7189 27 2609
AETNA SER FD INC 008172165 288982 15380 X 15380 0 0
AFFILIATED COMPUTER SERVICES 008190100 491269 9850 X 250 0 9600
AFFYMETRIX INC 00826T108 430571 8633 X 7775 0 858
AFFYMETRIX INC 00826T108 332317 6663 X 6523 0 140
AGILENT TECHNOLOGIES INC 00846U101 20356383 415963 X 328988 304 86671
AGILENT TECHNOLOGIES INC 00846U101 17314862 353812 X 306697 24147 22968
AIM 008879306 544608 11972 X 11972 0 0
AIM 008879306 55471 1219 X 1219 0 0
AIM 008879728 462979 10590 X 10011 0 578
AIM 008879728 33390 764 X 764 0 0
AIM FDS GROUP 008879744 2470852 74311 X 74311 0 0
AIM FDS GROUP 008879744 113 3 X 3 0 0
AIM SELECT GROWTH FD 008879751 221735 7394 X 7394 0 0
AIM INTERNATIONAL MUTUAL FUNDS, INC. 008882102 1437307 61980 X 61980 0 0
AIM INTERNATIONAL MUTUAL FUNDS, INC. 008882102 15520 669 X 161 509 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 451817659 11094569 8880179 81647 2132743
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<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 4
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AIM SMALL CAP OPPORTUNITIES FUND 008883100 631503 22497 X 22497 0 0
AIM LARGE CAP OPPORTUNITY FUND 008883886 10180 718 X 0 0 718
AIM LARGE CAP OPPORTUNITY FUND 008883886 472727 33361 X 33361 0 0
AGRICULTURAL LANDS 008990103 196500 131 X 131 0 0
AGRICULTURAL LANDS 008990103 540000 360 X 0 0 360
AIR PRODS & CHEMS INC COM 009158106 3987432 110762 X 91543 2000 17219
AIR PRODS & CHEMS INC COM 009158106 2602800 72300 X 61900 4000 6400
AKZO NOBEL NV ADR 010199305 252750 6000 X 2000 0 4000
3I BIOSCIENCE INV TRUST PLC 0112187S7 27845 14000 X 14000 0 0
ALBERTA ENERGY LTD 012873105 220613 5300 X 5300 0 0
ALBERTSONS INC COM 013104104 2785681 132651 X 99653 0 32998
ALBERTSONS INC COM 013104104 1471113 70053 X 59578 4400 6075
ALCAN ALUMINIUM LTD COM NEW 013716105 535382 18501 X 3002 0 15499
ALCAN ALUMINIUM LTD COM NEW 013716105 72577 2508 X 2508 0 0
ALCOA INC 013817101 6575052 259750 X 165353 0 94397
ALCOA INC 013817101 3471248 137133 X 123215 390 13528
ALCATEL SPONSORED ADR 013904305 2590073 41194 X 4074 0 37120
ALCATEL SPONSORED ADR 013904305 308088 4900 X 4900 0 0
ALERT STAMPING & MFG CO 0144689A2 411047 32 X 32 0 0
ALEXANDER & BALDWIN INC COM 014482103 197600 7600 X 1600 0 6000
ALEXANDER & BALDWIN INC COM 014482103 154128 5928 X 5928 0 0
ALFACELL CORP 015404106 106300 100000 X 100000 0 0
ALGER FD 015565609 735823 51241 X 51241 0 0
CAPITA GROUP PLC ORD (GBP) 0173474S1 4481109 590000 X 7600 0 582400
ALLEGHENY ENERGY INC 017361106 1216861 31865 X 31865 0 0
ALLEGHENY ENERGY INC 017361106 1503920 39382 X 36082 2500 800
ALLEGHENY TECHNOLOGIES INC 01741R102 239975 13240 X 4707 0 8533
ALLEGHENY TECHNOLOGIES INC 01741R102 27188 1500 X 1500 0 0
ALLEGHENY VY BANCORP INC COM 017427105 119500 4000 X 4000 0 0
ALLEGHENY VY BANCORP INC COM 017427105 274551 9190 X 0 9190 0
ALLERGAN INC COM 018490102 7750648 91791 X 13199 0 78592
ALLERGAN INC COM 018490102 813138 9630 X 5600 0 4030
ALLETE 018522102 6035036 272770 X 16714 0 256056
ALLETE 018522102 212312 9596 X 9596 0 0
ALLIANCE BOND FUND 018528406 107073 15166 X 15166 0 0
ALLIANCE BOND FUND 018528406 25000 3541 X 2498 1043 0
ALLIANCE BD FD 018528885 307973 25473 X 25473 0 0
ALLIANCE CAP MNGMT HLDG L.P. 01855A101 626964 12508 X 11968 0 540
ALLIANCE CAP MNGMT HLDG L.P. 01855A101 1377936 27490 X 24490 3000 0
ALLIANCE CAPITAL RESERVES 018550103 47568 47568 X 47568 0 0
ALLIANCE FUND 01859K105 279172 39768 X 39768 0 0
ALLIANCE FUND 01859K105 390987 55696 X 55696 0 0
ALLIANCE GROWTH & INCOME FD INC COM 018597104 176225 44167 X 44167 0 0
ALLIANCE GROWTH & INCOME FD INC COM 018597104 90588 22704 X 22704 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 54460186 2463965 1272177 26523 1165265
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<PAGE> 5
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 5
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ALLIANCE MORTAGE SECURITIES 018639104 27214 3311 X 3311 0 0
ALLIANCE MORTAGE SECURITIES 018639104 252516 30720 X 30720 0 0
ALLIANCE 01864D104 14209 2333 X 2333 0 0
ALLIANCE 01864D104 73910 12136 X 2825 0 9311
ALLIANCE MUN INCOME FD II 01864E722 119670 11790 X 11790 0 0
ALLIANCE MUNI FUND 018642108 37203 3683 X 0 0 3683
ALLIANCE MUNI FUND 018642108 135544 13420 X 13420 0 0
ALLIANCE PREMIER GROWTH FD 01877C101 3115755 89559 X 89559 0 0
ALLIANT CORP 018802108 340251 11583 X 10383 0 1200
ALLIANT CORP 018802108 379525 12920 X 9778 2000 1142
ALLIANT TECHSYSTEMS INC 018804104 6744351 82123 X 1123 0 81000
ALLIED CAP CORP NEW 01903Q108 20750 1000 X 0 0 1000
ALLIED CAP CORP NEW 01903Q108 207500 10000 X 10000 0 0
ALLIED WASTE INDS INC 019589308 146346 15928 X 2549 0 13379
ALLIED WASTE INDS INC 019589308 289422 31500 X 31500 0 0
ALLIED ZURICH PLC 01959Q101 27729 1225 X 1105 0 120
ALLIED ZURICH PLC 01959Q101 258050 11400 X 11400 0 0
ALLMERICA FINL CORP COM 019754100 632091 9886 X 9886 0 0
ALLMERICA FINL CORP COM 019754100 326531 5107 X 4107 1000 0
ALLSTATE CORP COM 020002101 4723151 135918 X 78961 0 56957
ALLSTATE CORP COM 020002101 3167254 91144 X 84344 3078 3722
ALLTEL CORP COM 020039103 9352768 179213 X 154380 950 23883
ALLTEL CORP COM 020039103 5146847 98621 X 64437 18170 16014
ALOTTAFUN INC DEL 020526109 5200 20000 X 20000 0 0
ALPHA BETA TECHNOLOGY INCORPORATED 02071K105 360 30000 X 30000 0 0
ALSPAUGH & CO INC 021299904 644016 350 X 350 0 0
ALTERA CORP COM 021441100 72946290 1527671 X 1170798 815 356058
ALTERA CORP COM 021441100 2847571 59635 X 56855 2070 710
ALTEON WEBSYSTEMS INC 02145A109 5549619 51200 X 0 0 51200
ALZA CORP COM 022615108 11450005 132370 X 3517 0 128853
ALZA CORP COM 022615108 356034 4116 X 3316 0 800
AMAZON.COM INC 023135106 303084 7885 X 7445 0 440
AMAZON.COM INC 023135106 307965 8012 X 7012 638 362
AMBAC FINL GROUP INC COM 023139108 29300 400 X 400 0 0
AMBAC FINL GROUP INC COM 023139108 586000 8000 X 1950 0 6050
AMERADA HESS CORP COM 023551104 793818 11859 X 2540 0 9319
AMERADA HESS CORP COM 023551104 20282 303 X 103 200 0
AMEREN CORP 023608102 1239458 29599 X 19891 0 9708
AMEREN CORP 023608102 878035 20968 X 19147 0 1821
AMERICA ONLINE INC DEL COM 02364J104 40153078 747034 X 530233 1865 214936
AMERICA ONLINE INC DEL COM 02364J104 13663143 254198 X 219266 16808 18124
DIAGEO PLC ORD (GBP) 0237400S3 9945547 1161500 X 18600 0 1142900
AMCORE FINL INC 023912108 4761025 242600 X 31600 0 211000
AMERICAN BALANCED FUND 024071102 763912 51235 X 51235 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 202782329 5233455 2822169 47594 2363692
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 6
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AMERICAN BALANCED FUND 024071102 154151 10339 X 10339 0 0
NATIONAL GRID GROUP PLC ORD (GBP) 0242824S1 94939 11600 X 11600 0 0
AMERICAN CENTY INVT TR 024932105 65020 65020 X 65020 0 0
AMERICAN CENTURY 02507M303 797526 24509 X 24509 0 0
AMERICAN CENTURY 02507M303 44835 1378 X 1135 0 243
AMERICAN CENTY QUANTITATIV E 02507M402 18977229 583197 X 583197 0 0
AMERICAN CENTURY SMALL CAP 02507M840 66149 10970 X 10970 0 0
AMERICAN CENTURY 025075508 594056 54103 X 54103 0 0
AMERICAN CENTURY 025083106 152341 4607 X 4607 0 0
AMERICAN CENTURY 025083106 188926 5713 X 5713 0 0
AMERICAN CENTURY 025083882 518091 11743 X 11743 0 0
AMERICAN CENTURY 025083882 853047 19335 X 19244 91 0
TWENTIETH CENTY WORLD INVS I 025086208 79464 5957 X 5957 0 0
TWENTIETH CENTY WORLD INVS I 025086208 5800309 434806 X 434806 0 0
TWENTIETH CENTY WORLD INVS I 025086406 6521344 491806 X 491806 0 0
AMERICAN CENTURY 025086505 358562 20384 X 20384 0 0
AMERICAN ELECTRIC POWER CO INC 025537101 6420413 164100 X 126664 260 37176
AMERICAN ELECTRIC POWER CO INC 025537101 4446243 113642 X 93138 5819 14685
AMERICAN EXPRESS CO COM 025816109 60294800 992507 X 864879 5800 121828
AMERICAN EXPRESS CO COM 025816109 38964443 641390 X 359605 212233 69552
AMERICAN FINL GROUP INC OHIO 025932104 3630336 156561 X 1961 0 154600
AMERICAN FINL GROUP INC OHIO 025932104 278 12 X 0 0 12
AMERICAN GENERAL CORP 026351106 22621638 290021 X 93553 0 196468
AMERICAN GENERAL CORP 026351106 12216906 156627 X 151789 2646 2192
AMERICAN GREETINGS CORP CL A 026375105 139108 7949 X 3389 0 4560
AMERICAN GREETINGS CORP CL A 026375105 278618 15921 X 15921 0 0
AMERICAN HOME PRODS CORP COM 026609107 92719354 1639223 X 1530887 600 107736
AMERICAN HOME PRODS CORP COM 026609107 79709711 1409220 X 1239720 45774 123726
AMERICAN INTL GROUP INC COM 026874107 326873475 3416034 X 3156749 1738 257547
AMERICAN INTL GROUP INC COM 026874107 226004579 2361891 X 2180823 105455 75613
AMERICAN HERITAGE BANCO, INC CLASS A 026999011 116372 34407 X 34407 0 0
AMERICAN MUN TERM TR INC II COM 027653104 782078 74926 X 74926 0 0
AMERICAN MUT FD INC COM 027681105 232245 9779 X 9779 0 0
AMERICAN PWR CONVERSION CORP COM 029066107 1079977 56284 X 38144 0 18140
AMERICAN PWR CONVERSION CORP COM 029066107 565087 29450 X 20150 8500 800
AMERICAN SUPERCONDUCTOR CORP 030111108 1184660 24100 X 0 0 24100
AMERICAN WTR WKS CO INC 030411102 1694159 61465 X 61465 0 0
AMERICAN WTR WKS CO INC 030411102 1130772 41025 X 34825 2200 4000
AMERICREDIT CORP COM 03060R101 6824359 236850 X 10700 0 226150
AMETEK INC NEW 031100100 52970 2500 X 2500 0 0
AMETEK INC NEW 031100100 1991672 94000 X 94000 0 0
AMGEN INC 031162100 130514817 1869090 X 1549353 1905 317832
AMGEN INC 031162100 35351123 506260 X 413320 46905 46035
AMSOUTH BANCORPORATION COM 032165102 24741913 1979353 X 348587 0 1630766
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 1115848095 18140054 14266367 439926 3433761
</TABLE>
<PAGE> 6
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 7
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AMSOUTH BANCORPORATION COM 032165102 1787563 143005 X 14593 0 128412
ANADARKO PETE CORP COM 032511107 14212324 213848 X 15184 0 198664
ANADARKO PETE CORP COM 032511107 2929823 44084 X 19382 3076 21626
ANALOG DEVICES INC COM 032654105 62622962 758487 X 520327 205 237955
ANALOG DEVICES INC COM 032654105 2778658 33655 X 30545 0 3110
ANAREN MICROWAVE INC 032744104 5662344 41750 X 2175 0 39575
ANDRX CORP DEL 034553107 199823 2140 X 0 0 2140
ANDRX CORP DEL 034553107 74700 800 X 800 0 0
ANHEUSER BUSCH 035229103 18217227 430535 X 264932 0 165603
ANHEUSER BUSCH 035229103 17094367 403998 X 373778 11920 18300
AON CORP COM 037389103 3653547 93084 X 73555 0 19529
AON CORP COM 037389103 1416140 36080 X 14143 21937 0
APACHE CORP COM 037411105 4333330 73291 X 65211 0 8080
APACHE CORP COM 037411105 312180 5280 X 280 5000 0
APPLE COMPUTER INC COM 037833100 737918 28657 X 5812 0 22845
APPLE COMPUTER INC COM 037833100 63422 2463 X 2463 0 0
APPLIED DIGITAL SOLUTIONS 038188108 7562 2000 X 2000 0 0
APPLIED DIGITAL SOLUTIONS 038188108 743227 196569 X 196569 0 0
APPLIED INDL TECHNOLOGIES IN 03820C105 68386 3950 X 3950 0 0
APPLIED INDL TECHNOLOGIES IN 03820C105 206475 11926 X 11926 0 0
APPLIED MICRO CIRCUITS CORP 03822W109 14038871 67800 X 0 0 67800
APPLIED MICRO CIRCUITS CORP 03822W109 631542 3050 X 600 2400 50
APPLIED MATLS INC 038222105 32325704 545002 X 371559 0 173443
APPLIED MATLS INC 038222105 7253031 122284 X 113919 4875 3490
APPLIED TECHNOLOGY VENTURES INC COM 0382839A7 620750 24830 X 24830 0 0
APTARGROUP INC 038336103 909644 38000 X 38000 0 0
AQUA CLARA BOTTLING & DISTR 03837N102 4800 40000 X 40000 0 0
CMG PLC ORD (GBP) 0384737S7 3179735 152000 X 2000 0 150000
ARADIGM CORP COM 038505103 403709 17600 X 6100 0 11500
ARCH COAL INC 039380100 583670 58367 X 17664 0 40703
ARCH COAL INC 039380100 740 74 X 74 0 0
ARCHER DANIELS MIDLAND CO COM 039483102 754164 87439 X 42328 0 45111
ARCHER DANIELS MIDLAND CO COM 039483102 834227 96722 X 93304 0 3418
ARCHSTONE COMMUNITIES TRUST COM 039581103 7736117 314950 X 27950 0 287000
ARDEN RLTY INC COM 039793104 7512171 280169 X 55119 250 224800
ARDEN RLTY INC COM 039793104 1326922 49488 X 36388 3950 9150
ARIBA INC 04033V104 5610870 39164 X 64 0 39100
ARIBA INC 04033V104 627505 4380 X 1480 2900 0
ARKANSAS BEST CORP DEL COM 040790107 3559313 231500 X 2800 0 228700
ARNOLD WHOLESALE CORP COM 041992108 1350000 450 X 450 0 0
ARNOLD WHOLESALE CORP COM 041992108 8970000 2990 X 2337 653 0
ARMADA MID CAP GROWTH FUND 04208N689 177593411 10589947 X 10366502 1220 222224
ARMADA MID CAP GROWTH FUND 04208N689 17327921 1033269 X 776642 137794 118833
ARMADA LARGE CAP ULTRA FUND 04208N747 224197077 10915145 X 10723706 836 190603
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 654473872 27240222 24361441 197016 2681764
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 8
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ARMADA LARGE CAP ULTRA FUND 04208N747 25892029 1260566 X 1065688 19179 175699
ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 115414205 10847200 X 10130770 0 716430
ARMADA MICHIGAN MUNICIPAL BOND FUND 04208N788 32132907 3020010 X 2649649 23430 346930
ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 99074363 11020508 X 10828167 3151 189190
ARMADA U.S. GOVERNMENT INCOME FUND 04208N846 18577871 2066504 X 1543846 11120 511538
ARMADA MONEY MARKET FUND 042086108 11466567 11466567 X 11466567 0 0
ARMADA MONEY MARKET FUND 042086108 3750 3750 X 0 3750 0
ARMADA FDS 042086272 76378360 7158234 X 7071654 2768 83812
ARMADA FDS 042086272 1972300 184845 X 170703 2058 12085
ARMADA GOVERNMENT MONEY MKT 042086306 1011860 1011860 X 1011860 0 0
ARMADA TAX MANAGED EQUITY FD #233 042086330 172224974 11772042 X 11522276 168473 81293
ARMADA TAX MANAGED EQUITY FD #233 042086330 73559576 5027996 X 4382870 187589 457537
ARMADA NATIONAL TAX EXEMPT BD FD 042086363 107660564 11053446 X 10865951 23342 164153
ARMADA NATIONAL TAX EXEMPT BD FD 042086363 38845155 3988209 X 3360924 31461 595823
ARMADA TREASURY MONEY MKT FD 042086504 215 215 X 215 0 0
ARMADA TREASURY MONEY MKT FD 042086504 92000 92000 X 92000 0 0
ARMADA SMALL CAP GROWTH FUND #519 042086579 264923069 17661537 X 17359384 17776 284377
ARMADA SMALL CAP GROWTH FUND #519 042086579 34198315 2279887 X 1730930 387372 161586
ARMADA CORE EQUITY FUND #681 042086595 134605415 8590007 X 8588483 788 737
ARMADA CORE EQUITY FUND #681 042086595 2128601 135839 X 118432 2147 15260
ARMADA INTERNATIONAL EQUITY FD 042086629 572408684 41781656 X 41092396 38676 650583
ARMADA INTERNATIONAL EQUITY FD 042086629 78746042 5747886 X 4562334 792657 392895
ARMADA EQUITY INDEX FUND #42 042086645 218244198 17600339 X 17567596 3331 29412
ARMADA EQUITY INDEX FUND #42 042086645 8984659 724569 X 669027 28566 26976
ARMADA GNMA INSTL CL #666 042086660 99149305 9934800 X 9820917 18713 95170
ARMADA GNMA INSTL CL #666 042086660 15287781 1531842 X 1191280 225601 114960
ARMADA BOND FD INSTL CL #630 042086686 773213637 80711236 X 80017021 80429 613786
ARMADA BOND FD INSTL CL #630 042086686 66866173 6979767 X 5910931 537087 531750
ARMADA PA MUN BD FD 042086710 32851535 3252627 X 3198306 20852 33469
ARMADA PA MUN BD FD 042086710 9378170 928532 X 645975 247323 35235
ARMADA OHIO TAX EXEMPT BOND FD 042086751 82874383 7709245 X 7630259 35486 43500
ARMADA OHIO TAX EXEMPT BOND FD 042086751 71088197 6612856 X 6187695 193015 232145
ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 260235714 26718246 X 26626996 10061 81189
ARMADA TOTAL RETURN ADVANTAGE FUND 042086777 21754614 2233533 X 2105646 51617 76270
ARMADA INTERMEDIATE BD FUND 042086793 254617641 25184732 X 24828729 112906 243097
ARMADA INTERMEDIATE BD FUND 042086793 34897456 3451776 X 3086082 115681 250013
ARMADA LIMITED MATURITY BOND FD 042086827 148971099 15123969 X 14843143 9753 271074
ARMADA LIMITED MATURITY BOND FD 042086827 13456519 1366144 X 1110638 34141 221366
ARMADA SMALL CAP VALUE FUND #616 042086843 234905055 14108412 X 13962845 31397 114170
ARMADA SMALL CAP VALUE FUND #616 042086843 33220171 1995205 X 1643513 231530 120162
ARMADA EQUITY INCOME FUND #614 042086868 331936882 21021968 X 20792264 26273 203431
ARMADA EQUITY INCOME FUND #614 042086868 58180141 3684619 X 3197276 149774 337570
ARMADA EQUITY GROWTH FUND 042086884 990643627 33231923 X 32999339 46452 186132
ARMADA EQUITY GROWTH FUND 042086884 102794827 3448334 X 2861373 289770 297191
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 5724868606 443725438 430511950 4215495 8997996
</TABLE>
<PAGE> 7
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 9
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ARMADA FUNDS MONEY MARKET PORTFOLIO 042086983 121354038 121354038 X 121354038 0 0
ARMSTRONG HLDGS INC 042384107 116563 9764 X 5717 149 3898
ARMSTRONG HLDGS INC 042384107 843539 70660 X 4320 3480 62860
ARTESYN TECHNOLOGIES INC 043127109 3663925 125800 X 1100 0 124700
ARTESYN TECHNOLOGIES INC 043127109 29125 1000 X 0 0 1000
ARVINMERITOR INC 043353101 651746 44373 X 43785 588 0
ARVINMERITOR INC 043353101 764290 52035 X 49791 338 1906
ASHLAND INC COM 044204105 736521 21863 X 14995 0 6868
ASHLAND INC COM 044204105 123197 3657 X 2444 1200 13
ASHMAN ENTERPRISES INC 0448199B8 1478515 17406 X 9906 0 7500
ASHTABULA RUBBER CO CAP 0448829A8 2599695 4050 X 4050 0 0
ASHTON TECHNOLOGY GROUP INC 045084100 27500 10000 X 10000 0 0
ASSOCIATED BANC CORP COM 045487105 3511830 133784 X 37694 0 96090
AT HOME CORP COM 045919107 165644 11727 X 11327 0 400
AT HOME CORP COM 045919107 241877 17124 X 14551 73 2500
ASSOCIATES FIRST CAP CORP COM 046008108 4851536 127672 X 75776 366 51530
ASSOCIATES FIRST CAP CORP COM 046008108 2674269 70376 X 54827 7755 7794
ASTORIA FINCL CORP 046265104 4086525 105800 X 2100 0 103700
ASTORIA FINCL CORP 046265104 115875 3000 X 3000 0 0
ESCROW ASTRA AB CLASS A 046298972 0 35000 X 35000 0 0
ASTRAZENECA PLC 046353108 4281204 81449 X 2389 0 79060
ASTRAZENECA PLC 046353108 312067 5937 X 5937 0 0
ATLAS AIR INC COM 049164106 299975 7100 X 7100 0 0
ATLAS AIR INC COM 049164106 181675 4300 X 4300 0 0
ATMEL CORP COM 049513104 10632 700 X 0 0 700
ATMEL CORP COM 049513104 478878 31530 X 900 8000 22630
ESC AUDRE RECOGNITION SYSTEMS INC 050904994 0 32250 X 32250 0 0
AUSTRALIA & NEW ZEALAND BKG GROUP 052528304 270000 7500 X 0 0 7500
AUTOLIV INC 052800109 71663 3675 X 3675 0 0
AUTOLIV INC 052800109 357494 18333 X 17210 409 714
AUTOMATIC DATA PROCESSING INC COM 053015103 196126587 2932734 X 2810147 6340 116247
AUTOMATIC DATA PROCESSING INC COM 053015103 211157880 3157501 X 2781670 197095 178736
AUTONATION INC 05329W102 3900 650 X 650 0 0
AUTONATION INC 05329W102 3207126 534521 X 534521 0 0
AUTOZONE INC COM 053332102 324960 14323 X 4355 0 9968
AUTOZONE INC COM 053332102 124103 5470 X 5470 0 0
AVALONBAY CMNTYS INC 053484101 2102898 44097 X 43329 0 768
AVALONBAY CMNTYS INC 053484101 4685775 98259 X 86152 5185 6922
AVENTIS -SPON ADR 053561106 66652 885 X 805 0 80
AVENTIS -SPON ADR 053561106 259830 3450 X 3000 0 450
AVERY DENNISON CORP COM 053611109 32763474 706490 X 550759 200 155531
AVERY DENNISON CORP COM 053611109 1433127 30903 X 29148 300 1455
AVNET INC COM 053807103 4605546 162310 X 22310 0 140000
AVNET INC COM 053807103 73775 2600 X 600 0 2000
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SUBTOTALS FOR THIS PAGE 611235431 130106096 128681098 231478 1193520
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 10
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AVON PRODS INC COM 054303102 1984113 48541 X 31442 0 17099
AVON PRODS INC COM 054303102 264461 6470 X 2270 3000 1200
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AXA 054536107 370533 5728 X 5728 0 0
BB&T CORP 054937107 1346256 44689 X 19992 0 24697
BB&T CORP 054937107 435728 14464 X 465 13999 0
BJS WHOLESALE CLUB INC 05548J106 170625 5000 X 5000 0 0
BJS WHOLESALE CLUB INC 05548J106 84084 2464 X 2464 0 0
BP AMOCO PLC-SPONS ADR 055622104 170671395 3220215 X 2871408 6296 342511
BP AMOCO PLC-SPONS ADR 055622104 181303142 3420814 X 2758828 224674 437312
BNB BANCORP INC OF BROOKVILLE OHIO 05564B102 338436 4029 X 4029 0 0
BMC SOFTWARE INC COM 055921100 8947899 467864 X 419378 150 48336
BMC SOFTWARE INC COM 055921100 726521 37988 X 26738 750 10500
DEUTSCHE INTERNATIONAL EQUITY FUND 055922868 1009055 37125 X 37125 0 0
BABSON DAVID L GROWTH FUND INC COM 056161102 1242138 59604 X 0 0 59604
BABSON VALUE FD INC COM 056177108 263353 6392 X 6392 0 0
BAKER HUGHES INC COM 057224107 1248662 33634 X 10354 0 23280
BAKER HUGHES INC COM 057224107 237080 6386 X 3306 0 3080
BANCFIRST OHIO CORP COM 059450106 52514 3388 X 3388 0 0
BANCFIRST OHIO CORP COM 059450106 170500 11000 X 11000 0 0
BANCO SANTANDER CENT HISPANO 05964H105 5469 500 X 500 0 0
BANCO SANTANDER CENT HISPANO 05964H105 454233 41528 X 39080 2448 0
BANCWEST CORP NEW 059790105 6907293 355350 X 4150 0 351200
BANCWEST CORP NEW 059790105 46651 2400 X 2400 0 0
BANK OF AMER CORP 060505104 27653477 527990 X 390537 500 136953
BANK OF AMER CORP 060505104 6792010 129680 X 108995 2211 18474
BANK NEW YORK INC COM 064057102 59009672 1052560 X 679462 320 372778
BANK NEW YORK INC COM 064057102 3230518 57623 X 53238 2450 1935
BANK ONE CORP COM 06423A103 39092479 1012103 X 918341 1835 91927
BANK ONE CORP COM 06423A103 26749860 692553 X 534989 26253 131311
BANK PLUS CORP COM 064446107 835250 212100 X 210100 0 2000
BANK TOKYO-MITSUBISHI LTD ADR 065379109 31558 2700 X 2700 0 0
BANK TOKYO-MITSUBISHI LTD ADR 065379109 234637 20075 X 20075 0 0
BANKNORTH GROUP INC NEW 06646R107 4836403 270568 X 3930 0 266638
BANKNORTH GROUP INC NEW 06646R107 107250 6000 X 6000 0 0
BANKUNITED FINL CORP CL A 06652B103 368750 50000 X 50000 0 0
BARBER GROCERY CO INC COM 067132100 797667 1170 X 1170 0 0
BARCLAYS PLC ADR 06738E204 265351 2400 X 2400 0 0
BARD C R INC 067383109 579543 13717 X 10102 0 3615
BARD C R INC 067383109 864097 20452 X 17077 0 3375
BARRICK GOLD CORP 067901108 508450 33341 X 5430 0 27911
BARRICK GOLD CORP 067901108 34252 2246 X 2246 0 0
BARON ASSET FD 068278100 6175077 97476 X 97476 0 0
BARON ASSET FD 068278100 1198713 18922 X 17480 508 933
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 560954230 12145199 9401085 285394 2458719
</TABLE>
<PAGE> 8
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 11
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BARON ASSET FD 068278308 102101 6361 X 6361 0 0
BARON ASSET FD 068278308 202913 12643 X 12643 0 0
BARR LABS INC 068306109 6392573 96400 X 5200 0 91200
BARR LABS INC 068306109 39788 600 X 600 0 0
BARRETT RES CORP 068480201 6630207 175342 X 2142 0 173200
BARRY COUNTY SERVICE COMPANY 068810894 210000 3000 X 3000 0 0
SCOTTISH POWER PLC ORD (GBP) 0690070S2 4806309 626219 X 8300 0 617919
BATH NATIONAL CORPORATION 071122105 391500 11600 X 11600 0 0
BAUSCH & LOMB INC COM 071707103 227086 5832 X 1870 0 3962
BAUSCH & LOMB INC COM 071707103 88234 2266 X 2266 0 0
BAXTER INTL INC COM 071813109 17626222 220844 X 137273 0 83571
BAXTER INTL INC COM 071813109 3739319 46851 X 37302 5350 4199
VODAFONE GROUP PLC ORD (GBP) 0719210S0 14816838 3666388 X 0 0 3666388
BEARGRASS CORP COM 073000606 10000 20000 X 20000 0 0
BAYOU STL CORP LA PLACE CL A 073051104 17500 10000 X 10000 0 0
BAYOU STL CORP LA PLACE CL A 073051104 4375 2500 X 2500 0 0
BEA SYS INC 073325102 1588650 20400 X 400 0 20000
BEA SYS INC 073325102 155750 2000 X 2000 0 0
BEAR STEARNS COS INC COM 073902108 649341 10307 X 2087 0 8220
BEAR STEARNS COS INC COM 073902108 12411 197 X 197 0 0
BECKMAN COULTER INC 075811109 16890 219 X 219 0 0
BECKMAN COULTER INC 075811109 1534016 19890 X 19590 300 0
BECTON DICKINSON & CO COM 075887109 1056912 39977 X 22195 0 17782
BECTON DICKINSON & CO COM 075887109 716655 27107 X 24707 2400 0
BED BATH & BEYOND INC COM 075896100 797049 32678 X 4092 0 28586
BELDEN INC COM 077459105 3631163 153700 X 1800 0 151900
BELDEN INC COM 077459105 18900 800 X 800 0 0
BELLSOUTH CORP COM 079860102 63885686 1587222 X 1161014 800 425408
BELLSOUTH CORP COM 079860102 49328378 1225550 X 1115735 54855 54960
BELO A H CORP SER A 080555105 538943 29230 X 29230 0 0
BEMIS INC COM 081437105 523798 16305 X 11072 0 5233
BEMIS INC COM 081437105 300690 9360 X 9360 0 0
BENICORP COM 0820469A3 0 21000 X 0 0 21000
BERGER SMALL CAP VALUE FUND 083902106 664756 26826 X 26826 0 0
BERGER SMALL CAP VALUE FUND 083902106 114712 4629 X 1544 1383 1702
BERGER SMALL CAP VALUE FUND 083902205 11426544 459451 X 459451 0 0
BERGER SMALL CAP VALUE FUND 083902205 2877018 115682 X 97371 17859 452
THE BERGER GROWTH FUND 084036102 284039 13610 X 13610 0 0
THE BERGER GROWTH FUND 084036102 873242 41842 X 41842 0 0
BERGER SMALL COMPANY GROWTH FUND 084045103 3794268 510669 X 510669 0 0
BERGER SMALL COMPANY GROWTH FUND 084045103 18441 2482 X 2482 0 0
BERGER SMALL COMPANY GR INSTL SHS 084045871 586500 84877 X 84877 0 0
DIMENSION DATA HLDGS PLC ORD (GBP) 0843540S9 987041 100000 X 0 0 100000
BERKSHIRE HATHAWAY INC DEL 084670108 13459600 209 X 203 4 2
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 215146358 9463065 3904430 82951 5475684
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 12
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BERKSHIRE HATHAWAY INC DEL 084670108 8887200 138 X 89 33 16
BERKSHIRE HATHAWAY INC DEL 084670207 15466523 7472 X 7370 66 36
BERKSHIRE HATHAWAY INC DEL 084670207 52040204 25140 X 21721 2181 1238
BERNSTEIN SANFORD C, FD INC 085568707 1587604 77709 X 77453 0 256
BERNSTEIN SANFORD C, FD INC 085568707 482646 23624 X 21862 0 1763
BEST BUY INC COM 086516101 9028069 141895 X 70933 0 70962
BEST BUY INC COM 086516101 17815 280 X 130 0 150
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BLACKROCK FDS 091928598 147905 14006 X 14006 0 0
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BLOCK H & R INC 093671105 984171 26554 X 19615 0 6939
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SUBTOTALS FOR THIS PAGE 142251154 2024478 1131875 34908 857696
</TABLE>
<PAGE> 9
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 13
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BLOCK H & R INC 093671105 44920 1212 X 1212 0 0
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BURLINGTON NORTHERN SANTA FE CORP 12189T104 1078905 50035 X 45427 0 4608
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SUBTOTALS FOR THIS PAGE 1834773195 33403841 11365404 124689 21913749
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 14
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
BURLINGTON RES INC COM 122014103 9631680 261638 X 236889 695 24054
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CAM COMM SOLUTIONS INC 131916108 50000 10000 X 10000 0 0
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SUBTOTALS FOR THIS PAGE 84398758 2571576 1640375 42383 888818
</TABLE>
<PAGE> 10
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 15
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CAMCO FINL CORP 132618109 486094 45750 X 45750 0 0
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SUBTOTALS FOR THIS PAGE 83954155 4191213 3232527 48799 909887
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 16
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 976625986 19577307 14584416 370400 4622491
</TABLE>
<PAGE> 11
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 17
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 657648086 12703527 9737662 156053 2809812
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 18
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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CONSECO INC COM 208464107 512614 67228 X 44102 0 23126
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SUBTOTALS FOR THIS PAGE 273005278 7915835 5908294 99526 1908015
</TABLE>
<PAGE> 12
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 19
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CONSECO INC COM 208464107 122946 16124 X 3856 666 11602
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COX TECHNOLOGIES INC 224056101 9380 10000 X 10000 0 0
CRANE CO COM 224399105 153263 6700 X 2041 0 4659
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SUBTOTALS FOR THIS PAGE 169243386 3542679 1782736 19948 1739995
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 20
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
CRANE CO COM 224399105 213744 9344 X 9344 0 0
CRAY INC 225223106 75973 17000 X 17000 0 0
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DEERE & CO COM 244199105 3489721 104954 X 16348 0 88606
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SUBTOTALS FOR THIS PAGE 81336342 1657949 621343 40279 996327
</TABLE>
<PAGE> 13
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 21
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DEERE & CO COM 244199105 516007 15519 X 14919 600 0
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DEVON ENERGY CORPORATION NEW 25179M103 1002520 16667 X 3972 0 12695
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DOLLAR GEN CORP COM 256669102 103247 6164 X 6164 0 0
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SUBTOTALS FOR THIS PAGE 240018593 5863278 4215791 119449 1528039
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 22
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DOMINION RES INC VA NEW 25746U109 21999722 378894 X 126290 2597 250007
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DYCOM INDS INC COM 267475101 416250 10000 X 10000 0 0
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SUBTOTALS FOR THIS PAGE 222934106 9148280 6240493 224156 2683631
</TABLE>
<PAGE> 14
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 23
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DYNEGY INC CL A 26816Q101 108528 1904 X 1904 0 0
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EL PASO ENERGY CORP COM 283905107 1566138 25414 X 16340 28 9046
ELAN PLC ADR 284131208 5965560 108960 X 8960 0 100000
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SUBTOTALS FOR THIS PAGE 356190151 4925692 3740406 81206 1104080
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 24
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ELAN PLC ADR 284131208 446760 8160 X 7560 0 600
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ENRON CORP COM 293561106 41572192 474433 X 414126 1000 59307
ENRON CORP COM 293561106 25199473 287583 X 207756 47096 32731
ENTERGY CORP NEW COM 29364G103 1022215 27442 X 10141 0 17301
ENTERGY CORP NEW COM 29364G103 81280 2182 X 1582 0 600
ENTRAVISION COMMUNICATIONS C 29382R107 190256 10950 X 10950 0 0
EQUIFAX INC COM 294429105 409754 15211 X 5202 0 10009
EQUIFAX INC COM 294429105 114864 4264 X 4264 0 0
EQUITABLE BK MD 29444Q105 564396 42000 X 42000 0 0
EQUITABLE RESOURCES INC COM 294549100 9053626 142858 X 12758 0 130100
EQUITABLE RESOURCES INC COM 294549100 1005191 15861 X 11712 3137 1012
EQUITY INCOME FD UNIT 294700703 493033 3163 X 3163 0 0
EQUITY INCOME FD UNIT 294700703 548680 3520 X 1550 0 1970
EQUITY INV FD 29471Q309 184733 179352 X 179352 0 0
EQUITY INV FD 294711759 13710 16720 X 16720 0 0
EQUITY OFFICE PROPERTIES TR 294741103 40693 1310 X 1310 0 0
EQUITY OFFICE PROPERTIES TR 294741103 271801 8750 X 8400 350 0
EQUITY RESIDENTIAL PROPERTIES TRUST 29476L107 169728 3536 X 2310 0 1226
EQUITY RESIDENTIAL PROPERTIES TRUST 29476L107 447696 9327 X 8850 477 0
ERICO HOLDINGS 2948209B3 678600 936 X 936 0 0
ERICSSON L M TEL CO 294821400 15411445 1040400 X 657145 0 383255
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 248457963 5182534 3734159 167463 1280912
</TABLE>
<PAGE> 15
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 25
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ERICSSON L M TEL CO 294821400 15718341 1061118 X 908678 109320 43120
ERIE INDTY CO 29530P102 86494805 2944504 X 2944504 0 0
ERIE INDTY CO 29530P102 53043613 1805740 X 0 1805740 0
ESAR CORP OHIO COM 296990252 215908 7711 X 7711 0 0
ESSEX PPTY TR INC 297178105 5687013 102700 X 1200 0 101500
ESSEX PPTY TR INC 297178105 387625 7000 X 7000 0 0
AMERICAN EUROPACIFIC GROWTH FUND 298706102 1622551 42620 X 42620 0 0
AMERICAN EUROPACIFIC GROWTH FUND 298706102 1755528 46113 X 45592 0 521
EUROPA CRUISES CORP 298738105 7200 30000 X 30000 0 0
EVERGREEN FDS 30023R803 235232 14171 X 14171 0 0
EVERGREEN FDS 300237351 315599 11565 X 11565 0 0
EVERGREEN FDS 300250404 1954364 1954364 X 1954364 0 0
EVERGREEN MUNICIPAL BOND FUND 300258746 107718 15589 X 15589 0 0
EVERGREEN MUNICIPAL BOND FUND 300258746 120579 17450 X 12155 0 5295
EXAR CORP 300645108 9680000 80000 X 6000 0 74000
EXCALIBUR HOLDINGS INC 3006499A0 1 100000 X 100000 0 0
EXCEL TECHNOLOGY INC 30067T103 264520 8250 X 8250 0 0
EXELIXIS INC 30161Q104 462970 14756 X 12656 0 2100
EXELIXIS INC 30161Q104 340450 10851 X 10561 0 290
EXETER FD INC 301722377 26503003 1933115 X 1933115 0 0
EXODUS COMMUNICATIONS INC 302088109 2310158 46788 X 44788 62 1938
EXODUS COMMUNICATIONS INC 302088109 2218024 44922 X 41440 0 3482
EXTR@CT INC 302258108 18301 15480 X 15480 0 0
EXTREME NETWORKS INC 30226D106 4487255 39190 X 0 0 39190
EXTREME NETWORKS INC 30226D106 22900 200 X 200 0 0
EXXON MOBIL CORP 30231G102 604097859 6778097 X 5479628 30134 1268335
EXXON MOBIL CORP 30231G102 652093449 7316617 X 5481185 911632 923799
F & M NATL CORP COM 302374103 440495 18025 X 18025 0 0
FFY FINANCIAL CORP COM 30242U108 122400 10200 X 9200 0 1000
FMC CORP COM NEW 302491303 356440 5315 X 1252 0 4063
FMC CORP COM NEW 302491303 37622 561 X 561 0 0
F N B CORP COM 302520101 949478 44420 X 44420 0 0
F N B CORP COM 302520101 594482 27812 X 619 27193 0
FPA CAP FD INC COM 302539101 32985 1234 X 1234 0 0
FPA CAP FD INC COM 302539101 268072 10029 X 10029 0 0
FPIC INS GROUP INC 302563101 4792200 342300 X 4100 0 338200
FPL GROUP INC COM 302571104 10838625 164846 X 152174 0 12672
FPL GROUP INC COM 302571104 6638843 100971 X 91340 3328 6303
F S BANCORP 30262T106 106560 2368 X 2368 0 0
F S BANCORP 30262T106 154080 3424 X 3424 0 0
F Y I INC 302712104 282181 7550 X 7550 0 0
FARMERS CAPITAL BANCORP COM 309562106 531882 14800 X 7300 0 7500
FARMERS CAPITAL BANCORP COM 309562106 18867 525 X 525 0 0
FARMERS NATL BANC CORP COM 309627107 1674592 209324 X 209324 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 1498004770 25412615 19691897 2887409 2833308
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 26
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FARMERS NATL BANC CORP COM 309627107 325544 40693 X 23923 16770 0
FASTLANE FOOTWEAR INC 31187C103 900 10000 X 10000 0 0
FREDDIE MAC COM 313400301 61807579 1143251 X 796305 1090 345856
FREDDIE MAC COM 313400301 6207838 114826 X 106521 4250 4055
FANNIE MAE COM 313586109 129246028 1807637 X 1692895 2940 111802
FANNIE MAE COM 313586109 51913898 726068 X 574299 116715 35054
FEDERATED 313900102 887351 24759 X 24759 0 0
FEDERATED 313900102 572688 15979 X 15979 0 0
FEDERATED SHORT TERM MUNI 313907107 2892542 286959 X 282073 0 4886
FEDERATED SHORT TERM MUNI 313907107 1266297 125625 X 101945 13907 9773
FEDERATED STK & BD FD INC NE 313911109 94584 5129 X 5129 0 0
FEDERATED STK & BD FD INC NE 313911109 100453 5448 X 5448 0 0
FEDERATED GOVT INCOME SECS INC CL F 313912107 184125 21790 X 21790 0 0
FEDERATED GOVT INCOME SECS INC CL F 313912107 191476 22660 X 1030 21630 0
FEDERATED MUN SECS FD INC CL A 313913105 209395 20919 X 20919 0 0
FEDERATED MUN SECS FD INC CL A 313913105 45549 4550 X 4550 0 0
FEDERATED MUN SECS FD INC 313913204 143583 14344 X 14344 0 0
FEDERATED EQUITY INCOME FUND 313915100 28011915 1260095 X 1243009 6624 10462
FEDERATED EQUITY INCOME FUND 313915100 3196831 143807 X 65377 65317 13113
FEDERATED ARMS FD INSTL SHS 314082108 112144 11817 X 11817 0 0
FEDERATED DEPT STORES INC DEL NEW 31410H101 886395 33929 X 8847 0 25082
FEDERATED DEPT STORES INC DEL NEW 31410H101 6218 238 X 238 0 0
FEDERATED FD U S GOVT SECS INC CL A 314182106 137315 18068 X 18068 0 0
FEDERATED FD U S GOVT SECS INC CL A 314182106 90403 11895 X 11895 0 0
FEDERATED 314184102 1460456 133011 X 133011 0 0
FEDERATED 314184102 501890 45709 X 42712 0 2997
FEDERATED HIGH YIELD TR SBI 314197104 56 8 X 8 0 0
FEDERATED HIGH YIELD TR SBI 314197104 489447 65874 X 65874 0 0
FEDERATED INCOME TRUST 314199100 12893567 1286783 X 1272310 8522 5951
FEDERATED INCOME TRUST 314199100 9502019 948305 X 465804 388731 93771
FEDERATED 31420C209 21660 2525 X 2525 0 0
FEDERATED 31420C209 274363 31977 X 31977 0 0
FEDERATED INCOME SECS TR 31420C407 187083 19467 X 19467 0 0
FEDERATED U S GOVT SECURITIES FUND 31428M100 31809786 3076382 X 3064935 7574 3872
FEDERATED U S GOVT SECURITIES FUND 31428M100 5102049 493428 X 303169 142100 48159
FEDERATED U S GOVT SECURITIES FUND 31428P103 191525 18206 X 18206 0 0
FEDERATED U S GOVT SECURITIES FUND 31428P103 18719 1779 X 1779 0 0
FEDEX CORP 31428X106 1783177 40216 X 11773 0 28443
FEDEX CORP 31428X106 870926 19642 X 16262 0 3380
FIDELITY ADVISOR FDS 315805101 12394418 168380 X 162067 559 5753
FIDELITY ADVISOR FDS 315805101 4560804 61959 X 29733 27821 4405
FIDELITY ADVISOR SER I 315805200 874107 12157 X 12157 0 0
FIDELITY ADVISOR SER II 315807206 4336270 100937 X 100937 0 0
FIDELITY ADVISOR SER II 315807206 191711 4463 X 4463 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 375995084 12401694 10820329 824550 756814
</TABLE>
<PAGE> 16
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 27
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FIDELITY ADVISOR SER II 315807305 639869 63103 X 63103 0 0
FIDELITY DIVERSIFIED INTERNATIONAL 315910802 249881 10468 X 10468 0 0
FIDELITY DIVERSIFIED INTERNATIONAL 315910802 599499 25115 X 25115 0 0
FIDELITY SPARTAN US EQUITY INDX #650 315911206 338759 6651 X 6651 0 0
FIDELITY SPARTAN US EQUITY INDX #650 315911206 8149 160 X 0 160 0
FIDELITY SPARTAN 500 INDEX FD 315912204 2528541 25507 X 25507 0 0
FIDELITY ADVISOR SER VIII 315920504 485734 47250 X 47250 0 0
FIDELITY FEDERAL BANCORP COM 315921106 63410 28182 X 28182 0 0
FIDELITY CAPITAL & INCOME FD 316062108 140556 16174 X 16174 0 0
FIDELITY CAPITAL & INCOME FD 316062108 0 0 X 0 0 0
FIDELITY STOCK SELECTOR 316066307 2907849 88844 X 88844 0 0
FIDELITY CASH RESERVES FD #55 316067107 52211 52211 X 52211 0 0
FIDELITY ASSET MANAGER FUND 316069103 51456 2693 X 2693 0 0
FIDELITY ASSET MANAGER FUND 316069103 195422 10226 X 4675 0 5552
FIDELITY CONTRAFUND 316071109 3126977 53553 X 53553 0 0
FIDELITY CONTRAFUND 316071109 53603 918 X 918 0 0
FIDELITY SPARTAN MUNICIPAL INCOME 316089507 496562 40470 X 40470 0 0
FIDELITY SPARTAN MUNICIPAL INCOME 316089507 564379 45997 X 21482 0 24514
FIDELITY EQUITY INCOME FUND 316138106 1878480 34974 X 34206 0 768
FIDELITY EQUITY INCOME FUND 316138106 1809594 33692 X 31957 0 1735
FIDELITY EXCHANGE FUND 316141100 754051 2775 X 2775 0 0
FIDELITY EXCHANGE FUND 316141100 14374827 52901 X 52901 0 0
FIDELITY EQUITY INCOME II 316145101 749251 26654 X 26654 0 0
FIDELITY EQUITY INCOME II 316145101 194774 6929 X 1138 0 5791
FIDELITY RETIREMENT GROWTH 316145309 17769 600 X 600 0 0
FIDELITY RETIREMENT GROWTH 316145309 506576 17108 X 17108 0 0
FIDELITY FIXED INCOME TR 316146406 209274 19669 X 19669 0 0
FIDELITY FUND 316153105 91300 2381 X 2381 0 0
FIDELITY FUND 316153105 654583 17073 X 7629 0 9444
FIDELITY SPARTAN U S TREAS 31617H300 345000 345000 X 345000 0 0
FIDELITY FDS 316176106 27812 27812 X 27812 0 0
FIDELITY MAGELLAN 316184100 29399690 219663 X 219663 0 0
FIDELITY MAGELLAN 316184100 2300319 17187 X 15651 0 1536
FIDELITY GROWTH COMPANY 316200104 345209 3698 X 3591 0 107
FIDELITY GROWTH COMPANY 316200104 569209 6098 X 5012 1085 0
FIDELITY AGGRESSIVE GROWTH 316200203 273142 4667 X 4667 0 0
FIDELITY AGGRESSIVE GROWTH 316200203 86492 1478 X 1478 0 0
FIDELITY NEW YORK MUN TR 316337104 528401 528401 X 105665 422736 0
FIDELITY PURITAN FUND 316345107 272825 14458 X 14458 0 0
FIDELITY PURITAN FUND 316345107 268425 14225 X 14225 0 0
FIDELITY SCH STR TR 31638R204 69339 7253 X 7253 0 0
FIDELITY SCH STR TR 31638R204 282020 29500 X 7874 0 21626
FIDELITY GROWTH & INCOME 316389204 4191428 93538 X 93538 0 0
FIDELITY GROWTH & INCOME 316389204 49310 1100 X 1100 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 72751957 2046356 1551301 423981 71073
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 28
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FIDELITY BLUE CHIP GROWTH 316389303 201943 3389 X 3389 0 0
FIDELITY BLUE CHIP GROWTH 316389303 157187 2638 X 0 0 2638
FIDELITY DIVIDEND GROWTH 316389402 206835 6762 X 6292 0 469
FIDELITY DIVIDEND GROWTH 316389402 134195 4387 X 804 0 3583
FIDELITY SELECT BIOTECHNOLOGY 316390772 2722969 27639 X 27639 0 0
FIDELITY SELECT BIOTECHNOLOGY 316390772 599363 6084 X 6084 0 0
FIDELITY SELECT ELECTRONICS 316390863 231566 2309 X 2309 0 0
FIDELITY SELECT ELECTRONICS 316390863 511300 5099 X 5099 0 0
FIDELITY SPARTAN OHIO MUNI INCOME FD 316412105 528610 47324 X 47324 0 0
FIDELITY SPARTAN OHIO MUNI INCOME FD 316412105 406025 36350 X 36350 0 0
FIDELITY DAILY INCOME FD 316448109 74485 74485 X 74485 0 0
FIDELITY SPARTAN MUNICIPAL MONEY 316448406 65996 65996 X 0 0 65996
FIFTH THIRD BANCORP 316773100 52365462 971981 X 610097 0 361884
FIFTH THIRD BANCORP 316773100 65887771 1222975 X 1151255 0 71720
UNITED ASSOCIATION S&P 500 INDEX 317609808 115165662 11041770 X 11041770 0 0
FIRST AUSTRALIA 318653102 55440 13200 X 13200 0 0
FIRST AUSTRALIA 318653102 12600 3000 X 3000 0 0
FIRST BELL BANCORP INC 319301107 237900 15600 X 15600 0 0
FIRST BLANCHESTER BANCSHARES INC COM 319320982 205920 1584 X 1584 0 0
FIRST BUSEY CORPORATION CLASS A 319383105 249750 13500 X 13500 0 0
FIRST BUSEY CORPORATION CLASS A 319383105 18500 1000 X 0 0 1000
FIRST CITIZEN BANCSHARES CL-A 31946M103 715630 10000 X 10000 0 0
FIRST COMWLTH FINL CORP PA 319829107 659881 68113 X 36640 0 31473
FIRST COMWLTH FINL CORP PA 319829107 61809 6380 X 0 6380 0
FIRST DATA CORP COM 319963104 2317452 59326 X 26096 0 33230
FIRST DATA CORP COM 319963104 2138152 54736 X 48386 0 6350
FIRST DEFIANCE FINL CORP COM 32006W106 199863 22207 X 22207 0 0
FIRST FINL BANCORP COM 320209109 78215 4966 X 4966 0 0
FIRST FINL BANCORP COM 320209109 276712 17569 X 17569 0 0
FIRST FINL CORP IND COM 320218100 19649290 644239 X 20655 623584 0
FIRST FRANKLIN CORP COM 320272107 330706 37000 X 37000 0 0
FIRST INDL RLTY TR INC 32054K103 6534375 212500 X 2500 0 210000
FIRST INVESTORS INSURED TAX EXEMPT 32060M101 196668 19786 X 19786 0 0
FIRST MIDWEST BANCORP INC 320867104 5298615 199009 X 41609 0 157400
FIRST HEALTH GROUP CORP 320960107 4750425 147300 X 1800 0 145500
FIRST HEALTH GROUP CORP 320960107 641775 19900 X 19900 0 0
FIRST TENN NATL CORP COM 337162101 49261732 2410301 X 410301 0 2000000
FIRST TENN NATL CORP COM 337162101 8175 400 X 400 0 0
FIRST UNION CORP COM 337358105 19716888 612554 X 117110 0 495444
FIRST UNION CORP COM 337358105 3070542 95394 X 68252 17336 9806
FIRSTAR CORP NEW WIS 33763V109 14085980 629541 X 552012 3225 74304
FIRSTAR CORP NEW WIS 33763V109 6331834 282987 X 256712 9875 16400
FIRSTAR STELLER FDS TREAS FD 33764B102 1366445 1366445 X 1366445 0 0
FISERV INC COM 337738108 540073 9020 X 850 0 8170
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SUBTOTALS FOR THIS PAGE 378270716 20496745 16140977 660400 3695367
</TABLE>
<PAGE> 17
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 29
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FISERV INC COM 337738108 17963 300 X 300 0 0
FIRSTMERIT CORP COM 337915102 3602928 157072 X 157072 0 0
FIRSTMERIT CORP COM 337915102 4964357 216425 X 196333 0 20092
FIRSTENERGY CORP 337932107 1473160 54687 X 30089 0 24598
FIRSTENERGY CORP 337932107 690798 25644 X 23485 0 2159
FIRSTAR FDS INSTITUTIONAL 337938641 889790 889790 X 889790 0 0
FIRSTMERIT GOVT MONEY MARKET 337944201 178424 178424 X 178424 0 0
FLAG INVESTORS COMMUNICATIONS FUND 338331101 172916 4813 X 4813 0 0
FLAG INVESTORS COMMUNICATIONS FUND 338331101 933526 25982 X 25982 0 0
FLEETBOSTON FINL CORP 339030108 20547618 526862 X 437906 523 88433
FLEETBOSTON FINL CORP 339030108 9753159 250081 X 237594 0 12487
FLEET FDS 339099905 150560 150560 X 150560 0 0
FLEX FDS 339370801 4001945 4001945 X 0 4001945 0
FLORIDA PROGRESS CORP COM 341109106 1002010 18928 X 11978 0 6950
FLORIDA PROGRESS CORP COM 341109106 583324 11019 X 10219 0 800
FLOWERS INDUSTRIES INC COM 343496105 74198 3805 X 3805 0 0
FLOWERS INDUSTRIES INC COM 343496105 152432 7817 X 7817 0 0
FLOWSERVE CORP 34354P105 3677871 223742 X 119859 0 103883
FLUOR CORP COM 343861100 215730 7191 X 1811 0 5380
FLUOR CORP COM 343861100 74760 2492 X 1292 0 1200
FORD MONEY MARKET ACCOUNT 3453329A0 90319 90319 X 90319 0 0
FORD MTR CO DEL 345370860 19892525 785862 X 365029 958 419875
FORD MTR CO DEL 345370860 5874114 232059 X 180097 25477 26485
FOREIGN SECURITIES MANAGED BY 3454579A5 1000000 1 X 1 0 0
FOREST LABS INC CL A COM 345838106 504627 4400 X 300 0 4100
FOREST LABS INC CL A COM 345838106 98632 860 X 0 0 860
FORT JAMES CORP 347471104 1737537 56851 X 34538 0 22313
FORT JAMES CORP 347471104 2445162 80004 X 80004 0 0
FORTUNE BRANDS INC 349631101 4132887 155958 X 127205 0 28753
FORTUNE BRANDS INC 349631101 3295355 124353 X 92500 12068 19785
FORTUNE ENTMT CORP 349644104 24500 70000 X 70000 0 0
FOUNDATION HEALTH SYS INC 350404109 2009963 120900 X 1500 0 119400
FOUNDATION HEALTH SYS INC 350404109 56525 3400 X 3000 0 400
FOUNDRY NETWORKS INC 35063R100 1257765 18790 X 0 0 18790
FOUNDRY NETWORKS INC 35063R100 1472636 22000 X 22000 0 0
4FRONT SOFTWARE INTL INC COM 351042106 255541 14050 X 14050 0 0
FRANCHISE FIN CORP AMER COM 351807102 67500 3000 X 3000 0 0
FRANCHISE FIN CORP AMER COM 351807102 294525 13090 X 13090 0 0
FRANKLIN CUSTODIAN FDS INC 353496300 310293 132039 X 132016 0 24
FRANKLIN CUSTODIAN FDS INC 353496300 86809 36940 X 36940 0 0
FRANKLIN CUSTODIAN FDS INC 353496607 420070 63359 X 62359 1000 0
FRANKLIN CUSTODIAN FDS INC 353496607 270818 40847 X 29674 0 11173
FRANKLIN CUSTODIAN FDS INC 353496847 1006508 430132 X 430132 0 0
FRANKLIN ELEC INC 353514102 650670 9430 X 9430 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 100412750 9266223 4286313 4041971 937940
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 30
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
FRANKLIN ELEC INC 353514102 157734 2286 X 2286 0 0
FRANKLIN FED TAX FREE INCOME FD 353519101 685523 59046 X 57478 0 1568
FRANKLIN FED TAX FREE INCOME FD 353519101 667108 57460 X 54588 0 2872
FRANKLIN 353538101 11669 5140 X 5140 0 0
FRANKLIN 353538101 38108 16788 X 0 0 16788
FRANKLIN HIGH INCOME TR 353538200 48626 21327 X 21327 0 0
FRANKLIN 353612302 14 2 X 0 0 2
FRANKLIN 353612302 414265 44497 X 29955 0 14542
FRANKLIN RES INC COM 354613101 3510192 79005 X 58494 0 20511
FRANKLIN RES INC COM 354613101 1249105 28114 X 26964 950 200
FRANKLIN STRATEGIC SER 354713109 911740 17990 X 17990 0 0
FRANKLIN SMALL CAP GROWTH FUND 354713869 31285596 613082 X 610189 629 2264
FRANKLIN SMALL CAP GROWTH FUND 354713869 4812579 94309 X 74346 11404 8559
FRANKLIN TEMPLETON FD ALLOCA 35472P604 310320 20702 X 20702 0 0
FRANKLIN TAX FREE TR 354723108 218227 18861 X 18067 0 794
FRANKLIN TAX FREE TR 354723108 77191 6672 X 3385 0 3287
FRANKLIN MICHIGAN INSURED 354723306 799960 68373 X 68373 0 0
FRANKLIN MICHIGAN INSURED 354723306 1078972 92220 X 82580 0 9639
FRANKLIN TAX FREE TR 354723504 607146 51236 X 51236 0 0
FRANKLIN TAX FREE TR 354723504 739923 62441 X 58637 3804 0
FRANKLIN MICHIGAN INSURED TAX-FREE 354723645 297813 25281 X 25281 0 0
FRANKLIN TAX FREE TR 354723702 80571 7703 X 7703 0 0
FRANKLIN TAX FREE TR 354723702 323098 30889 X 30889 0 0
FRANKLIN TAX FREE TR 354723728 173747 16284 X 16284 0 0
FRANKLIN PENNSYLVANIA TAX-FREE 354723801 132360 13397 X 13397 0 0
FRANKLIN PENNSYLVANIA TAX-FREE 354723801 455770 46131 X 46131 0 0
FRANKLIN TAX FREE TR 354723850 26943 2410 X 2410 0 0
FRANKLIN TAX FREE TR 354723850 196404 17567 X 17567 0 0
FRANKLIN TAX FREE TR 354723868 78368 6985 X 6985 0 0
FRANKLIN TAX FREE TR 354723868 51701 4608 X 4608 0 0
FREEMARKETS INC 356602102 4087579 71555 X 71555 0 0
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FREEPORT-MCMORAN COPPER & GOLD 35671D857 141810 16091 X 4564 0 11527
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GCM DOLL INC 3615619A3 29750 29750 X 29750 0 0
GCM - COMPASS, LCC 3615619B1 43186 42000 X 42000 0 0
GCM INNOVATION, LCC 3615629A1 17500 17500 X 17500 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 70213955 2303101 2168777 16787 117536
</TABLE>
<PAGE> 18
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 31
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
GCM VENTURE SPINOUT FUND, L.P. 3615639A9 202873 4 X 4 0 0
GCM - INNOVATION A.S., LLC 3615679A0 30300 30000 X 30000 0 0
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GENUINE PARTS CO COM 372460105 2172877 113984 X 96513 400 17071
GENUINE PARTS CO COM 372460105 426744 22386 X 21576 810 0
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SUBTOTALS FOR THIS PAGE 1797767897 32315786 28270747 1416460 2628579
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 32
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
GENZYME CORP COM-GEN DIV 372917104 53187 780 X 580 0 200
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SUBTOTALS FOR THIS PAGE 134970341 47519480 2659331 50435 44809714
</TABLE>
<PAGE> 19
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 33
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
GUIDANT CORP COM 401698105 18059088 255476 X 225998 195 29283
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AXA ORD (EUR) 4026927S0 454046 3186 X 900 0 2286
H & Q LIFE SCIENCES INVS 404053100 327221 10450 X 0 1000 9450
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HARRAH'S ENTERTAINMENT INC 413619107 297193 10807 X 1780 0 9027
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SUBTOTALS FOR THIS PAGE 236085248 5640964 4084059 65802 1491103
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 34
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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SUBTOTALS FOR THIS PAGE 329911066 6761247 5098384 263786 1399078
</TABLE>
<PAGE> 20
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 35
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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ITT INDUSTRIES INC COM 450911102 327364 10092 X 3772 100 6220
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SUBTOTALS FOR THIS PAGE 480668125 10549542 9055890 163757 1329895
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 36
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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INTERGRATED DEVICE TECHNOLOGY COM 458118106 8276225 91450 X 0 0 91450
INTERGRATED DEVICE TECHNOLOGY COM 458118106 788255 8710 X 0 0 8710
INTEGRA BK CORP 45814P105 308835 13919 X 13919 0 0
INTEL CORP COM 458140100 280584083 6750814 X 6023410 13835 713569
INTEL CORP COM 458140100 146948935 3535571 X 2943696 316275 275600
AMERICAN 458809100 578142 44032 X 30765 0 13267
FEDERATED 458810108 97908 9675 X 9675 0 0
FEDERATED 458810108 23275 2300 X 2300 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 561515620 14265367 10891234 393775 2980358
</TABLE>
<PAGE> 21
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 37
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
INTERNATIONAL BUSINESS MACHS CORP 459200101 248326991 2207351 X 1973341 2390 231620
INTERNATIONAL BUSINESS MACHS CORP 459200101 119026967 1058017 X 858741 52977 146299
INTERNATIONAL FLAVORS & 459506101 250664 13735 X 6325 0 7410
INTERNATIONAL FLAVORS & 459506101 467127 25596 X 22996 2400 200
INTERNATIONAL PAPER CO COM 460146103 4143333 144427 X 92348 0 52079
INTERNATIONAL PAPER CO COM 460146103 1775213 61880 X 43162 2150 16568
INTERNATIONAL RESEARCH AND 460263106 1 41200 X 41200 0 0
INTERPUBLIC GROUP COS INC COM 460690100 17391478 510568 X 423499 0 87069
INTERPUBLIC GROUP COS INC COM 460690100 26938178 790834 X 756254 1000 33580
INTRANET SOLUTIONS INC 460939309 5225000 104500 X 4350 0 100150
INTRANET SOLUTIONS INC 460939309 55000 1100 X 1100 0 0
SCUDDER FUNDS 460965767 173629 6428 X 6428 0 0
SCUDDER FUNDS 460965767 136325 5047 X 5047 0 0
SCUDDER CAPITAL GROWTH AARP 460965833 211507 2882 X 2882 0 0
SCUDDER CAPITAL GROWTH AARP 460965833 49375 673 X 673 0 0
SCUDDER GROWTH & INCOME FUND 460965882 993969 36814 X 36814 0 0
SCUDDER GROWTH & INCOME FUND 460965882 123244 4565 X 4011 0 553
INTERWOVEN INC 46114T102 6376753 56400 X 2600 0 53800
INTIMATE BRANDS INC COM 461156101 285627 15284 X 15184 0 100
INTIMATE BRANDS INC COM 461156101 471872 25250 X 25250 0 0
INTRAWARE INC 46118M103 74690 10000 X 10000 0 0
INTUIT INC COM 461202103 3556800 62400 X 100 0 62300
INTUIT INC COM 461202103 459420 8060 X 1200 3600 3260
INVACARE CORP COM 461203101 72603 2260 X 2260 0 0
INVACARE CORP COM 461203101 422669 13157 X 13157 0 0
INVESCO STK FDS INC 46127G105 97039 10412 X 10412 0 0
INVESCO STK FDS INC 46127G105 363988 39054 X 39054 0 0
INVESCO DYNAMICS FUND 46127G204 18141743 568707 X 568707 0 0
INVESCO DYNAMICS FUND 46127G204 119495 3746 X 3746 0 0
INVESCO COMBINATION STK & BD 46128W109 99080 6162 X 6162 0 0
INVESCO COMBINATION STK & BD 46128W109 98887 6150 X 6150 0 0
INVESCO BALANCED FUND 46128W208 14377679 775914 X 775914 0 0
INVESTMENT CO OF AMERICA COM 461308108 28785595 881912 X 881912 0 0
INVESTMENT CO OF AMERICA COM 461308108 572165 17530 X 17530 0 0
INVESTORS FINL SERVICES CORP 461915100 2051499 32499 X 1624 0 30875
INVESTORS FINL SERVICES CORP 461915100 3093 49 X 49 0 0
IONA TECHNOLOGIES PLC 46206P109 7283600 104800 X 5400 0 99400
IPALCO ENTERPRISES INC COM 462613100 2771050 121139 X 121139 0 0
IPALCO ENTERPRISES INC COM 462613100 1795001 78470 X 53874 1800 22796
IRWIN FINL CORP COM 464119106 884250 54000 X 54000 0 0
NORSK HYDRO AS ORD (NOK) 4645805S4 8359517 194500 X 2550 0 191950
I2 TECHNOLOGIES INCORPORATED 465754109 200344 1071 X 601 0 470
IVAX CORP COM 465823102 220340 4790 X 600 0 4190
IVAX CORP COM 465823102 62376 1356 X 431 100 825
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 523295176 8110689 6898777 66417 1145494
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 38
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
JDS UNIPHASE CORP 46612J101 19222800 203012 X 94578 0 108434
JDS UNIPHASE CORP 46612J101 3843386 40590 X 30240 5200 5150
J J CARTER & SON MOVING & STORAGE 46618C902 360000 120 X 0 0 120
JPE INCORPORATED 466230109 25526 170173 X 0 0 170173
JACK HUELSMAN CHEVROLET-OLDSMOBILE 4663609A4 2233129 68 X 68 0 0
JACK HUELSMAN NISSON INC 4663629A0 307711 85 X 85 0 0
JACK IN THE BOX INC 466367109 3091360 144200 X 13300 0 130900
JACK IN THE BOX INC 466367109 96471 4500 X 4500 0 0
JAMES ADVANTAGE FUNDS 470259102 423284 25017 X 25017 0 0
JANUS FUND INCORPORATED 471023101 44206684 966900 X 961693 0 5207
JANUS FUND INCORPORATED 471023101 2476535 54167 X 36797 95 17276
JANUS WORLDWIDE FUND 471023309 28915694 392024 X 389543 111 2370
JANUS WORLDWIDE FUND 471023309 2958695 40112 X 38321 942 850
JANUS 471023408 23291804 308093 X 307812 0 280
JANUS 471023408 397003 5251 X 4585 666 0
JANUS INVT FD 471023606 97688 10794 X 10794 0 0
JANUS OLYMPUS FUND 471023754 492054 9114 X 5609 0 3504
JANUS OLYMPUS FUND 471023754 112624 2086 X 1679 0 407
JANUS INVT FD 471023846 392797 11184 X 11184 0 0
JANUS INVT FD 471023846 643079 18311 X 2705 13748 1858
JANUS MERCURY FUND 471023853 17461 410 X 410 0 0
JANUS MERCURY FUND 471023853 227829 5354 X 4609 226 520
AVENTIS SA ORD (FRF) 4736817S7 11429550 152143 X 4843 0 147300
CIE FINANCIAL RICHEMONT (CHF) 4738211S5 4020065 1420 X 20 0 1400
JEFFERSON-PILOT CORP COM 475070108 833573 12281 X 4885 0 7396
JEFFERSON-PILOT CORP COM 475070108 643727 9484 X 8864 0 620
THE SWATCH GROUP AG-B ORD (CHF) 4762403S3 3886198 2736 X 36 0 2700
SAIPEM ORD (ITL) 4768768S9 4606733 794740 X 10000 0 784740
JOHN HANCOCK SER TR 478032105 8959 583 X 583 0 0
JOHN HANCOCK SER TR 478032105 462965 30141 X 30141 0 0
JOHNSON & JOHNSON 478160104 145436042 1548213 X 1354295 21380 172538
JOHNSON & JOHNSON 478160104 107467696 1144028 X 736250 277907 129871
JOHNSON CTLS INC COM 478366107 1631010 30665 X 22510 0 8155
JOHNSON CTLS INC COM 478366107 449811 8457 X 6457 2000 0
JONES APPAREL GROUP INC COM 480074103 1325 50 X 50 0 0
JONES APPAREL GROUP INC COM 480074103 775125 29250 X 29250 0 0
SKANDINAVISKA ENSKILDA BAN-A ORD 4813345S5 3951794 330000 X 4250 0 325750
KLA-TENCOR CORP COM 482480100 776806 18860 X 6013 0 12847
KLA-TENCOR CORP COM 482480100 291693 7082 X 202 0 6880
K MART CORP COM 482584109 340908 56818 X 21097 0 35721
K MART CORP COM 482584109 64884 10814 X 6814 0 4000
K V PHARMACEUTICAL CO 482740206 3161250 90000 X 3600 0 86400
K V PHARMACEUTICAL CO 482740206 189675 5400 X 0 0 5400
KANSAS CITY PWR & LT CO COM 485134100 192527 7214 X 6214 0 1000
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 424455930 6701944 4199903 322275 2179767
</TABLE>
<PAGE> 22
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 39
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
KANSAS CITY PWR & LT CO COM 485134100 210835 7900 X 5750 0 2150
KAUFMAN & BROAD HOME CORP COM 486168107 2215273 82236 X 1562 0 80674
KAUFMAN & BROAD HOME CORP COM 486168107 1482 55 X 55 0 0
KAUFMANN FD INC COM 486250103 234446 33302 X 33302 0 0
KAUFMANN FD INC COM 486250103 15352 2181 X 2181 0 0
KEANE INC COM 486665102 219240 12600 X 6400 0 6200
KELLOGG CO COM 487836108 2737549 113178 X 83686 0 29492
KELLOGG CO COM 487836108 1765264 72981 X 64611 0 8370
KEMPER 487902843 20771 3096 X 3096 0 0
KEMPER 487902843 156333 23299 X 21628 1670 0
KEMPER DREMAN FD INC 48840B868 423393 24573 X 24573 0 0
KEMPER 488411109 216594 34163 X 34163 0 0
KEMPER 488411109 82114 12952 X 11138 0 1814
KEMPER 488412107 1176 147 X 146 0 2
KEMPER 488412107 592533 74159 X 74159 0 0
KEMPER MUNICIPAL BOND FUND 488419201 613665 63724 X 62798 0 926
KEMPER MUNICIPAL BOND FUND 488419201 486206 50489 X 50489 0 0
KEMPER 48842B106 91347 10591 X 9591 0 1000
KEMPER 48842B106 8625 1000 X 1000 0 0
KEMPER MUN INCOME TR 48842C104 174753 16742 X 16742 0 0
KEMPER MUN INCOME TR 48842C104 140600 13470 X 6770 2000 4700
KEMPER SMALL CAPITALIZTION EQUITY FD 488421108 146574 16125 X 16125 0 0
KEMPER 488438102 177176 21219 X 21219 0 0
KEMPER 488438102 444544 53239 X 53239 0 0
KEMPER TECHNOLOGY FD 488908104 432117 13797 X 13797 0 0
KEMPER TECHNOLOGY FD 488908104 132657 4236 X 3773 0 463
TOTAL SA-B ORD (EUR) 4905413S6 394571 2656 X 0 0 2656
KENT FDS 490563103 156120 156120 X 156120 0 0
KENT REALTY CORPORATION COMMON 4907159A9 200000 400 X 400 0 0
KENTUCKY ELEC STL INC 49127B100 28875 16500 X 16500 0 0
KENTUCKY RIVER COAL CORP COM 491404109 2167200 602 X 602 0 0
KERR MCGEE CORP COM 492386107 577369 8715 X 2104 0 6611
KERR MCGEE CORP COM 492386107 971821 14669 X 13954 715 0
KEYCORP NEW COM 493267108 19443194 768111 X 730347 0 37764
KEYCORP NEW COM 493267108 19610563 774723 X 670448 22900 81375
KEYSPAN CORPORATION 49337W100 844190 21039 X 6378 0 14661
KEYSPAN CORPORATION 49337W100 42131 1050 X 1050 0 0
KIMBERLY-CLARK CORP COM 494368103 19472430 348887 X 300547 600 47740
KIMBERLY-CLARK CORP COM 494368103 12443285 222946 X 153744 42472 26730
KIMCO RLTY CORP COM 49446R109 139425 3300 X 3300 0 0
KIMCO RLTY CORP COM 49446R109 302003 7148 X 5798 850 500
KING PHARMACEUTICALS INC 495582108 4226664 126403 X 253 0 126150
KING PHARMACEUTICALS INC 495582108 146659 4386 X 4218 168 0
KNIGHT RIDDER INC COM 499040103 5787448 113897 X 36214 0 77683
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 98694567 3353006 2723970 71375 557661
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 40
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
KNIGHT RIDDER INC COM 499040103 935874 18418 X 17618 0 800
KOGER EQUITY 500228101 2252500 132500 X 1600 0 130900
KOHLS CORP COM 500255104 12447455 215772 X 170913 395 44464
KOHLS CORP COM 500255104 2027849 35152 X 29327 5800 25
KONINKLIJKE PHILIPS ELECTRS 500472303 412973 9717 X 9539 0 178
KONINKLIJKE PHILIPS ELECTRS 500472303 1161610 27332 X 27332 0 0
KROGER CO COM 501044101 15568673 690009 X 128570 0 561439
KROGER CO COM 501044101 473327 20978 X 20178 0 800
KRUPP INSD PLUS LTD PARTNERSHIP 501124101 70500 12500 X 12500 0 0
KRUPP INSD PLUS LTD PARTNERSHIP 501124101 2820 500 X 500 0 0
KRUPP INSURED PLUS II 501125108 44170 15075 X 15075 0 0
LCC INTL INC 501810105 198650 13700 X 13700 0 0
LG & E ENERGY CORP COM 501917108 18664669 763756 X 749611 0 14145
LG & E ENERGY CORP COM 501917108 4460130 182508 X 177298 1410 3800
LTV CORP NEW COM 501921100 3552 2705 X 2705 0 0
LTV CORP NEW COM 501921100 14443 11000 X 3000 0 8000
LSI LOGIC CORP COM 502161102 890809 30455 X 9312 0 21143
LSI LOGIC CORP COM 502161102 341143 11663 X 11163 0 500
LA-Z-BOY INC COM 505336107 809703 55600 X 55600 0 0
LABORATORY CORP AMER HLDGS 50540R409 6179100 51600 X 600 0 51000
BEIERSDORF AG ORD (DEM) 5107401S2 3645279 38500 X 500 0 38000
LAKELAND FINL CORP 511656100 280807 26584 X 26584 0 0
LAKELAND FINL CORP 511656100 36971 3500 X 3500 0 0
LAKESIDE DAIRY FARMS INC 511991101 1247000 12233 X 12233 0 0
LANCASTER COLONY CORP COM 513847103 4208723 171344 X 171344 0 0
LANCASTER COLONY CORP COM 513847103 730528 29741 X 29741 0 0
NOVO-NORDISK A/S -B- ORD (DKK) 5154656S6 10694135 52600 X 700 0 51900
LANLY CO CORP 515908903 1633368 538 X 0 0 538
LATELO INTL INC 517939104 325000 1250000 X 1250000 0 0
LATTICE SEMICONDUCTOR CORP COM 518415104 290250 5400 X 0 0 5400
LAUDER ESTEE COS INC 518439104 249783 6820 X 6820 0 0
LAUDER ESTEE COS INC 518439104 215721 5890 X 3520 0 2370
LEAP WIRELESS INTL INC 521863100 106357 1700 X 700 0 1000
LEAP WIRELESS INTL INC 521863100 247124 3950 X 3950 0 0
LEAR CORP COM 521865105 3275686 159300 X 1900 0 157400
LEAR CORP COM 521865105 16450 800 X 800 0 0
LEE ENTERPRISES INC 523768109 441181 15279 X 15279 0 0
LEE ENTERPRISES INC CL B 523768208 622292 21931 X 21931 0 0
LEGG MASON INVT TR INC 52465G103 505525 46041 X 46041 0 0
LEGG MASON INVT TR INC 52465G103 68625 6250 X 6250 0 0
LEGG MASON VALUE TR FD 524659109 716305 10643 X 10406 0 237
LEGG MASON VALUE TR FD 524659109 399816 5941 X 1191 3675 1075
LEGGETT & PLATT INC 524660107 423188 26762 X 7739 0 19023
LEHMAN BROTHERS HLDGS INC COM 524908100 10166234 68807 X 8504 0 60303
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 107506298 4271494 3085774 11280 1174440
</TABLE>
<PAGE> 23
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 41
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
LEHMAN BROTHERS HLDGS INC COM 524908100 1672530 11320 X 4044 6380 896
ABN AMRO HLDG NV ORD (NLG) 5250769S6 4682138 188090 X 2090 0 186000
AHOLD-KONINKLIJKE NV ORD (EUR) 5252602S3 3727102 131750 X 1750 0 130000
LENNAR CORP COM 526057104 3050442 102750 X 1250 0 101500
ENDESA SA ORD (ESP) 5271782S5 3872631 198450 X 2600 0 195850
LEVEL 8 SYS INC 52729M102 213150 11600 X 11600 0 0
LEXICON GENETICS INC 528872104 518650 16400 X 14760 0 1640
LEXICON GENETICS INC 528872104 435065 13757 X 13472 0 285
MUENCHENER RUECKVER AG-REG ORD (DEM) 5294121S7 4130906 15086 X 200 0 14886
TELECOM ITALIA SPA ORD (ITL) 5297506S5 187124 15208 X 15208 0 0
LEXMARK INTERNATIONAL INC 529771107 26576475 708706 X 579206 200 129300
LEXMARK INTERNATIONAL INC 529771107 2921250 77900 X 72420 2745 2735
LIBERTY ELECTRONICS INC COM 530454107 42220 42220 X 42220 0 0
LIBERTY FUNDS 530542505 113714 15022 X 15022 0 0
LIBERTY FDS TR V 530542869 116634 16591 X 16591 0 0
LIBERTY COLONIAL TAX EXEMPT FUND 530544105 170321 13453 X 13453 0 0
LIBERTY COLONIAL TAX EXEMPT FUND 530544105 60228 4757 X 4757 0 0
LIBERTY INTERMEDIATE GOVERNMENT A 530547306 141335 22506 X 22506 0 0
LIBERTY INTERMEDIATE GOVERNMENT A 530547306 16394 2611 X 2277 0 333
LIBERTY-STEIN ROE FDS INVESTMENT TR 531273407 72905 1222 X 1222 0 0
LIBERTY-STEIN ROE FDS INVESTMENT TR 531273407 841384 14103 X 8000 0 6103
LIBERTY TAX CR PLUS L P 531280105 0 10006 X 10006 0 0
LIFE FINL CORP 53184P101 227129 76500 X 76500 0 0
LIFEPOINT HOSPITALS INC 53219L109 4410946 124252 X 5852 0 118400
LIFEPOINT HOSPITALS INC 53219L109 14520 409 X 409 0 0
LIGHTPATH TECHNOLOGIES INC 532257102 3431875 72250 X 3300 0 68950
GN STORE NORD ORD (DKK) 5323274S9 5760366 42940 X 570 0 42370
LILLY ELI & CO COM 532457108 250635735 52396126 X 43619734 240 8776152
LILLY ELI & CO COM 532457108 83836166 13360076 X 12960478 26420 373178
LILLY INDS INC CL A 532491107 382851 12978 X 12978 0 0
LIMITED INC COM 532716107 1993392 90350 X 58556 0 31794
LIMITED INC COM 532716107 150161 6806 X 1648 5158 0
THORNBURG LTD TERM MUNI FUND NAT'L A 532723103 74505 5670 X 5670 0 0
THORNBURG LTD TERM MUNI FUND NAT'L A 532723103 880475 67007 X 67007 0 0
THORNBURG LTD TERM MUNI FUND NAT'L I 532723806 328273 24964 X 24964 0 0
DASSAULT SYSTEMS SA ORD (FRF) 5330047S0 5232381 60800 X 800 0 60000
LINCOLN ELEC HLDGS INC 533900106 35945 2700 X 2700 0 0
LINCOLN ELEC HLDGS INC 533900106 2300486 172800 X 102600 0 70200
LINCOLN NATL CORP IND COM 534187109 47775420 992736 X 977087 0 15649
LINCOLN NATL CORP IND COM 534187109 36153473 751241 X 646633 42032 62576
LINCOLN NATL INCOME FD COM 534217104 649122 58675 X 58675 0 0
LINCOLN NATL INCOME FD COM 534217104 2213 200 X 200 0 0
LINEAR TECHNOLOGY CORP COM 535678106 3736723 57710 X 25101 0 32609
LINEAR TECHNOLOGY CORP COM 535678106 4652935 71860 X 71860 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 5506227690 70082558 59577976 83175 10421406
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 42
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
LINENS N THINGS INC 535679104 2801175 109850 X 0 0 109850
LIQUI BOX CORP 536314107 6475 200 X 200 0 0
LIQUI BOX CORP 536314107 218596 6752 X 2300 4452 0
LIZ CLAIBORNE INC COM 539320101 267729 6954 X 2813 0 4141
LIZ CLAIBORNE INC COM 539320101 18095 470 X 270 0 200
LOCAL FINL CORP 539553107 380000 40000 X 40000 0 0
LOCKHEED MARTIN CORP COM 539830109 1386202 42057 X 13598 0 28459
LOCKHEED MARTIN CORP COM 539830109 387544 11758 X 8274 0 3484
LOEWS CORP COM 540424108 1247874 14967 X 7529 0 7438
LOEWS CORP COM 540424108 478989 5745 X 5745 0 0
LONE STAR LIQUIDATING TRUST 54229R102 749 16645 X 16645 0 0
LONGLEAF PARTNERS FDS TR 543069207 715341 33256 X 33256 0 0
LONGVIEW FIBRE CO COM 543213102 648600 54050 X 54050 0 0
LONGVIEW FIBRE CO COM 543213102 132000 11000 X 11000 0 0
LORD ABBETT NATIONAL TAX FREE FUND 543902860 507560 47127 X 47127 0 0
LORD ABBETT TAX-FREE INCOME 543912307 155334 31896 X 31896 0 0
LORD ABBETT INVT TR 543916308 21228 8560 X 8560 0 0
LORD ABBETT INVT TR 543916308 90686 36567 X 36567 0 0
LORD ABBETT AFFILIATED FD INC COM 544001100 1176909 73145 X 73145 0 0
LORD ABBETT AFFILIATED FD INC COM 544001100 280424 17428 X 17428 0 0
LORD ABBETT BOND DEBENTURE FUND 544004104 87682 10125 X 10125 0 0
LORD ABBETT BOND DEBENTURE FUND 544004203 284065 32802 X 32802 0 0
LORD ABBETT BOND-DEBENTURE FUND 544004302 372719 42989 X 17327 0 25662
LORD ABBETT BOND-DEBENTURE FUND 544004302 223077 25730 X 25730 0 0
LORD ABBETT DEV GROWTH FD IN 544006109 975985 55328 X 55328 0 0
LORD ABBETT DEV GROWTH FD IN 544006505 1822682 102340 X 102340 0 0
LORD ABBETT DEV GROWTH FD IN 544006505 26957 1514 X 1514 0 0
HEINEKEN NV ORD (NLG) 5455821S7 4987763 98082 X 3591 0 94491
SKANDIA FORSAKRINGS AB ORD (SEK) 5461572S6 4102882 202700 X 2700 0 200000
LOUISIANA PAC CORP COM 546347105 97347 10595 X 3023 0 7572
LOUISIANA PAC CORP COM 546347105 14379 1565 X 1565 0 0
GRETAG IMAGING GROUP (CHF) 5476305S8 3914985 18240 X 240 0 18000
LOWES COS INC COM 548661107 7507087 167289 X 126241 0 41048
LOWES COS INC COM 548661107 680933 15174 X 10054 1000 4120
LUBRIZOL CORP COM 549271104 447213 22715 X 20715 0 2000
LUBRIZOL CORP COM 549271104 3170654 161045 X 148668 0 12377
LUCENT TECHNOLOGIES INC COM 549463107 108863780 3561947 X 3252012 9606 300329
LUCENT TECHNOLOGIES INC COM 549463107 64730839 2117948 X 1843362 144271 130315
M & T BK CORP 55261F104 86700 170 X 170 0 0
M & T BK CORP 55261F104 143820 282 X 282 0 0
MBIA INC 55262C100 1245257 17508 X 7965 0 9543
MBIA INC 55262C100 523765 7364 X 3164 4000 200
MBNA CORP COM 55262L100 42527100 1104600 X 1040537 355 63708
MBNA CORP COM 55262L100 10106327 262502 X 258488 2364 1650
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 267865508 8608981 7378346 166048 1064587
</TABLE>
<PAGE> 24
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 43
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MCN ENERGY GROUP INC COM 55267J100 997069 38910 X 3043 0 35867
MCN ENERGY GROUP INC COM 55267J100 1161351 45321 X 42516 0 2805
MDU RES GROUP INC 552690109 7403674 248863 X 10263 0 238600
MDU RES GROUP INC 552690109 428787 14413 X 9913 0 4500
MCSI INC 55270M108 2481525 73800 X 73800 0 0
MCSI INC 55270M108 11433 340 X 340 0 0
MFS GROWTH OPPORTUNITY 552723108 275718 14198 X 14198 0 0
MGIC INVT CORP WIS 552848103 1349579 22079 X 6403 0 15676
MGIC INVT CORP WIS 552848103 829772 13575 X 13425 0 150
MAS FDS 552913782 112186 3192 X 3192 0 0
MAS FDS 552913782 162241 4616 X 4555 61 0
MAS FDS 552913790 16564238 2107409 X 2107409 0 0
MFS 552981102 297082 9461 X 9461 0 0
MFS 552981102 75717 2411 X 2411 0 0
MFS 552981300 380607 25056 X 25056 0 0
MFS 552981300 52089 3429 X 3429 0 0
MFS RESEARCH FUND 552981706 1256346 39558 X 39558 0 0
MFS HIGH INCOME FUND 552984106 57917 12563 X 12563 0 0
MFS SER TR II 552985202 170087 2745 X 2745 0 0
MFS SER TR II 552985202 79865 1289 X 1289 0 0
MFS 552987505 428392 42082 X 42082 0 0
MFS 552987505 218702 21483 X 21483 0 0
MFS SER TR VII 552988305 1955871 85634 X 85634 0 0
MFS SER TR VII 552988883 25120292 1096477 X 1096477 0 0
MFS SER TR VII 552988883 1630237 71158 X 71158 0 0
MRV COMMUNICATIONS INC 553477100 2965736 65450 X 3200 0 62250
MRV COMMUNICATIONS INC 553477100 49844 1100 X 0 0 1100
MACK CALI RLTY CORP 554489104 52599 1866 X 1366 0 500
MACK CALI RLTY CORP 554489104 151511 5375 X 4675 200 500
SAN PAOLO-IMI SPA ORD (EUR) 5556575S0 4049960 228000 X 3000 0 225000
MACROVISION CORP 555904101 2924100 36100 X 36100 0 0
MACROVISION CORP 555904101 75330 930 X 0 0 930
FRONTLINE LTD ORD (NOK) 5561052S2 3903515 240000 X 3000 0 237000
MAHASKA INVT CO COM 559809108 180000 22500 X 22500 0 0
MALLINCKRODT INC NEW 561232109 298753 6548 X 1663 0 4885
MALLINCKRODT INC NEW 561232109 209191 4585 X 585 4000 0
MANAGERS FDS 561717208 2968403 29434 X 29415 0 19
MANAGERS FDS 561717208 1944 19 X 19 0 0
MANITOWOC INC 563571108 126569 6575 X 6575 0 0
MANITOWOC INC 563571108 176138 9150 X 9150 0 0
MANOR CARE INC COM 564055101 211176 13461 X 6173 0 7288
MANOR CARE INC COM 564055101 27846 1775 X 1775 0 0
MANULIFE FINL CORP 56501R106 4766254 229699 X 212277 0 17422
MANULIFE FINL CORP 56501R106 1273386 61368 X 61368 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 87913032 4963997 4105244 4261 854492
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 44
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MANUGISTICS GROUP INC 565011103 2590500 26400 X 1100 0 25300
MARBANC FINANCIAL CORPORATION 566099016 421200 8100 X 8100 0 0
MARCHFIRST INC 566244109 7385973 470804 X 346904 1200 122700
MARCHFIRST INC 566244109 3297696 210205 X 181905 1100 27200
CONORS DISSC-BROKERS AG 5666344S7 3547583 30230 X 1157 0 29073
TECAN GROUP AG-REG ORD (CHF) 5696200S7 3665102 3546 X 46 0 3500
BANCO SANTANDER CENTL HISP ORD (ESP) 5705946S5 5750886 534600 X 7000 0 527600
MARSH & MCLENNAN COS INC 571748102 94675442 713186 X 565519 260 147407
MARSH & MCLENNAN COS INC 571748102 76884685 579169 X 550652 2612 25905
MARSHALL & ILSLEY CORP COM 571834100 50125 1000 X 0 0 1000
MARSHALL & ILSLEY CORP COM 571834100 2806148 55983 X 55153 0 830
MARRIOTT INTL INC 571903202 849260 23307 X 5785 0 17522
MARRIOTT INTL INC 571903202 652022 17894 X 17884 10 0
MARSCHOLLEK LAUTENSCHLAEGER & 5720273S7 3453345 28880 X 380 0 28500
SIEMENS AG AKT REGD ORD (DEM) 5727973S5 9682356 61013 X 2384 0 58629
TELEFONICA S A ORD (ESP) 5732524S9 5162154 268817 X 9008 0 259809
MARTIN MARIETTA MATLS INC 573284106 237566 6206 X 1296 0 4910
MAS FIXED INCOME PARTNERSHIP I 5745629A4 10000000 6 X 6 0 0
MASCO CORP 574599106 5579249 299557 X 113987 0 185570
MASCO CORP 574599106 3228700 173353 X 156705 2740 13908
DEUTSCHE BANK AG REG ORD 5750355S5 8718889 101628 X 3782 0 97846
BAYERISCHE MOTOREN WERKE AG ORD(DEM) 5756029S8 5828215 182000 X 2350 0 179650
MASSACHUSETTS INVESTORS GROWTH STK 575719109 19236004 880769 X 880769 0 0
MASSACHUSETTS INVESTORS GROWTH STK 575719109 1572231 71989 X 50330 21659 0
MASSACHUSETTS INVS GROWTH ST 575719406 6334929 288476 X 288476 0 0
MFS 575736103 614971 28831 X 26710 0 2122
MFS 575736103 243297 11406 X 6657 0 4750
MFS MASSACHUSETTS INVESTORS TRUST 575736400 337408 15804 X 15804 0 0
MASTEC INC 576323109 87500 2800 X 2800 0 0
MASTEC INC 576323109 265625 8500 X 8500 0 0
MASTERS SELECT FDS 576417109 332648 22044 X 22044 0 0
MASTERS SELECT FDS 576417109 25751 1706 X 1706 0 0
MASTERS SELECT FDS 576417208 81987 4387 X 4387 0 0
MASTERS SELECT FDS 576417208 400219 21414 X 21414 0 0
MATSUSHITA ELEC INDL LTD 576879209 288888 1100 X 1100 0 0
MATTEL INC 577081102 1324961 118427 X 88606 0 29821
MATTEL INC 577081102 120204 10744 X 9251 1493 0
MAXIM INTEGRATED PRODS INC 57772K101 38040498 472917 X 402951 100 69866
MAXIM INTEGRATED PRODS INC 57772K101 26331540 327352 X 300981 13025 13346
MAY DEPT STORES CO 577778103 5599739 273158 X 237297 0 35861
MAY DEPT STORES CO 577778103 5514295 268990 X 227108 16981 24901
MAHLON MAXTON COM 577991102 2720702 288 X 288 0 0
MAYTAG CORP 578592107 383566 12348 X 6432 0 5916
MAYTAG CORP 578592107 15314 493 X 493 0 0
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SUBTOTALS FOR THIS PAGE 364339373 6639827 4635207 61180 1943442
</TABLE>
<PAGE> 25
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 45
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MAZEL STORES INC 578792103 2795940 630000 X 630000 0 0
MCCORMICK & CO INC 579780206 113050 3800 X 3800 0 0
MCCORMICK & CO INC 579780206 301963 10150 X 9750 0 400
MCDONALD TAX EXEMPT MTG TRUST 580125102 17143 17143 X 0 0 17143
MCDONALDS CORP 580135101 36486112 1208630 X 1086622 500 121508
MCDONALDS CORP 580135101 42266762 1400118 X 1197324 118300 84494
MCGRAW-HILL COS INC 580645109 7007948 110252 X 96389 0 13863
MCGRAW-HILL COS INC 580645109 10380346 163308 X 155188 1000 7120
MCKEE REALTY CO COMMON 5813339A1 327618 875 X 875 0 0
TERRA NETWORKS SA ORD (ESP) 5813720S9 879005 18655 X 433 0 18222
MCKESSON HBOC INC 58155Q103 1646612 53876 X 33948 0 19928
MCKESSON HBOC INC 58155Q103 157094 5140 X 2821 1319 1000
MCLEODUSA INC COM 582266102 1671615 116790 X 116790 0 0
MCLEODUSA INC COM 582266102 157014 10970 X 1050 0 9920
MEAD CORP 582834107 636899 27247 X 19976 0 7271
MEAD CORP 582834107 238355 10197 X 9697 500 0
MEAD PROPERTIES INC NON-VOTING COM 582840997 299706 402 X 402 0 0
TOMRA SYSTEMS ASA ORD (NOK) 5837010S7 7754167 260600 X 3400 0 257200
MEDIA 100 INC 58440W105 2607000 237000 X 10500 0 226500
MEDIMMUNE INC COM 584699102 27104244 350864 X 271652 350 78862
MEDIMMUNE INC COM 584699102 1604483 20770 X 20320 150 300
MANSBACH REALTY CO 5849999A6 3 500000 X 500000 0 0
250,000 SHARES MANSBACH REALTY CTF 5849999B4 1 250000 X 250000 0 0
MEDTRONIC INC 585055106 109535014 2114045 X 1938578 3430 172037
MEDTRONIC INC 585055106 41332318 797721 X 680040 62015 55666
MELLON FINL CORP 58551A108 11274736 243121 X 184384 1148 57589
MELLON FINL CORP 58551A108 4527638 97631 X 62136 15979 19516
MENS WEARHOUSE INC 587118100 6085879 214950 X 0 0 214950
MERCANTILE BANKSHARES CORP 587405101 413786 11400 X 11400 0 0
MERCANTILE BANKSHARES CORP 587405101 122502 3375 X 3375 0 0
INFINEON TECHNOLOGIES AG 5889505S0 2053058 31591 X 0 0 31591
MERCK & CO INC 589331107 285841769 3839998 X 3573920 13305 252773
MERCK & CO INC 589331107 298496225 4009998 X 3516723 258188 235087
MERCURY INTERACTIVE CORP 589405109 10548491 67295 X 57207 0 10088
MERCURY INTERACTIVE CORP 589405109 33231 212 X 212 0 0
MEREDITH CORP 589433101 127263 4314 X 656 0 3658
MEREDITH CORP 589433101 134491 4559 X 4559 0 0
MERIDIAN FD INC 589619105 203048 7045 X 7045 0 0
MERIDIAN FD INC 589619105 84054 2917 X 2379 0 537
MERIX CORP COM 590049102 377536 5825 X 5825 0 0
MERRILL LYNCH & CO INC 590188108 8855418 134173 X 77098 0 57075
MERRILL LYNCH & CO INC 590188108 7571784 114724 X 21064 10150 83510
MERRILL LYNCH MUNI BD INSR CL A 590193108 98969 13338 X 13338 0 0
MERRILL LYNCH 590193207 108215 11042 X 11042 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 932278505 17136061 14591918 486334 2057808
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 46
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MERRILL LYNCH 590193207 8197 836 X 836 0 0
MERRIMAC SER 590266508 19845 19845 X 19845 0 0
MESA OFFSHORE TRUST 590650107 1128 12000 X 0 0 12000
METASOLV SOFTWARE INC 591393103 3832031 93750 X 3900 0 89850
METLIFE INC 59156R108 16229940 619747 X 115347 0 504400
METLIFE INC 59156R108 171191 6537 X 3626 2911 0
METRIS COS INC 591598107 603284 15273 X 15273 0 0
METRIS COS INC 591598107 13154 333 X 333 0 0
METRO GOLDWYN MAYER INC 591610100 211200 8800 X 8800 0 0
THIEL LOGISTIK AG 5928776S8 3297221 17250 X 250 0 17000
MICHAELS STORES INC 594087108 5518000 137950 X 5600 0 132350
JOMED NV ORD (CHF) 5946994S6 4313062 70900 X 900 0 70000
MICROSOFT CORP 594918104 198279773 3287513 X 2839778 2960 444775
MICROSOFT CORP 594918104 94099378 1560184 X 1392774 57570 109840
MICROCHIP TECHNOLOGY INC 595017104 1541397 46620 X 795 0 45825
MICROCHIP TECHNOLOGY INC 595017104 627701 18985 X 675 0 18310
MICROMUSE INC 595094103 4370402 21750 X 0 0 21750
MICRON TECHNOLOGY INC 595112103 4300264 93484 X 50335 175 42974
MICRON TECHNOLOGY INC 595112103 140392 3052 X 1722 1330 0
MICROSEMI CORP 595137100 4460625 117000 X 6200 0 110800
MID ATLANTIC MED SVCS INC COM 59523C107 1352175 89400 X 1100 0 88300
MID STATE FINANCIAL 5954509A7 622954 11644 X 11644 0 0
MIDCAP SPDR TR 595635103 19650 200 X 200 0 0
MIDCAP SPDR TR 595635103 486141 4948 X 4948 0 0
MID AMER BANCORP COM 595915109 2019384 77297 X 77297 0 0
MID AMER BANCORP COM 595915109 470407 18006 X 18006 0 0
METROCORP INCORPORATED 595990904 280776 1709 X 1709 0 0
ST MICROELECTRONICS NV ORD (NLG) 5962332S4 4067390 66305 X 800 0 65505
UBS AG - REGD- ORD (CHF) 5962354S7 3685079 25330 X 330 0 25000
VESTAS WIND SYSTEMS A/S ORD (DKK) 5964651S3 3833996 86200 X 1200 0 85000
ALCATEL ORD (FRF) 5975006S1 14157623 173000 X 0 0 173000
MIDWEST BANC HLDGS INC 598251106 238000 17000 X 17000 0 0
PHILIPS ELECTRONIC ORD NEW (EUR) 5986622S2 8269077 169729 X 2260 0 167469
THOMSON MULTIMEDIA BS 00 BONUS WTS 5988930R7 0 157884 X 2100 0 155784
THOMSON MULTIMEDIA ORD (FRF) 5988930S5 9600960 157884 X 2100 0 155784
TELEVISION FRANCAISE (TF1) ORD (FRF) 5997118S0 3700595 50700 X 700 0 50000
MILLENNIUM PHARMACEUTICALS INC 599902103 4355599 29820 X 70 0 29750
MILLENNIUM PHARMACEUTICALS INC 599902103 113929 780 X 0 0 780
MILLIPORE CORP 601073109 334658 6909 X 3697 0 3212
MILLIPORE CORP 601073109 950596 19625 X 19625 0 0
MINE SAFETY APPLIANCES CO 602720104 66189 3000 X 3000 0 0
MINE SAFETY APPLIANCES CO 602720104 264756 12000 X 12000 0 0
MINIMED INC COM 60365K108 364650 4080 X 1400 0 2680
MINNESOTA MNG & MFG CO 604059105 76398654 838394 X 652151 1105 185138
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SUBTOTALS FOR THIS PAGE 477691423 8173653 5300326 66051 2807276
</TABLE>
<PAGE> 26
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 47
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
MINNESOTA MNG & MFG CO 604059105 54994286 603504 X 536198 34328 32978
ANRITSU CORPORATION 6044109S1 5025678 203000 X 3000 0 200000
MISSISSIPPI VALLEY BANCSHARES INC 605720101 309756 12000 X 12000 0 0
MITCHELL ENERGY & DEV CORP 606592202 209813 4500 X 0 0 4500
CHINA TELECOM (HONG KONG) ORD (HKD) 6073556S8 7730069 1004785 X 36354 0 968431
MOLECULAR DEVICES CORP 60851C107 4828988 49150 X 2400 0 46750
MOLEX INC 608554101 1318271 24216 X 5236 0 18980
MOLEX INC 608554101 785540 14430 X 14430 0 0
MOLEX INC 608554200 316213 7631 X 7631 0 0
MOLEX INC 608554200 510558 12321 X 10989 0 1332
FEDERATED MONEY MARKET MANAGEMENT 60934N211 27470 27470 X 27470 0 0
MONEY MKT OBLIGS TR 60934N427 288750 288750 X 288750 0 0
FEDERATED TREASURY OBLIGATIONS FUND 60934N500 220608 220608 X 220608 0 0
MONEY MKT OBLIGS TR 60934N849 488007 488007 X 488007 0 0
MONROE BANCORP CDT-COM 610313108 620816 68500 X 68500 0 0
MONTANA PWR CO 612085100 128227 3842 X 3842 0 0
MONTANA PWR CO 612085100 86775 2600 X 1600 0 1000
NTT MOBILE COMMUNICATIONS ORD (JPY) 6129277S6 15496778 586 X 20 0 566
MONTREAL RIVER INTL SILVER MINES LTD 614990901 22500 75000 X 75000 0 0
MONY GROUP INC 615337102 107902 2706 X 2706 0 0
MONY GROUP INC 615337102 102080 2560 X 2560 0 0
HSBC HLDGS PLC $.5 ORD (HKD) 6158163S2 9412851 661362 X 25219 0 636143
MORGAN J P & CO INC 616880100 26032173 159340 X 145992 0 13348
MORGAN J P & CO INC 616880100 10845323 66383 X 61740 2740 1903
MORGAN STANLEY DEAN WITTER EQUITY FD 616926200 143475 11113 X 11113 0 0
MSDW DIVIDEND GROWTH SECS IN 616938205 100233 1878 X 1878 0 0
MSDW DIVIDEND GROWTH SECS IN 616938205 796465 14926 X 14926 0 0
MORGAN STANLEY DEAN WITTER 616969200 46829 5358 X 5358 0 0
MORGAN STANLEY DEAN WITTER 616969200 256178 29311 X 29311 0 0
CANON INC (JPY) 6172323S0 6351867 142000 X 2000 0 140000
MORGAN STANLEY DEAN WITTER INSTL FD 61744J408 17806869 890343 X 890343 0 0
MORGAN STANLEY DEAN WITTER DISCOVER 617446448 40305870 440800 X 258854 400 181546
MORGAN STANLEY DEAN WITTER DISCOVER 617446448 14658974 160316 X 148215 5215 6886
MORGAN STANLEY DEAN WITTER 61745C105 122425 11800 X 11800 0 0
MORGAN STANLEY D W SELECT EQ 61745G270 96449 12429 X 12429 0 0
MORGAN STANLEY D W SELECT EQ 61745G676 111066 12327 X 12327 0 0
MORGAN STANLEY DEAN WITTER 61745P205 72860 20817 X 20817 0 0
MORGAN STANLEY DEAN WITTER 61745P734 212939 15700 X 15700 0 0
MORGAN STANLEY DEAN WITTER 61745P734 97179 7165 X 0 0 7165
DBS GROUP HLDGS LTD ORD (SGD) 6175203S8 5859064 484848 X 17073 0 467775
CHUGAI PHARMACEUTICAL LTD ORD (JPY) 6196408S7 7732822 434000 X 5000 0 429000
MOTOROLA INC 620076109 45661222 1616326 X 1280395 240 335691
MOTOROLA INC 620076109 16477575 583277 X 536510 20402 26365
MOUNTAIN ENERGY INC 624011102 2000 10000 X 10000 0 0
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SUBTOTALS FOR THIS PAGE 296821793 8907985 5324301 63325 3520359
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 48
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
DATACRAFT ASIA LTD ORD (SGD) 6246831S7 5098800 607000 X 8000 0 599000
DAIICHI PHARMACEUTICAL ORD (JPY) 6250218S2 6073351 257000 X 3000 0 254000
MULTI-COLOR CORP 625383104 87500 10000 X 10000 0 0
MULTITECH BROKERAGE SOLUTION 62546U104 20000 39700 X 39700 0 0
MUNIYIELD MICHIGAN FUND INC COM 626300107 138593 11671 X 11671 0 0
MUNIYIELD MICHIGAN FUND INC COM 626300107 426004 35874 X 30697 0 5177
MURPHY OIL CORP 626717102 386610 5965 X 4800 200 965
JOHNSON ELECTRIC HLDGS NEW ORD (HKD) 6281939S5 6121526 2920000 X 38000 0 2882000
GIORDANO INTL LTD ORD (HKD) 6282040S9 7600600 1708000 X 0 0 1708000
FRANKLIN MUTUAL SHARES FUND 628380107 189786 9244 X 9244 0 0
FRANKLIN MUTUAL SHARES FUND 628380107 63486 3092 X 3092 0 0
MUTUAL SER FD INC 628380206 434842 24919 X 24919 0 0
MUTUAL SER FD INC 628380206 64801 3714 X 3714 0 0
FRANKLIN MUTUAL BEACON FUND 628380305 2422109 169378 X 169378 0 0
FRANKLIN MUTUAL BEACON FUND 628380305 60698 4245 X 3908 0 337
MYERS INDS INC 628464109 5088 401 X 401 0 0
MYERS INDS INC 628464109 3722938 293422 X 293422 0 0
MYLAN LABS INC 628530107 237135 8803 X 8253 0 550
MYLAN LABS INC 628530107 377213 14003 X 8388 0 5615
MYRIAD GENETICS INC COM 62855J104 4776538 55300 X 2400 0 52900
NCR CORP NEW 62886E108 498404 13181 X 3830 0 9351
NCR CORP NEW 62886E108 118311 3129 X 2701 53 375
ND MELLON NDT STOCK INDEX FUND 628999104 43903798 127496 X 127496 0 0
NRG ENERGY INC 629377102 1460000 40000 X 0 0 40000
NSD BANCORP INC COM 62938D108 91854 6073 X 6073 0 0
NSD BANCORP INC COM 62938D108 170610 11280 X 11280 0 0
NTL INC 629407107 433629 9363 X 7543 0 1820
N-VIRO INTERNATIONAL CORPORATION 62944W9A8 23421 10128 X 10128 0 0
NABISCO GROUP HLDG CORP 62952P102 919097 32249 X 9167 0 23082
NABISCO GROUP HLDG CORP 62952P102 108300 3800 X 2735 565 500
NABORS INDS INC 629568106 5678116 108361 X 105911 0 2450
NABORS INDS INC 629568106 1799259 34337 X 22207 500 11630
NACCO INDS INC 629579103 1829940 43570 X 1570 0 42000
NACCO INDS INC 629579103 4662714 111017 X 79017 0 32000
NACCO INDUSTRIES INC CL B 629579202 882000 21000 X 0 0 21000
NANOMETRICS INC 630077105 4999125 93550 X 4000 0 89550
NASDAQ 100 TR 631100104 989226 11154 X 10604 0 550
NASDAQ 100 TR 631100104 663652 7483 X 5683 1700 100
NATIONAL CITY CORP 635405103 28016421 46464019 X 24242956 37930 22183133
NATIONAL CITY CORP 635405103 407527976 18419344 X 14393381 982217 3043746
NATIONAL COMM BANCORP COM 635449101 1514690 75970 X 0 0 75970
NATIONAL COMM BANCORP COM 635449101 144830 7264 X 2940 0 4324
FURUKAWA ELECTRIC CO LTD ORD (JPY) 6357562S7 9134971 284000 X 4000 0 280000
NATIONAL FUEL GAS CO N J 636180101 1430223 25511 X 25351 0 160
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 1555308185 72145010 39751560 1023165 31370285
</TABLE>
<PAGE> 27
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 49
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NATIONAL FUEL GAS CO N J 636180101 1469187 26206 X 22742 1364 2100
NATIONAL INST COS AMER 636500100 57000 300000 X 300000 0 0
NATIONAL LIME & STONE CO 636795106 515970 1470 X 0 0 1470
NATIONAL LIME & STONE CO 636795106 25974 74 X 74 0 0
NATIONAL PROCESSING INC 637229105 111504 8000 X 8000 0 0
NATIONAL PROCESSING INC 637229105 139798 10030 X 10030 0 0
NATIONAL SEMICONDUCTOR CORP COM 637640103 2768154 68774 X 2391 0 66383
NATIONAL SEMICONDUCTOR CORP COM 637640103 13766 342 X 192 0 150
NATIONAL CANTON BANCSHARES 637995101 1423800 40680 X 40680 0 0
NATIONWIDE FINL SVCS INC 638612101 659332 17641 X 17641 0 0
NATIONWIDE FINL SVCS INC 638612101 385897 10325 X 10325 0 0
NATIONWIDE INVESTING FNDTN I 638652875 240510 7778 X 7778 0 0
NATIONWIDE INVESTING FNDTN I 638652875 79310 2565 X 2565 0 0
NATURAL MICRO SYSTEMS CORP 638882100 3545222 65900 X 2750 0 63150
NATURAL MICRO SYSTEMS CORP 638882100 86075 1600 X 1600 0 0
NAVIGATOR MONEY MKT FD 639341106 186768 186768 X 186768 0 0
NECK TEK, LCC 6397499A0 50000 50000 X 50000 0 0
NEFF PACKAGING SOLUTIONS INC 640090916 429982 17056 X 17056 0 0
NEOGEN CORP 640491106 69380 10000 X 10000 0 0
NESTLE S A 641069406 5850169 56176 X 56136 0 40
NESTLE S A 641069406 18219605 174953 X 171628 0 3325
NETSCOUT SYSTEMS INC 64115T104 47334 1993 X 1993 0 0
NETSCOUT SYSTEMS INC 64115T104 245741 10347 X 10347 0 0
NETSILICON INC 64115X105 2909335 138950 X 11800 0 127150
NETWORK APPLIANCE INC 64120L104 3398875 26684 X 5347 0 21337
NETWORK APPLIANCE INC 64120L104 10190 80 X 80 0 0
NEUBERGER & BERMAN EQUITY FDS 641224506 253238 5247 X 5247 0 0
NEUBERGER & BERMAN EQUITY FDS 641224506 442213 9163 X 9163 0 0
NEUBERGER BERMAN INC 641234109 6088500 99000 X 1600 0 97400
AMERICAN NEW ECONOMY FUND 643822109 170973 6089 X 6089 0 0
AMERICAN NEW ECONOMY FUND 643822109 103136 3673 X 2308 0 1364
AMERICAN NEW PERSPECTIVE FUND 648018109 1568199 54698 X 54698 0 0
AMERICAN NEW PERSPECTIVE FUND 648018109 467006 16289 X 16289 0 0
NEW YORK TIMES CO 650111107 4309019 109608 X 4510 0 105098
NEW YORK TIMES CO 650111107 27480 699 X 499 0 200
NEWELL RUBBERMAID INC 651229106 6130367 268723 X 235350 8053 25320
NEWELL RUBBERMAID INC 651229106 2942398 128979 X 100917 12255 15807
NEWMONT MINING CORPORATION 651639106 240822 14166 X 2301 0 11865
NEWMONT MINING CORPORATION 651639106 224383 13199 X 8120 5000 79
NEWPORT NEWS SHIPBUILDING INC 652228107 8487577 195679 X 3479 0 192200
NEWPORT NEWS SHIPBUILDING INC 652228107 5899 136 X 106 30 0
NEWS CORP LTD 652487703 44850 800 X 700 0 100
NEWS CORP LTD 652487703 579131 10330 X 7980 0 2350
NEXTEL COMMUNICATIONS INC 65332V103 9894497 211647 X 147378 0 64269
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 84918566 2382517 1554657 26702 801157
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 50
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NEXTEL COMMUNICATIONS INC 65332V103 1030744 22048 X 11648 10400 0
NEXTLINK COMMUNICATIONS INC 65333H707 207187 5888 X 5760 0 128
NEXTLINK COMMUNICATIONS INC 65333H707 777479 22095 X 2085 0 20010
NIAGARA MOHAWK HLDGS INC 653520106 244062 15496 X 2521 0 12975
NIAGARA MOHAWK HLDGS INC 653520106 4379 278 X 278 0 0
NICHOLAS FD INC COM 653735100 922727 13286 X 11810 0 1476
NICHOLAS FD INC COM 653735100 23290 335 X 335 0 0
NICHOLAS LIMITED EDITION 653738104 745468 32956 X 32956 0 0
NICOR INC 654086107 5820623 160844 X 13001 0 147843
NICOR INC 654086107 133389 3686 X 3686 0 0
NIKE INC 654106103 1104297 27564 X 7908 0 19656
NIKE INC 654106103 265257 6621 X 5421 800 400
99 CENTS ONLY STORES 65440K106 6090314 121350 X 5200 0 116150
NIPPON TELEG & TEL CORP SPONSORED 654624105 261905 5345 X 5345 0 0
NISOURCE INC 65473P105 4791833 196588 X 175852 0 20736
NISOURCE INC 65473P105 1702789 69858 X 59474 2900 7484
NOKIA CORP 654902204 15218301 382245 X 78322 0 303923
NOKIA CORP 654902204 2402277 60339 X 56109 2910 1320
NOBLE DRILLING CORP 655042109 2868270 57080 X 57080 0 0
100% OWNERSHIP OF 50% OF NORAG 655416907 616000 1 X 1 0 0
NORDSON CORP 655663102 215617 7582 X 7582 0 0
NORDSTROM INC 655664100 6291561 404264 X 94186 0 310078
NORDSTROM INC 655664100 2029197 130386 X 129986 0 400
NORFOLK SOUTHN CORP 655844108 5159144 352762 X 292937 0 59825
NORFOLK SOUTHN CORP 655844108 3203182 219021 X 172239 18672 28110
EDWARD A NORMAN INVESTMENT CO COM 656139904 300150 690 X 690 0 0
NORTEL NETWORKS CORPORATION 656568102 91110126 1529643 X 341116 125 1188402
NORTEL NETWORKS CORPORATION 656568102 7695301 129196 X 108826 2600 17770
MEITEC CORP ORD (JPY) 6576356S2 5344406 115600 X 1600 0 114000
MITSUI FUDOSAN CO LTD ORD (JPY) 6597603S9 3953389 365000 X 5000 0 360000
NORTH PITTSBURGH SYSTEMS INC COM 661562108 20983 1540 X 1540 0 0
NORTH PITTSBURGH SYSTEMS INC COM 661562108 2257772 165708 X 21320 24508 119880
NEC CORP ORD (JPY) 6640400S2 14363691 502194 X 17870 0 484324
NORTHEAST INVESTORS TRUST 664210101 94995 10474 X 7787 0 2687
NORTHEAST INVESTORS TRUST 664210101 36016 3971 X 2236 1735 0
NORTHERN TR CORP 665859104 24895221 280115 X 263383 0 16732
NORTHERN TR CORP 665859104 30467239 342810 X 320450 1500 20860
NORTHERN TRUST 66586G9A7 411108 411108 X 411108 0 0
NORTHPOINT COMMUNICATIONS GROUP INC 666610100 89851 10124 X 10124 0 0
NORTHPOINT COMMUNICATIONS GROUP INC 666610100 543416 61230 X 61230 0 0
NORTHROP GRUMMAN CORP 666807102 3535946 38910 X 25686 0 13224
NORTHROP GRUMMAN CORP 666807102 618768 6809 X 5579 230 1000
NORTHWEST BANCORP INC PA 667328108 170431 20350 X 20350 0 0
NORTHWEST BANCORP INC PA 667328108 6700 800 X 0 800 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 248044801 6314190 2857617 67180 3389393
</TABLE>
<PAGE> 28
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 51
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NORTHWESTERN STEEL & WIRE CO NEW 668367204 2166 11400 X 11400 0 0
NOVA CORP GA 669784100 399013 23300 X 0 0 23300
NOVELL INC 670006105 328819 33087 X 9205 0 23882
NOVELL INC 670006105 51509 5183 X 4683 0 500
NOVELLUS SYS INC 670008101 601780 12924 X 1775 0 11149
NOVELLUS SYS INC 670008101 121995 2620 X 0 0 2620
NSTAR 67019E107 323650 8041 X 8041 0 0
NSTAR 67019E107 55223 1372 X 1372 0 0
NUCOR CORP 670346105 313180 10396 X 4248 0 6148
NUCOR CORP 670346105 292213 9700 X 6700 3000 0
NUVEEN INVT QUALITY MUNICIPAL 67062E103 158663 12146 X 12146 0 0
NUVEEN SELECT TAX-FREE INCOME 67062F100 150075 10350 X 10350 0 0
NUVEEN SELECT TAX-FREE INCOME 67062F100 111288 7675 X 3000 0 4675
NUVEEN MUN ADVANTAGE FD INC COM 67062H106 44077 3391 X 3391 0 0
NUVEEN MUN ADVANTAGE FD INC COM 67062H106 162773 12521 X 12521 0 0
NUVEEN PERFORMANCE PLUS MUN FD 67062P108 70489 5754 X 5754 0 0
NUVEEN PERFORMANCE PLUS MUN FD 67062P108 230129 18786 X 18786 0 0
NUVEEN PREMIUM INCOME MUN FD 67062T100 94842 7822 X 7822 0 0
NUVEEN PREMIUM INCOME MUN FD 67062T100 313819 25882 X 19216 0 6666
NUVEEN MUN MKT OPPORTUNITY FD 67062W103 244320 18352 X 18352 0 0
NUVEEN MUN MKT OPPORTUNITY FD 67062W103 131226 9857 X 9857 0 0
NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 205342 15071 X 15071 0 0
NUVEEN PREM INCOME MUN FD 2 INC COM 67063W102 47688 3500 X 3500 0 0
NUVEEN FLAGSHIP MULTISTATE I 67065L708 171145 16746 X 16746 0 0
NUVEEN FLAGSHIP MULTISTATE I 67065L716 178398 18241 X 18241 0 0
NUVEEN FLAGSHIP MULTISTATE I 67065N886 228656 22395 X 22395 0 0
NUVEEN 67065Q400 362624 39937 X 39937 0 0
NUVEEN 67065Q400 539352 59400 X 59400 0 0
NUVEEN FLAGSHIP MUN TR 67065Q806 14682 1402 X 1402 0 0
NUVEEN FLAGSHIP MUN TR 67065Q806 197198 18835 X 9292 0 9542
NUVEEN FLAGSHIP 67065Q848 67597 6456 X 6456 0 0
NUVEEN FLAGSHIP 67065Q848 772247 73758 X 73758 0 0
NUVEEN FLAGSHIP 67065R507 1209177 114181 X 114181 0 0
NUVEEN FLAGSHIP 67065R507 118693 11208 X 11208 0 0
NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 427972 39084 X 39084 0 0
NUVEEN FLAGSHIP MULTISTATE TR IV 67065R762 705105 64393 X 64393 0 0
NVEST FDS TR I 67067Q887 101230 10556 X 10556 0 0
NVEST FDS TR I 67067Q887 100963 10528 X 10528 0 0
OGE ENERGY CORP 670837103 323830 15194 X 15194 0 0
OGE ENERGY CORP 670837103 165176 7750 X 7750 0 0
OM GROUP INC 670872100 403531 9250 X 8700 550 0
NUVEEN MUNICIPAL VALUE FD 670928100 268642 30921 X 28346 0 2575
NUVEEN MUNICIPAL VALUE FD 670928100 518001 59623 X 57122 705 1796
NUVEEN SELECT 670973106 85600 6430 X 5930 0 500
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 11414098 905418 807809 4255 93353
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 52
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
NUVEEN SELECT 670973106 197964 14870 X 14870 0 0
NUVEEN QUALITY INCOME MUNI FD 670977107 181561 13511 X 13511 0 0
NUVEEN QUALITY INCOME MUNI FD 670977107 76422 5687 X 5687 0 0
NUVEEN MICH QUALITY INCOME MUN FD 670979103 163408 11830 X 11830 0 0
NUVEEN MICH QUALITY INCOME MUN FD 670979103 8260 598 X 598 0 0
NUVEEN OHIO QUALITY INCM MUNI 670980101 227136 14196 X 14196 0 0
NUVEEN OHIO QUALITY INCM MUNI 670980101 145456 9091 X 8741 350 0
NUVEEN TAX EXEMPT UNIT TR INSD NATL 67101A286 234027 2616 X 2616 0 0
OSI PHARMACEUTICALS INC 671040103 2660000 38000 X 1200 0 36800
OAK ASSOCIATES FDS 671081107 4363035 54483 X 54483 0 0
OAK ASSOCIATES FDS 671081107 467250 5835 X 5167 31 636
PIN OAK AGGRESSIVE STOCK FUND 671081206 1629109 20640 X 20640 0 0
PIN OAK AGGRESSIVE STOCK FUND 671081206 200755 2543 X 2543 0 0
OBJECTIVE SYS INTEGRATORS INC COM 674424106 2364439 272150 X 11200 0 260950
OCCIDENTAL PETE CORP 674599105 1915618 87820 X 39998 0 47822
OCCIDENTAL PETE CORP 674599105 1590626 72921 X 72571 0 350
OCEAN ENERGY INC TEX NEW 67481E106 213044 13800 X 2800 0 11000
OCEAN ENERGY INC TEX NEW 67481E106 123998 8032 X 0 0 8032
OCEANFIRST FINL CORP 675234108 622500 30000 X 30000 0 0
OFFICEMAX INC 67622M108 267 75 X 75 0 0
OFFICEMAX INC 67622M108 55027 15444 X 3244 0 12200
OFFICE DEPOT INC 676220106 1104414 141356 X 118200 0 23156
OFFICE DEPOT INC 676220106 10079 1290 X 1290 0 0
SMC CORP ORD (JPY) 6763965S9 5722124 32285 X 1698 0 30587
OGLEBAY NORTON CO 677007106 294672 10524 X 5100 0 5424
OHIO CAS CORP 677240103 89476 14104 X 13604 0 500
OHIO CAS CORP 677240103 105894 16692 X 15692 0 1000
OHIO ELECTRONIC ENGRAVERS INC 6773599A1 429000 2200 X 2200 0 0
OHIO MACHINERY CO COM 6774009A3 13028169 299223 X 299223 0 0
SANYO ELECTRIC CO LTD ORD (JPY) 6776769S9 9437307 1112000 X 15000 0 1097000
OIL WELL AUTOMATION INC CLASS A COM 677895997 1 450000 X 450000 0 0
SEKISUI HOUSE LTD ORD (JPY) 6793906S8 8228919 811000 X 11000 0 800000
OLD KENT FINL CORP 679833103 4018443 138864 X 114440 0 24424
OLD KENT FINL CORP 679833103 336578 11631 X 10253 0 1378
OLD NATL BANCORP IND 680033107 595502 19686 X 19128 0 558
OLD NATL BANCORP IND 680033107 11218485 370859 X 22533 347446 880
OLD REP INTL CORP 680223104 7737458 321550 X 318150 0 3400
OLD REP INTL CORP 680223104 2622675 108992 X 108992 0 0
SINGAPORE AIRLINES LTD ORD 6811734S6 3221171 334000 X 4000 0 330000
SINGAPORE AIRLINES LTD ORD 6811734S6 125375 13000 X 7000 0 6000
OLYMPIC STEEL INC 68162K106 53750 21500 X 10000 0 11500
OMNICOM GROUP INC 681919106 27081223 371291 X 354085 0 17206
OMNICOM GROUP INC 681919106 2827660 38768 X 26073 12060 635
ONE GROUP 681937108 350749 350749 X 350749 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 116079026 5685706 2594380 359887 2731438
</TABLE>
<PAGE> 29
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 53
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ONE GROUP 681937256 269042 11022 X 11022 0 0
ONE GROUP PRIME MONEY MKT FD CL I 681937405 2336438 2336438 X 1871922 0 464516
ONE GROUP PRIME MONEY MKT FD CL I 681937405 35286 35286 X 35286 0 0
ONE GROUP 681937595 537746 51214 X 51214 0 0
ONE GROUP 681937660 376887 49656 X 49656 0 0
ONE GROUP 681939781 453200 30314 X 30314 0 0
OMEGA FINL CORP 682092101 2388933 78973 X 78973 0 0
OMEGA INTL SPORTS & ENTERTAINMENT 6821019A0 1 488344 X 488344 0 0
ONE GROUP 68231N651 553687 45199 X 45199 0 0
ONE GROUP 68231N651 1497257 122225 X 0 0 122225
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 472706 11047 X 11047 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D108 111776 2612 X 2612 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D801 122901 2932 X 2932 0 0
OPPENHEIMER MAIN STREET FUNDS,INC. 68380D801 89996 2147 X 2147 0 0
OPPENHEIMER STRATEGIC FDS INC 68380K102 50732 12137 X 12137 0 0
OPPENHEIMER STRATEGIC FDS INC 68380K102 10519 2517 X 2517 0 0
OPPENHEIMER STRATEGIC INC FD CL B 68380K201 52203 12459 X 12459 0 0
OPPENHEIMER STRATEGIC INC FD CL B 68380K201 5457 1302 X 1302 0 0
OPTIMAL ROBOTICS CORP 68388R208 5761788 143150 X 10100 0 133050
OPTIMAL ROBOTICS CORP 68388R208 81184 2017 X 0 0 2017
ORACLE CORP 68389X105 66578321 845439 X 573901 0 271538
ORACLE CORP 68389X105 21255806 269915 X 218127 21750 30038
ORCHID BIOSCIENCES INC 68571P100 492320 14480 X 12891 0 1589
ORCHID BIOSCIENCES INC 68571P100 381412 11218 X 10943 0 275
TOKIO MARINE & FIRE INS LTD ORD(JPY) 6894768S1 6510003 641000 X 8000 0 633000
OWEN FUNERAL HOME COM 690006184 258884 465 X 465 0 0
OVERBROOK CORP 690181904 11573477 100 X 100 0 0
OWENS CORNING 69073F103 22906 8726 X 3540 0 5186
OWENS CORNING 69073F103 4308 1641 X 1641 0 0
OWEN & MINOR INC NEW 690732102 5860575 372100 X 4400 0 367700
OWENS ILL INC 690768403 248094 26821 X 6725 0 20096
OWENS ILL INC 690768403 1647 178 X 178 0 0
OXFORD HEALTH PLANS INC 691471106 12294 400 X 400 0 0
OXFORD HEALTH PLANS INC 691471106 353441 11500 X 3500 8000 0
PBHG FDS INC 69316H106 234224 4328 X 4328 0 0
PBHG FDS INC 69316H106 18649 345 X 345 0 0
PECO ENERGY CO 693304107 1713024 28285 X 15287 0 12998
PECO ENERGY CO 693304107 172968 2856 X 1256 600 1000
PG&E CORP COM 69331C108 1066016 44072 X 13486 0 30586
PG&E CORP COM 69331C108 322837 13347 X 10480 374 2493
PFF BANCORP INCORPORATED 69331W104 2749200 126400 X 1200 0 125200
PE CORP 69332S102 6706323 57565 X 2856 0 54709
PE CORP 69332S102 625955 5373 X 3653 0 1720
PE CORP 69332S201 199250 2000 X 2000 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 142569673 5929545 3618885 30724 2279936
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 54
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PE CORP 69332S201 623453 6258 X 5233 0 1025
PIMCO FDS PAC INVT MGMT SER 693390700 16909806 1675898 X 1664997 0 10900
PIMCO FDS PAC INVT MGMT SER 693390700 118000 11695 X 11695 0 0
PIMCO 693390726 6166150 611115 X 611115 0 0
PIMCO 693391633 198726 20658 X 20658 0 0
PLX TECHNOLOGY INC 693417107 4054094 150850 X 7400 0 143450
PLX TECHNOLOGY INC 693417107 188125 7000 X 0 0 7000
PMC-SIERRA INC 69344F106 5534078 25710 X 510 0 25200
PMC-SIERRA INC 69344F106 4068225 18900 X 18900 0 0
PMI GROUP INC 69344M101 372625 5500 X 1200 0 4300
PMI GROUP INC 69344M101 40650 600 X 600 0 0
PNC FINANCIAL SVCS GROUP 693475105 50359054 774755 X 735266 0 39489
PNC FINANCIAL SVCS GROUP 693475105 28063999 431754 X 364724 27635 39395
PPG INDS INC 693506107 9299533 234316 X 220710 400 13206
PPG INDS INC 693506107 12911022 325313 X 198703 58637 67973
PPL CORPORATION 69351T106 1649877 39518 X 25573 0 13945
PPL CORPORATION 69351T106 548094 13128 X 5150 4978 3000
PACCAR INC COM 693718108 241169 6507 X 973 0 5534
PACCAR INC COM 693718108 3299 89 X 89 0 0
PACIFIC NORTHWEST BANCORP 69466M103 291105 22500 X 22500 0 0
PACKAGING CORP OF AMERICA 695156109 5017071 453500 X 5400 0 448100
PACKAGING CORP OF AMERICA 695156109 11063 1000 X 1000 0 0
PACTIV CORP 695257105 820024 73295 X 56512 0 16783
PACTIV CORP 695257105 434676 38852 X 38599 153 100
PAINE WEBBER GROUP INC 695629105 844682 12399 X 2274 0 10125
PAINEWEBBER 695900308 37827 8259 X 8259 0 0
PAINEWEBBER 695900308 38012 8300 X 8300 0 0
PALL CORP 696429307 5420584 271872 X 6572 0 265300
PALL CORP 696429307 635883 31893 X 28093 0 3800
PALM INC 696642107 11229050 212117 X 48049 0 164068
PALM INC 696642107 1242508 23471 X 20005 3366 100
PARAMETRIC TECHNOLOGY CORP 699173100 246925 22575 X 3333 0 19242
PARAMETRIC TECHNOLOGY CORP 699173100 199629 18251 X 15251 0 3000
GUARDIAN 700159106 383472 6546 X 6546 0 0
GUARDIAN 700159106 112235 1916 X 1916 0 0
PARK NATL CORP 700658107 142022 1479 X 1479 0 0
PARK NATL CORP 700658107 268800 2800 X 2800 0 0
PARK OHIO HLDGS CORP 700666100 127299 16165 X 16165 0 0
ARMADA ADVANTAGE SMALL 700910201 2977243 158028 X 158028 0 0
ARMADA ADVANTAGE BOND FD 700910409 1383816 147371 X 147371 0 0
ARMADA ADVANTAGE INTERNATIONAL 700910508 8314386 644526 X 644526 0 0
ARMADA ADVANTAGE EQUITY GROWTH FD 700910706 4620000 400000 X 400000 0 0
PARKER HANNIFIN CORP 701094104 1324991 39259 X 26324 0 12935
PARKER HANNIFIN CORP 701094104 2195573 65054 X 65054 0 0
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SUBTOTALS FOR THIS PAGE 189668855 7040992 5627852 95169 1317970
</TABLE>
<PAGE> 30
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 55
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PARKSTONE LARGE CAPITALIZATION FD 701475329 924723 43191 X 43191 0 0
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PENNEY J C CO INC 708160106 1558430 131925 X 19375 105050 7500
PENNZOIL-QUAKER STATE COMPAN 709323109 3867182 368303 X 11203 0 357100
PENNZOIL-QUAKER STATE COMPAN 709323109 135398 12895 X 5775 4047 3073
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PEPSICO INC 713448108 146232022 3178957 X 2943770 5395 229792
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PFIZER INC 717081103 331075413 7367382 X 6692128 4253 671001
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PHARMACIA CORP 71713U102 392472439 6520776 X 5973544 340 546892
PHARMACIA CORP 71713U102 67351756 1119023 X 1088839 12478 17706
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PHILIP MORRIS COS INC 718154107 39017302 1325406 X 1130537 0 194869
PHILIP MORRIS COS INC 718154107 21204515 720311 X 667352 20700 32259
PHILLIPS PETE CO 718507106 4715474 75147 X 45616 0 29531
PHILLIPS PETE CO 718507106 1741062 27746 X 19134 2323 6289
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PHONE COM INC 71920Q100 5122442 45082 X 8332 0 36750
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PHOTRONICS INC 719405102 3376652 154800 X 1900 0 152900
PILGRIM INVT FDS INC 72142U101 185953 11284 X 11284 0 0
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SUBTOTALS FOR THIS PAGE 1460556977 30952140 27344694 593468 3013978
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 56
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PILGRIM GOLDFUND INC 72144V107 62983 24699 X 24699 0 0
PINNACLE ENTMT INC 723456109 5932313 272750 X 3150 0 269600
PINNACLE WEST CAP CORP 723484101 6348895 124794 X 118797 0 5997
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PIONEER FD INC CL A 723682100 793415 16262 X 7580 8681 0
PIONEER GROUP INC 723684106 463125 10533 X 8580 0 1953
PIONEER GROUP INC 723684106 163037 3708 X 3708 0 0
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PIONEER RAILCORP CLASS A WARRANT 723839114 2 4000 X 4000 0 0
PIONEER STD ELECTRS INC 723877106 569782 42010 X 36424 0 5586
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PLACER DOME INC 725906101 69388 7352 X 7352 0 0
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POLYMEDICA INDS INC 731738100 6744238 157300 X 13300 0 144000
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POLYONE CORP 73179P106 224524 30702 X 30702 0 0
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POTTERS FINL CORP COM 738140102 172008 19112 X 19112 0 0
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PRAXAIR INC 74005P104 120833 3233 X 3233 0 0
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PRICE T ROWE ASSOC INC 741477103 3432764 73134 X 58749 600 13785
PRICE T ROWE ASSOC INC 741477103 1265824 26968 X 17101 1000 8867
T ROWE PRICE 741479109 745151 20488 X 20488 0 0
T ROWE PRICE 741479109 311493 8565 X 7230 0 1335
T ROWE PRICE 741486104 246134 21591 X 21591 0 0
T ROWE PRICE 741486104 30057 2637 X 2637 0 0
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PRIMEX TECHNOLOGIES INC 741597108 17816 613 X 613 0 0
PRIDE INTL INC 741932107 6977450 263300 X 19200 0 244100
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PRINCIPAL PRESERVATION PORTFOLIOS 74252B105 175784 20778 X 20778 0 0
PRINCIPAL PRESERVATION PORTFOLIOS 74252B204 89846 10141 X 10141 0 0
PRIORITY HEALTHCARE CORP 74264T102 499438 6550 X 5300 0 1250
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SUBTOTALS FOR THIS PAGE 187489788 5215683 3860169 214434 1141079
</TABLE>
<PAGE> 31
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 57
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PRIORITY HEALTHCARE CORP 74264T102 114375 1500 X 1500 0 0
PROCTER & GAMBLE CO COM 742718109 168574704 2516040 X 2390279 1000 124761
PROCTER & GAMBLE CO COM 742718109 141080113 2105673 X 1921237 106962 77474
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PROFESSIONAL DETAILING INC 74312N107 7190550 126150 X 5900 0 120250
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PROGENICS PHARMACEUTICALS INC 743187106 68595 2500 X 2500 0 0
PROGENICS PHARMACEUTICALS INC 743187106 201340 7338 X 7338 0 0
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PROGRESSIVE CORP OHIO 743315103 89408401 1092011 X 1091450 175 386
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PROVIDENT BANKSHARES CORP COM 743859100 869978 51939 X 51939 0 0
PROVINCE HEALTHCARE CO 743977100 2941434 73650 X 900 0 72750
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PROVIDIAN FINL CORP 74406A102 40302307 317341 X 299176 0 18165
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PUBLIC SVC ENTERPRISE GROUP INC 744573106 1644429 36798 X 21357 0 15441
PUBLIC SVC ENTERPRISE GROUP INC 744573106 584787 13086 X 12762 24 300
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PULTE CORP 745867101 3579048 108456 X 1804 0 106652
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PUTNAM DIVERSIFIED INCOME TR 746704204 117360 11631 X 11631 0 0
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PUTNAM GEORGE PUTNAM FUND OF BOSTON 746758101 263632 15987 X 15987 0 0
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PUTNAM FD FOR GROWTH & INCOME 746761105 1060423 55461 X 55461 0 0
PUTNAM FD FOR GROWTH & INCOME 746761105 940534 49191 X 49191 0 0
PUTNAM FD FOR GROWTH & INCOME 746761204 138949 7367 X 7367 0 0
PUTNAM FD FOR GROWTH & INCOME 746761204 168621 8941 X 8941 0 0
PUTNAM FDS TR 746763853 117177 17647 X 17647 0 0
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PUTNAM HIGH YIELD TRUST FUND 746782101 80534 8688 X 8688 0 0
PUTNAM INVS FD INC 746809102 370665 20156 X 20156 0 0
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SUBTOTALS FOR THIS PAGE 585792121 7874100 6925869 108236 839995
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 58
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PUTNAM INVS FD INC 746809102 286960 15604 X 15604 0 0
PUTNAM MANAGED MUN INCOME TR 746823103 79315 8692 X 8692 0 0
PUTNAM MANAGED MUN INCOME TR 746823103 55891 6125 X 6125 0 0
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PUTNAM OHIO TAX EXEMPT INCOME FD II 746849306 289989 33957 X 32182 0 1774
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PUTNAM TAX FREE INCOME TR 746872407 25429 1913 X 1913 0 0
PUTNAM U S GOVT SECS INCOME FD CL A 746885102 102211 8144 X 8144 0 0
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PUTNAM MUNICIPAL INCOME FUND 746919109 95535 11083 X 11083 0 0
PUTNAM MUNICIPAL INCOME CL-B 746919208 111436 12943 X 12943 0 0
QLT INC 746927102 276413 3900 X 1300 0 2600
PUTNAM INTL GROWTH FD 746932102 5039361 183450 X 183450 0 0
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QLOGIC CORP 747277101 6388800 72600 X 0 0 72600
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QUAKER CITY BANCORP INC 74731K106 599625 31250 X 31250 0 0
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QUAKER OATS CO COM 747402105 2871288 36288 X 29748 3500 3040
QUALCOMM INC COM 747525103 72671366 1019949 X 766425 140 253384
QUALCOMM INC COM 747525103 16050060 225264 X 128994 17718 78552
QUEST DIAGNOSTICS INC 74834L100 18048798 157288 X 10538 0 146750
QUEST DIAGNOSTICS INC 74834L100 327841 2857 X 1357 1500 0
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SUBTOTALS FOR THIS PAGE 136969842 2452684 1837464 22858 592359
</TABLE>
<PAGE> 32
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 59
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
QUESTAR CORP COM 748356102 151692 5454 X 5454 0 0
QUESTAR CORP COM 748356102 661949 23800 X 23488 0 312
QUICKLOGIC CORP 74837P108 2000625 121250 X 6700 0 114550
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R & B FALCON CORP 74912E101 34314 1231 X 1231 0 0
R & B FALCON CORP 74912E101 708304 25410 X 6800 0 18610
QWEST COMMUNICATIONS INTL INC COM 749121109 87130491 1812839 X 1257582 1819 553438
QWEST COMMUNICATIONS INTL INC COM 749121109 35764908 744126 X 682357 26297 35471
RCM CAP FDS INC 749355202 158883 9121 X 9121 0 0
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R H DONNELLEY CORP 74955W307 26195 1240 X 1240 0 0
R H DONNELLEY CORP 74955W307 185942 8802 X 7262 40 1500
R G S ENERGY CORP 74956K104 4838639 171656 X 2356 0 169300
R G S ENERGY CORP 74956K104 8456 300 X 300 0 0
RPM INC OHIO COM 749685103 2696931 297576 X 297176 0 400
RPM INC OHIO COM 749685103 5414298 597407 X 532415 6644 58348
RSA SECURITY INC COM 749719100 2475375 57400 X 2600 0 54800
ROBERTSON STEPHENS INVT TR 74972H101 126712 2050 X 2050 0 0
ROBERTSON STEPHENS INVT TR 74972H101 394462 6382 X 6382 0 0
RF MICRO DEVICES INC 749941100 32000 1000 X 1000 0 0
RF MICRO DEVICES INC 749941100 705760 22055 X 3055 0 19000
RADIOHIO INC CAP 749991907 187572 87 X 87 0 0
RADIOHIO INC CAP 749991907 582120 270 X 30 0 240
RADIAN GROUP INC 750236101 11626200 172240 X 1470 0 170770
RADIOSHACK CORP 750438103 73767693 1141473 X 719558 220 421695
RADIOSHACK CORP 750438103 2304915 35666 X 31936 2700 1030
RAINBOW TECHNOLOGIES INC COM 750862104 1877528 53075 X 3250 0 49825
RAINBOW TECHNOLOGIES INC COM 750862104 81363 2300 X 2300 0 0
RAMBUS INC COM 750917106 443711 5621 X 621 0 5000
RALSTON RALSTON PURINA CO COM 751277302 4718105 199177 X 85756 0 113421
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RARE HOSPITALITY INTERNATIONAL INC 753820109 302569 14850 X 3050 0 11800
RATIONAL SOFTWARE CORP COM (NEW) 75409P202 26144663 376860 X 263760 0 113100
RAYCOMM TRANSWORLD 754612109 215 10750 X 750 0 10000
RAYONIER INC COM 754907103 310756 8647 X 1847 100 6700
RAYONIER INC COM 754907103 8050 224 X 191 0 33
RAYTHEON CO 755111309 228691 8354 X 7916 0 438
RAYTHEON CO 755111309 341804 12486 X 10167 236 2083
RAYTHEON CO 755111408 1393348 48996 X 17535 7500 23961
RAYTHEON CO 755111408 2058333 72380 X 36080 34200 2100
REA MAGNET WIRE CO. INC. CLASS - B 755990108 5917715 139998 X 139998 0 0
REALNETWORKS INC 75605L104 3704700 93200 X 3600 0 89600
RED HAT INC 756577102 104784 6141 X 6141 0 0
RED HAT INC 756577102 618227 36232 X 36232 0 0
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SUBTOTALS FOR THIS PAGE 281609063 6410416 4230589 80956 2098870
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 60
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
REDBACK NETWORKS INC COM 757209101 7872000 48000 X 0 0 48000
REDBACK NETWORKS INC COM 757209101 49200 300 X 300 0 0
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REGIONS FINL CORP COM 758940100 6086192 268256 X 252784 0 15472
REGIONS FINL CORP COM 758940100 5808 256 X 256 0 0
RELIANT ENERGY INC 75952J108 2037723 43822 X 22901 0 20921
RELIANT ENERGY INC 75952J108 1890318 40652 X 39252 1200 200
REPEATER TECHNOLOGIES INC 76027U102 2408163 204950 X 8400 0 196550
REPUBLIC BANCORP KY 760281204 98000 14000 X 14000 0 0
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REPUBLIC BANCORP INC COM 760282103 1102459 116048 X 72243 0 43805
REPUBLIC BANCORP INC COM 760282103 3810 401 X 401 0 0
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REX HIDE INC COM 761576107 647993 50823 X 50823 0 0
REX HIDE INC COM 761576107 303858 23832 X 23832 0 0
REYNOLDS & REYNOLDS CO CL A 761695105 298105 14999 X 14999 0 0
REYNOLDS & REYNOLDS CO CL A 761695105 16894 850 X 850 0 0
REYNOLDS BLUE CHIP GROWTH FUND 761724103 110908 1666 X 1666 0 0
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RICHMOND CNTY FINL CORP 764556106 483760 20000 X 20000 0 0
RITE AID CORP COM 767754104 4000 1000 X 1000 0 0
RITE AID CORP COM 767754104 51200 12800 X 11800 1000 0
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ROBBINS & MYERS INC COM 770196103 1164972 49311 X 49311 0 0
ROBERT HALF INTL INC 770323103 5565343 160440 X 140 0 160300
ROBINSON NUGENT INC COM 770810109 2968166 174598 X 158200 0 16398
ROCKWELL INTL CORP NEW 773903109 5976341 197565 X 184141 0 13424
ROCKWELL INTL CORP NEW 773903109 5521593 182532 X 169189 4315 9028
ROHM & HAAS CO COM 775371107 750349 25818 X 10347 0 15471
ROHM & HAAS CO COM 775371107 302618 10412 X 9528 442 442
ROSLYN BANCORP INC 778162107 1120540 50080 X 50080 0 0
ROWAN COS INC COM 779382100 247254 8526 X 2062 0 6464
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T ROWE PRICE EQUITY INCOME FD 779547108 1148025 46649 X 45328 0 1320
T ROWE PRICE EQUITY INCOME FD 779547108 77133 3134 X 3134 0 0
T ROWE PRICE 779556109 5169244 115333 X 113861 0 1473
T ROWE PRICE 779556109 2832636 63200 X 55482 0 7718
T ROWE PRICE NEW AMERICA FUND 779557107 383336 8069 X 8069 0 0
T ROWE PRICE NEW ERA FUND 779559103 201155 8309 X 8309 0 0
T ROWE PRICE INTL STOCK FUNDS INC 77956H203 1465782 87301 X 87301 0 0
T ROWE PRICE INTL STOCK FUNDS INC 77956H203 1337807 79679 X 73867 0 5812
T ROWE PRICE NEW HORIZONS FUND 779562107 881548 28039 X 28039 0 0
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SUBTOTALS FOR THIS PAGE 111376113 2910208 2011343 323810 575055
</TABLE>
<PAGE> 33
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 61
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
T ROWE PRICE SCIENCE & TECHNOLOGY 77957M102 577267 9323 X 9323 0 0
T ROWE PRICE SCIENCE & TECHNOLOGY 77957M102 10507 170 X 170 0 0
T ROWE PRICE MARYLAND BOND 77957R101 850215 83930 X 83930 0 0
T ROWE PRICE 779572106 8276763 312921 X 312921 0 0
T ROWE PRICE 779572106 554332 20958 X 18224 0 2733
T ROWE PRICE 779576107 207983 22268 X 22268 0 0
T ROWE PRICE 779576107 296332 31727 X 25250 6477 0
ROYAL BK SCOTLAND GROUP PLC 780097887 352000 16000 X 16000 0 0
ROYAL BANK OF CANADA 780099909 1085650 1085650 X 1085650 0 0
ROYAL DUTCH PETROLEUM CO 780257804 36069190 601775 X 446076 400 155299
ROYAL DUTCH PETROLEUM CO 780257804 21245683 354461 X 318909 24984 10568
ROYCE OPPORTUNITY FUND 780905832 116645 12748 X 10560 0 2188
RURAL CELLULAR CORP 781904107 218000 3200 X 3200 0 0
RYDER SYSTEM INC COM 783549108 229111 12426 X 8002 0 4424
RYDER SYSTEM INC COM 783549108 1475 80 X 80 0 0
S & T BANCORP INC COM 783859101 223934 11786 X 11286 0 500
SBC COMMUNICATIONS INC COM 78387G103 164281462 3285629 X 2956401 2687 326541
SBC COMMUNICATIONS INC COM 78387G103 105378286 2107566 X 1934138 53774 119654
SBA COMMUNICATIONS CORP 78388J106 11321163 269950 X 10700 0 259250
SEI INDEX FUNDS 783924103 2582048 57919 X 57919 0 0
SEI INSTL MANAGED TR 783925407 926786 99654 X 98407 1247 0
SEI INSTL MANAGED TR 783925407 547705 58893 X 36697 11951 10245
SEI INST MGD CORE FXD INC -A #64 783925506 741594 73571 X 73571 0 0
SEI INST MGD CORE FXD INC -A #64 783925506 85474 8480 X 8480 0 0
SEI DAILY INCOME TR GNMA PORT #47 783965643 193979 20355 X 20355 0 0
SEI DAILY INCOME TR 783965742 5825237 589003 X 589003 0 0
SEI DAILY INCOME TR 783965742 3506760 354576 X 171010 125494 58072
PUT S & P 500 INDEX 7839819X3 67138033 8214 X 8214 0 0
S D C PROPERTIES CO COM 7840309A8 4509793 540 X 540 0 0
SDL INC COM 784076101 2432747 7865 X 465 0 7400
SDL INC COM 784076101 15466 50 X 50 0 0
SEI INTL FIXED INC PORT 78411R307 155725 15874 X 15874 0 0
SEI TAX EXEMPT TR 784118507 17380548 1687432 X 1668498 18934 0
SEI TAX EXEMPT TR 784118507 25506737 2476382 X 1561572 779381 135430
SPDR TR 78462F103 21996743 153154 X 104832 850 47472
SPDR TR 78462F103 1218371 8483 X 7700 0 783
SPX CORP COM 784635104 10848463 76431 X 35691 0 40740
SPX CORP COM 784635104 1210447 8528 X 8528 0 0
SSGA FDS 784924888 15299018 613187 X 613187 0 0
S Y BANCORP INC COM 785060104 172118 8660 X 8660 0 0
S Y BANCORP INC COM 785060104 385575 19400 X 19400 0 0
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SABRE HLDGS CORP COM 785905100 102614 3546 X 2114 0 1432
SAFECO CORP COM 786429100 359864 13206 X 4035 0 9171
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SUBTOTALS FOR THIS PAGE 534896858 14621833 12390486 1026179 1205168
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 62
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SAFECO CORP COM 786429100 179905 6602 X 6602 0 0
SAFECO GROWTH FD INC 786434100 515078 21205 X 21205 0 0
SAFEGUARD SCIENTIFIC INC COM 786449108 198184 9940 X 9940 0 0
SAFEGUARD SCIENTIFIC INC COM 786449108 81746 4100 X 700 0 3400
SAFEWAY INC COM NEW 786514208 48154890 1031419 X 980043 775 50601
SAFEWAY INC COM NEW 786514208 3626117 77667 X 60982 14600 2085
SAGENT TECHNOLOGY INC 786693101 31144 4118 X 4118 0 0
SAGENT TECHNOLOGY INC 786693101 160048 21162 X 21162 0 0
ST FRANCIS CAPITAL CORP COM 789374105 630375 41000 X 41000 0 0
ST JUDE MEDICAL INC COM 790849103 384489 7539 X 1565 0 5974
ST JUDE MEDICAL INC COM 790849103 50847 997 X 997 0 0
ST PAUL COS INC COM 792860108 13961053 283111 X 31955 0 251156
ST PAUL COS INC COM 792860108 719970 14600 X 13121 0 1479
SALOMON BROTHERS FUND 795477108 81997 4603 X 4603 0 0
SALOMON BROTHERS FUND 795477108 193407 10858 X 10225 0 633
SALOMON BROS INVESTORS VALUE FUND 795478106 217983 9736 X 9736 0 0
SALOMON BROS INVESTORS VALUE FUND 795478106 31391 1402 X 1402 0 0
SANESE SERVICES, INC. 7960639A5 720176 1 X 0 1 0
SANMINA CORP COM 800907107 1542753 16478 X 2273 0 14205
SANMINA CORP COM 800907107 72279 772 X 772 0 0
SAP AKTIENGESELLSCHAFT 803054204 7515300 122200 X 2200 0 120000
SAP AKTIENGESELLSCHAFT 803054204 223245 3630 X 3630 0 0
SAPIENT CORP COM 803062108 654873 16095 X 2874 0 13221
SAPIENT CORP COM 803062108 8138 200 X 200 0 0
SARA LEE CORP COM 803111103 23040691 1134283 X 598239 1200 534844
SARA LEE CORP COM 803111103 18435774 907585 X 842492 13740 51353
SCANA CORP NEW 80589M102 80337 2602 X 2602 0 0
SCANA CORP NEW 80589M102 241041 7807 X 7681 0 126
SCHERING-PLOUGH CORP COM 806605101 74531037 1602818 X 1473872 2945 126001
SCHERING-PLOUGH CORP COM 806605101 72297864 1554793 X 1398117 44640 112036
SCHLUMBERGER LTD COM 806857108 154680780 1879178 X 1346387 2146 530645
SCHLUMBERGER LTD COM 806857108 64397823 782353 X 690781 58055 33517
SCHOOL SPECIALTY INC 807863105 3422868 160600 X 1900 0 158700
SCHRODER CAP FDS DEL 808088207 64263 3785 X 3785 0 0
SCHRODER CAP FDS DEL 808088207 140678 8285 X 8285 0 0
SCHULMAN A INC COM 808194104 62689 5699 X 5699 0 0
SCHULMAN A INC COM 808194104 52800 4800 X 4800 0 0
SCHWAB MONEY MARKET FD 8085059A1 33744 33744 X 33744 0 0
CHARLES SCHWAB CORP NEW 808513105 4641270 130740 X 31643 300 98798
CHARLES SCHWAB CORP NEW 808513105 806667 22723 X 21973 750 0
SCHWAB MONEY MARKET FUND 808515100 95029 95029 X 95029 0 0
SCHWAB MONEY MARKET FUND 808515100 80087 80087 X 0 0 80087
SCIENTIFIC ATLANTA INC COM 808655104 4919171 77315 X 15846 0 61469
SCIENTIFIC ATLANTA INC COM 808655104 647321 10174 X 6374 0 3800
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 502627322 10213835 7820554 139152 2254130
</TABLE>
<PAGE> 34
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 63
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SCOTTISH PWR PLC 81013T705 141958 4722 X 4722 0 0
SCOTTISH PWR PLC 81013T705 681679 22675 X 22281 0 394
SCOTTS CO CL A 810186106 3062336 91413 X 88463 0 2950
SCOTTS CO CL A 810186106 5321810 158860 X 142635 12925 3300
SCRIPPS E W CO 811054204 1260360 23340 X 23340 0 0
SCUDDER INCOME TR 811158401 197989 13561 X 13561 0 0
SCUDDER INCOME TR 811158401 133022 9111 X 8956 0 155
SCUDDER INTERNATIONAL FD INC COM 811165109 412639 7626 X 7626 0 0
SCUDDER INTERNATIONAL FD INC COM 811165109 1130032 20884 X 14076 6808 0
SCUDDER GREATER EURO GROWTH FD 811165406 13635 428 X 0 0 428
SCUDDER GREATER EURO GROWTH FD 811165406 302309 9495 X 703 0 8791
SCUDDER MANAGED 811170109 240396 27663 X 27663 0 0
SCUDDER MANAGED 811170109 456410 52521 X 52521 0 0
SCUDDER MANAGED MUN BDS 811170604 119528 13771 X 13771 0 0
SCUDDER MASSACHUSETTS TAX FREE FUND 811184308 870767 63467 X 39301 24166 0
SCUDDER HIGH QUALITY 811235209 30000 30000 X 30000 0 0
SEAGATE TECHNOLOGY COM 811804103 1255662 18198 X 2927 0 15271
SEAGATE TECHNOLOGY COM 811804103 426006 6174 X 554 2000 3620
SEAGRAM LTD COM 811850106 8478251 147607 X 116905 0 30702
SEAGRAM LTD COM 811850106 1587471 27638 X 26838 0 800
SEA VIEW HOTEL INC COM 811990902 300000 50 X 50 0 0
SEALED AIR CORP NEW 81211K100 524945 11601 X 5695 0 5906
SEALED AIR CORP NEW 81211K100 105930 2341 X 2341 0 0
SEARS ROEBUCK & CO CAP 812387108 2299097 70916 X 29429 0 41487
SEARS ROEBUCK & CO CAP 812387108 1431379 44151 X 40013 1661 2477
SECOND BANCORP INC COM 813114105 1157064 81916 X 81916 0 0
SECOND BANCORP INC COM 813114105 98875 7000 X 5000 2000 0
SECURITY BANC CORP COM 813767100 1237948 66467 X 66467 0 0
SEDALIA FARMS INC COM 814990107 2147690 250 X 250 0 0
SELECTED AMERICAN SHARES 816221105 1233206 32015 X 32015 0 0
SELECTED AMERICAN SHARES 816221105 72063 1871 X 0 0 1871
SELECTIVE INS GROUP INC 816300107 155691 8710 X 3010 0 5700
SELECTIVE INS GROUP INC 816300107 216288 12100 X 12100 0 0
SELIGMAN COMMUNICATIONS & 816333108 888615 22733 X 22636 97 0
SELIGMAN COMMUNICATIONS & 816333108 1660881 42489 X 42240 0 249
SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 376582 49291 X 49291 0 0
SELIGMAN OHIO MUNICIPAL FUND CL A 816346506 719155 94130 X 85888 8242 0
SELIGMAN MICHIGAN MUNICIPAL FUND 816346605 95716 11802 X 11802 0 0
SELIGMAN MICHIGAN MUNICIPAL FUND 816346605 136811 16869 X 16869 0 0
SEMTECH CORP COM 816850101 13675927 330536 X 323076 500 6960
SEMTECH CORP COM 816850101 8635749 208719 X 196737 3450 8532
SEMPRA ENERGY 816851109 515642 24775 X 9929 0 14846
SEMPRA ENERGY 816851109 199014 9562 X 8712 600 250
SENETEK PLC 817209307 15310 10000 X 0 0 10000
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 64021838 1909448 1682309 62449 164689
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 64
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SENTINEL GROUP FUND INC 817270309 507281 12101 X 12101 0 0
SEPRACOR INC COM 817315104 3447533 28100 X 0 0 28100
SEQUENOM INC 817337108 4128250 98000 X 3900 0 94100
SERVICE CORP INTERNATIONAL COM 817565104 29285 12012 X 11812 0 200
SERVICE CORP INTERNATIONAL COM 817565104 23892 9800 X 9100 700 0
SERVICE PIPE & SUPPLY INC 817595911 1057447 231 X 231 0 0
SERVICEMASTER CO COM 81760N109 1769156 179155 X 178155 0 1000
SERVICEMASTER CO COM 81760N109 3095714 313490 X 293980 0 19510
SHAW GROUP INC COM 820280105 211500 3000 X 3000 0 0
SHEARSON LEHMAN HUTTON UNIT 820926533 1222 14378 X 14378 0 0
SHEARSON LEHMAN HUTTON UNIT 820926889 836 20903 X 20903 0 0
SHELDAHL CO 822440103 25500 8500 X 8500 0 0
SHELDAHL CO 822440103 28050 9350 X 9350 0 0
SHELL TRANS & TRADING PLC 822703609 780561 15950 X 15950 0 0
SHELL TRANS & TRADING PLC 822703609 320789 6555 X 5355 0 1200
SHERWIN WILLIAMS CO COM 824348106 7797002 364772 X 107456 0 257316
SHERWIN WILLIAMS CO COM 824348106 12449912 582452 X 549652 7900 24900
SHUTTLEWORTH INCORPORATED CLASS B 8256759B9 600600 14300 X 14300 0 0
SICOR INC 825846108 4684763 457050 X 32500 0 424550
SHORT TERM FDS 825993900 445358 445358 X 445358 0 0
SIEBEL SYS INC 826170102 9862221 88599 X 15668 0 72931
SIEBEL SYS INC 826170102 3773511 33900 X 24500 7600 1800
SIERRA WIRELESS INC 826516106 4880025 79350 X 3400 0 75950
SIFCO INDS VTG TR 8265469A3 3948765 496076 X 496076 0 0
SIGMA ALDRICH CORP COM 826552101 1338183 40551 X 33245 0 7306
SIGMA ALDRICH CORP COM 826552101 1677555 50835 X 49563 900 372
SILICON IMAGE INC 82705T102 2997410 120800 X 5050 0 115750
SILLICON VY BANCSHARES 827064106 1164680 20000 X 20000 0 0
SIMON PPTY GROUP INC NEW 828806109 59439 2536 X 2536 0 0
SIMON PPTY GROUP INC NEW 828806109 403157 17201 X 15201 1500 500
SINCLAIR BROADCAST GROUP INC 829226109 196884 18000 X 18000 0 0
SIT TAX FREE INCOME FUND 829799105 387246 40046 X 19143 0 20903
SIT MUT FDS INC 82980D301 38586 868 X 868 0 0
SIT MUT FDS INC 82980D301 360760 8112 X 0 8112 0
SIX FLAGS INC 83001P109 330150 21300 X 21300 0 0
SKY FINL GROUP INC 83080P103 1432620 80711 X 80711 0 0
SKY FINL GROUP INC 83080P103 2253309 126947 X 124700 2247 0
SKYWEST INC COM 830879102 3054500 59600 X 1800 0 57800
AMERICAN SMALLCAP WORLD FUND 831681101 603651 15001 X 15001 0 0
AMERICAN SMALLCAP WORLD FUND 831681101 19996 497 X 497 0 0
SMITH BARNEY MONEY FDS INC 831804109 114259 114259 X 114259 0 0
SMITH BARNEY MONEY FDS INC 831804109 1120 1120 X 1120 0 0
SMITH BARNEY 83181A773 158309 10001 X 10001 0 0
SMITH BARNEY 83181A856 94895 13253 X 4445 0 8809
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SUBTOTALS FOR THIS PAGE 80555882 4055020 2813065 28959 1212997
</TABLE>
<PAGE> 35
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 65
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SMITH, CHARLES E RESIDENTIAL RLTY 832197107 6098400 134400 X 1600 0 132800
SMITHKLINE BEECHAM CORP 832378301 9002502 131184 X 121822 0 9362
SMITHKLINE BEECHAM CORP 832378301 16166815 235582 X 223662 9020 2900
SMUCKER J M CO 832696306 646726 26600 X 26600 0 0
SMUCKER J M CO 832696306 2902656 119387 X 118197 0 1190
SOFTWARE.COM INC 83402P104 486254 2680 X 0 0 2680
SOLECTRON CORP COM 834182107 29959064 649519 X 585754 750 63015
SOLECTRON CORP COM 834182107 24007694 520492 X 444855 40450 35187
SOLUTIA INC 834376105 66771 5870 X 5870 0 0
SOLUTIA INC 834376105 140777 12376 X 11756 0 620
SONICWALL INC 835470105 5574600 195600 X 10600 0 185000
SONOCO PRODS CO COM 835495102 128609 7120 X 4620 0 2500
SONOCO PRODS CO COM 835495102 838701 46432 X 45332 0 1100
SONY CORP AMERN SH NEW 835699307 3635787 36020 X 980 0 35040
SONY CORP AMERN SH NEW 835699307 489751 4852 X 4852 0 0
SOUTH FINL GROUP INC 837841105 227250 18000 X 18000 0 0
SOUTHDOWN INC COM 841297104 524756 7365 X 7365 0 0
SOUTHDOWN INC COM 841297104 1241033 17418 X 17418 0 0
SOUTHERN CO COM 842587107 4603536 141918 X 94510 0 47408
SOUTHERN CO COM 842587107 2539020 78273 X 74385 1000 2888
SOUTHERN PAC PETE N L ADR NEW 843581307 48045 26500 X 26500 0 0
SOUTHERN PAC PETE N L ADR NEW 843581307 1813 1000 X 1000 0 0
SOUTHERN PERU COPPER CORP 843611104 161200 10400 X 2200 0 8200
SOUTHERN UNION CO NEW 844030106 330778 16695 X 16695 0 0
SOUTHTRUST CORP COM 844730101 20062631 638165 X 78402 0 559763
SOUTHTRUST CORP COM 844730101 646680 20570 X 19900 670 0
SOUTHTRUST FDS 844734103 1782879 1782879 X 1782879 0 0
SOUTHWEST AIRLINES CO COM 844741108 26620504 1097753 X 634344 360 463049
SOUTHWEST AIRLINES CO COM 844741108 1652322 68137 X 61537 3900 2700
SOVEREIGN BANCORP 845905108 37000 4000 X 4000 0 0
SOVEREIGN BANCORP 845905108 78625 8500 X 8500 0 0
SCB BANCORP INCORPORATED 845996107 200000 2000 X 2000 0 0
SPIEKER PPTYS INC 848497103 26824 466 X 466 0 0
SPIEKER PPTYS INC 848497103 604412 10500 X 10250 250 0
SPRINT CORP COM 852061100 18823205 642145 X 562867 1650 77628
SPRINT CORP COM 852061100 10607994 361887 X 308662 27929 25296
SPRINT CORP 852061506 20578475 586900 X 512450 1096 73354
SPRINT CORP 852061506 12094877 344947 X 316173 9036 19738
STANCORP INC 852890904 6784800 1320 X 1320 0 0
STANCORP INC 852890904 4579740 891 X 559 332 0
STANDARD FOODS INC COM 8534059A8 3 17595 X 17595 0 0
STANDISH SMALL CAP GROWTH FUND 854268828 504148 8281 X 7480 0 801
STANDISH SMALL CAP GROWTH FUND 854268828 145654 2392 X 2188 204 0
STANDISH SMALL CAP TAX-SENSITIVE 854268836 101205 1600 X 1600 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 235754516 8046611 6197745 96647 1752219
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 66
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
STANDISH SMALL CAP TAX-SENSITIVE 854268836 287213 4540 X 4540 0 0
STANLEY WKS COM 854616109 221889 9621 X 3296 0 6325
STANLEY WKS COM 854616109 43335 1879 X 1879 0 0
STAPLES INC (RETAIL & DELIVERY) 855030102 3193747 225102 X 191989 0 33113
STAPLES INC (RETAIL & DELIVERY) 855030102 174952 12331 X 11731 0 600
STAR OF THE WEST MILLING COMPANY 85515P103 975000 9750 X 9750 0 0
STARBUCKS CORP COM 855244109 951737 23756 X 6035 0 17721
STARBUCKS CORP COM 855244109 366576 9150 X 9150 0 0
STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 22313 714 X 560 154 0
STARWOOD HOTELS & RESORTS WORLDWIDE 85590A203 223188 7142 X 2290 1651 3201
STATE STR CORP 857477103 98819500 760150 X 742951 160 17039
STATE STR CORP 857477103 69641650 535705 X 519617 1450 14638
STATE STREET EXCHANGE FUND 857478101 46152355 76526 X 76526 0 0
STATE STREET INVESTMENT 857483101 132796 8997 X 8997 0 0
STATE STREET INVESTMENT 857483101 1075817 72887 X 72887 0 0
STATE STR BK 857499909 387937 387937 X 387937 0 0
STATE STREET RESEARCH TAX EXEMPT FD 857513105 457952 57387 X 0 57387 0
STATE FED FINL CORP COM 857549109 577500 60000 X 60000 0 0
STEARNS & LEHMAN INC COM 857890107 139996 36128 X 36128 0 0
STATE STREET RESEARCH 857918106 210805 17322 X 17322 0 0
STERIS CORP COM 859152100 16800 1400 X 1400 0 0
STERIS CORP COM 859152100 428376 35698 X 33898 0 1800
STILWELL FINL INC 860831106 1179242 27109 X 5632 0 21477
STILWELL FINL INC 860831106 147900 3400 X 1400 2000 0
SEVEN SEAS FDS 8611238A8 320244 320244 X 320244 0 0
STONE ENERGY CORP COM 861642106 209000 3800 X 0 0 3800
STRONG CORPORATE BOND FUND 862912102 262496 24952 X 24952 0 0
STRONG CORPORATE BOND FUND 862912102 22795 2167 X 2167 0 0
STRONG GROWTH FDS INC 862916103 346013 8308 X 8308 0 0
STRONG 862917309 189811 6430 X 6430 0 0
STRONG 862917309 117479 3980 X 0 0 3980
STRONG ADVANTAGE FUND 863338109 271115 27358 X 27358 0 0
STRONG ADVANTAGE FUND 863338109 110247 11125 X 11125 0 0
STRONG 86334C109 212919 8145 X 8145 0 0
STRONG HIGH-YIELD MUNICIPAL BOND 863345104 594010 67044 X 27563 0 39482
STRUTHERS INDS INC 863583209 100 10000 X 10000 0 0
STRYKER CORP COM 863667101 5125166 119362 X 118762 0 600
STRYKER CORP COM 863667101 987574 23000 X 21400 0 1600
SUMMIT BANCORP COM 866005101 8022665 232541 X 217272 0 15269
SUMMIT BANCORP COM 866005101 1672353 48474 X 48474 0 0
SUMMIT BANK PUT 8660059W3 252225 950 X 0 0 950
SUMMIT PPTYS INC COM 866239106 5700525 236900 X 2800 0 234100
SUMMIT PPTYS INC COM 866239106 25266 1050 X 1050 0 0
SUN CMMNTYS INC COM 866674104 305972 9675 X 9675 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 250576551 3550136 3071640 62802 415695
</TABLE>
<PAGE> 36
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 67
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
SUN CMMNTYS INC COM 866674104 577314 18255 X 17405 850 0
SUN LIFE FINL SVCS CDA INC 866796105 1478606 71690 X 71690 0 0
SUN LIFE FINL SVCS CDA INC 866796105 337899 16383 X 15409 0 974
SUN MICROSYSTEMS INC COM 866810104 143505831 1229172 X 1069952 550 158670
SUN MICROSYSTEMS INC COM 866810104 42495482 363987 X 298912 47090 17985
SUN DEVELOPMENT COMPANY N.V. 8672959A7 1 65000 X 65000 0 0
SUNGARD DATA SYS INC COM 867363103 53602 1252 X 1252 0 0
SUNGARD DATA SYS INC COM 867363103 190518 4450 X 0 0 4450
SUNOCO INC 86764P109 242227 8992 X 2627 0 6365
SUNOCO INC 86764P109 104735 3888 X 1949 1939 0
SUNRISE TELECOM INC 86769Y105 3103160 107700 X 4675 0 103025
SUNTRUST BKS INC COM 867914103 24906649 500003 X 73248 0 426755
SUNTRUST BKS INC COM 867914103 1413045 28367 X 25367 3000 0
SUPERIOR ENERGY SVCS INC 868157108 239400 22800 X 22800 0 0
SUPERVALU INC COM 868536103 899698 59729 X 49930 0 9799
SUPERVALU INC COM 868536103 228340 15159 X 15159 0 0
SUREQUEST SYSTEMS INC 868663105 9045 100500 X 100500 0 0
SUSQUEHANA BANCSHARES INC PA COM 869099101 2923227 191687 X 191687 0 0
SWIFT ENERGY CORP COM 870738101 5193297 124950 X 1450 0 123500
SWIRE PAC LTD 870794302 38021 6100 X 6100 0 0
SWIRE PAC LTD 870794302 39891 6400 X 6400 0 0
SYCAMORE NETWORKS INC 871206108 37800 350 X 350 0 0
SYCAMORE NETWORKS INC 871206108 508680 4710 X 2150 0 2560
SYMANTEC CORP COM 871503108 58740 1335 X 1335 0 0
SYMANTEC CORP COM 871503108 162800 3700 X 3000 0 700
SYMBOL TECHNOLOGIES INC COM 871508107 1832389 50988 X 1075 0 49913
SYMBOL TECHNOLOGIES INC COM 871508107 66683 1856 X 1856 0 0
SYNAVANT INC 87157A105 21657 3238 X 3183 0 55
SYNAVANT INC 87157A105 76805 11484 X 11124 205 155
SYNOVUS FINCL CORP 87161C105 518216 24458 X 4637 0 19821
SYNOVUS FINCL CORP 87161C105 24409 1152 X 1152 0 0
SYSCO CORP COM 871829107 9430055 203616 X 178881 0 24735
SYSCO CORP COM 871829107 26782021 578283 X 524483 40400 13400
TCF FINL CORP COM 872275102 11156941 296530 X 54330 0 242200
TCF FINL CORP COM 872275102 86989 2312 X 2312 0 0
TCW/DW TERM TRUST 2003 87234U108 93750 10000 X 10000 0 0
TE-CO, AN OHIO CORP 872370903 286774 33 X 33 0 0
TECO ENERGY INC COM 872375100 4754445 165372 X 165372 0 0
TECO ENERGY INC COM 872375100 1850091 64351 X 61135 1610 1606
TEPPCO PARTNERS L P 872384102 300162 11300 X 11300 0 0
TEPPCO PARTNERS L P 872384102 212504 8000 X 8000 0 0
TF FINL CORP COM 872391107 217500 15000 X 15000 0 0
TJX COS INC NEW COM 872540109 818123 36361 X 14527 0 21834
TJX COS INC NEW COM 872540109 64643 2873 X 2873 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 287342165 4443766 3119620 95644 1228502
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 68
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
T R W INC COM 872649108 7550806 185866 X 54245 0 131621
T R W INC COM 872649108 7835059 192863 X 189389 2560 914
TWP INC COM 873106108 434219 496 X 496 0 0
TWP INC COM 873106108 2865406 3275 X 2607 536 132
TXU CORPORATION 873168108 3691029 93149 X 65973 300 26876
TXU CORPORATION 873168108 1334808 33686 X 28786 2800 2100
TAIWAN SEMICONDUCTOR MFG LTD 874039100 333131 16350 X 16350 0 0
TAIWAN SEMICONDUCTOR MFG LTD 874039100 416974 20465 X 19965 0 500
TALISMAN ENERGY INC COM 87425E103 12211040 348260 X 23960 0 324300
TALISMAN ENERGY INC COM 87425E103 31557 900 X 900 0 0
TANOX INC 87588Q109 3826181 112950 X 4800 0 108150
TAYLOR DRUG STORES INC COM 876007519 39136 11111 X 11111 0 0
TARGET CORP 87612E106 28028830 1093808 X 900208 300 193300
TARGET CORP 87612E106 7165980 279648 X 234400 28780 16468
AMERICAN FUNDS 876902107 90924 7758 X 7758 0 0
AMERICAN FUNDS 876902107 112779 9623 X 5038 4585 0
TECHNICAL MICRONICS CONTROL 878007525 2 22200 X 22200 0 0
TEAM FINANCIAL INC 87815X109 305000 40000 X 40000 0 0
TECH DATA CORP COM 878237106 5074425 118700 X 0 0 118700
TECHNICAL RUBBER CO INC CL B NON-VTG 878990902 16447860 540 X 0 0 540
TEKTRONIX INC COM 879131100 314856 4099 X 596 0 3503
TEKTRONIX INC COM 879131100 434301 5654 X 4154 0 1500
TELECOMUNICACOES BRASILEIRAS 879287308 3247765 41046 X 546 0 40500
TELECOMUNICACOES BRASILEIRAS 879287308 55388 700 X 700 0 0
TELEFLEX INC COM 879369106 90819 2642 X 2642 0 0
TELEFLEX INC COM 879369106 239181 6958 X 6958 0 0
TELEFONICA S.A. 879382208 503499 8471 X 5378 0 3093
TELEFONICA S.A. 879382208 943697 15877 X 15395 0 482
TELEFONOS DE MEXICO S A SPONSORED 879403780 9086266 170833 X 10833 0 160000
TELEFONOS DE MEXICO S A SPONSORED 879403780 313543 5895 X 5495 0 400
TELENETICS CORP 87943P408 20250 10800 X 0 0 10800
TELEPHONE & DATA SYS INC COM 879433100 114021 1030 X 1030 0 0
TELEPHONE & DATA SYS INC COM 879433100 232470 2100 X 1500 0 600
TELLABS INC COM 879664100 4700844 98447 X 36573 200 61674
TELLABS INC COM 879664100 1694027 35477 X 23522 2000 9955
TELXON CORP COM 879700102 359853 20563 X 20563 0 0
TEMPLE INLAND INC COM 879868107 218539 5770 X 1838 0 3932
TEMPLE INLAND INC COM 879868107 22877 604 X 604 0 0
TEMPLETON DEVELOPING MKTS TR COM 88018W104 564105 48840 X 48840 0 0
TEMPLETON DEVELOPING MKTS TR COM 88018W104 145 13 X 13 0 0
TEMPLETON EMERGING MARKETS INCOME FD 880192109 15188 1500 X 0 0 1500
TEMPLETON EMERGING MARKETS INCOME FD 880192109 173654 17151 X 17151 0 0
TEMPLETON FDS INC 880196100 169472 9322 X 9322 0 0
TEMPLETON FDS INC 880196100 476773 26225 X 25593 632 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 121786679 3131665 1867432 42693 1221540
</TABLE>
<PAGE> 37
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 69
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
TEMPLETON FOREIGN FUND 880196209 10214367 998472 X 975921 4360 18191
TEMPLETON FOREIGN FUND 880196209 7664261 749195 X 586086 123004 40105
TEMPLETON GROWTH FD INC 880199104 1276117 66882 X 66882 0 0
TEMPLETON GROWTH FD INC 880199104 229322 12019 X 12019 0 0
TEMPLETON INSTL FDS INC 880210208 1067295 111642 X 109927 0 1715
TEMPLETON INSTL FDS INC 880210208 674054 70508 X 67266 0 3242
TEMPLETON INSTL FDS INC 880210505 67636511 3359986 X 3350783 0 9202
TEMPLETON INSTL FDS INC 880210505 5098473 253277 X 234728 10423 8126
TEMPLETON 88022L102 28394 4086 X 4086 0 0
TEMPLETON 88022L102 70375 10126 X 10126 0 0
TENET HEALTHCARE CORP COM 88033G100 16629486 457168 X 30735 0 426433
TENET HEALTHCARE CORP COM 88033G100 117309 3225 X 355 0 2870
TERADYNE INC COM 880770102 698390 19954 X 3310 0 16644
TERADYNE INC COM 880770102 5250 150 X 0 0 150
TESLA MAGNETIC HOLDINGS 8816059A9 68064 31222 X 31222 0 0
TETRA TECH INC NEW COM 88162G103 14282 500 X 500 0 0
TETRA TECH INC NEW COM 88162G103 261866 9168 X 9168 0 0
TEVA PHARMA INDS ADR 881624209 5934083 81080 X 1080 0 80000
TEXACO INC COM 881694103 67636223 1288309 X 1228745 0 59564
TEXACO INC COM 881694103 15182901 289198 X 121753 89365 78080
TEXAS INSTRS INC COM 882508104 58987171 1250046 X 1107495 300 142251
TEXAS INSTRS INC COM 882508104 10812517 229137 X 172442 35840 20855
TEXAS PAC LD TR SUB SH 882610108 271354 7200 X 7200 0 0
TEXTRON INC COM 883203101 3756927 81451 X 64147 0 17304
TEXTRON INC COM 883203101 1874243 40634 X 17052 21250 2332
THE COUPONBASKET INC 8833219A1 28001 250000 X 0 0 250000
THE GENERAL METALS POWDER COMPANY 8833519A8 227799 264 X 264 0 0
THERMO ELECTRON CORP COM 883556102 570518 21943 X 10684 0 11259
THERMO ELECTRON CORP COM 883556102 663442 25517 X 24917 0 600
THERMO TECH TECHNOLOGIES INC 88360H101 3150 50000 X 50000 0 0
THERMOVIEW INDS INC 883671505 12500 20000 X 20000 0 0
THOMAS REALTY COMPANY 883996100 1014252 60 X 0 0 60
THOMAS & BETTS CORP COM 884315102 242667 13916 X 5885 650 7381
THOMAS & BETTS CORP COM 884315102 20960 1202 X 1090 112 0
THOMAS INDS INC COM 884425109 1790505 88420 X 88420 0 0
THOMAS INDS INC COM 884425109 129661 6403 X 6403 0 0
THORNBURG INTERMEDIATE MUNI FUND 885215202 749892 58677 X 58677 0 0
THORNBURG GLOBAL VALUE FUND 885215640 924479 56063 X 56063 0 0
3DO CO COM 88553W105 144795 21650 X 20150 0 1500
3COM CORP COM 885535104 231753 12078 X 12028 0 50
3COM CORP COM 885535104 122726 6396 X 4396 2000 0
THREE RIVS BANCORP INC 88562Q107 2943600 367950 X 0 0 367950
THREE RIVS BANCORP INC 88562Q107 729 91 X 91 0 0
TIDEWATER INC COM 886423102 95550 2100 X 2100 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 286126214 10427365 8574196 287304 1565864
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 70
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
TIDEWATER INC COM 886423102 352170 7740 X 3350 0 4390
TIFFANY & CO NEW COM 886547108 627073 16261 X 3258 0 13003
TIFFANY & CO NEW COM 886547108 100264 2600 X 0 0 2600
TIME WARNER INC COM 887315109 98273940 1255897 X 1137498 1305 117094
TIME WARNER INC COM 887315109 24093566 307905 X 279456 19770 8679
TIMKEN CO COM 887389104 129064 9429 X 5040 0 4389
TIMKEN CO COM 887389104 111160 8121 X 7121 0 1000
TOLEDO MIRROR AND GLASS COMPANY 8892729A0 1680560 322 X 322 0 0
TOLLGRADE COMMUNICATIONS INC COM 889542106 333151 2400 X 2400 0 0
TOO INC 890333107 4199285 176812 X 16712 0 160100
TOO INC 890333107 475 20 X 20 0 0
TOOTSIE ROLL IND COM 890516107 824 21 X 21 0 0
TOOTSIE ROLL IND COM 890516107 334332 8518 X 8518 0 0
TOP ROC PRECAST CORP 890790108 0 88332 X 88332 0 0
TORCHMARK CORP COM 891027104 321129 11546 X 2268 0 9278
TORCHMARK CORP COM 891027104 393610 14152 X 13752 0 400
TORONTO DOMINION BK ONT 891160509 132573 4494 X 4494 0 0
TORONTO DOMINION BK ONT 891160509 231575 7850 X 7850 0 0
TOSCO CORP NEW COM 891490302 385172 12350 X 2159 0 10191
TOSCO CORP NEW COM 891490302 106039 3400 X 3400 0 0
TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 256225 3489 X 3402 0 87
TOTAL FINA ELF S.A. SPONSORED ADR 89151E109 121344 1652 X 1652 0 0
TOWER FINANCIAL CORP 891769101 126875 14500 X 14500 0 0
TOWER FINANCIAL CORP 891769101 13125 1500 X 500 0 1000
TOYS R US INC COM 892335100 389675 23980 X 7031 0 16949
TOYS R US INC COM 892335100 148606 9145 X 6145 3000 0
TRANSWITCH CORP 894065101 388875 6100 X 100 0 6000
TRANSWITCH CORP 894065101 24098 378 X 378 0 0
TRI-CONTINENTAL CORPORATION 895436103 230501 8823 X 8823 0 0
TRI-CONTINENTAL CORPORATION 895436103 637072 24386 X 13346 0 11039
TRIAD HOSPITALS INC 89579K109 6778340 230752 X 7152 0 223600
TRIAD HOSPITALS INC 89579K109 12014 409 X 409 0 0
TRIAD GTY INC 895925105 2374050 79800 X 900 0 78900
TRIAD GTY INC 895925105 23800 800 X 800 0 0
TRICON GLOBAL RESTAURANTS 895953107 1325358 43277 X 32507 0 10770
TRICON GLOBAL RESTAURANTS 895953107 3653440 119296 X 108378 5958 4960
TRIBUNE CO NEW COM 896047107 4303083 98638 X 73041 0 25597
TRIBUNE CO NEW COM 896047107 2110229 48372 X 27491 13346 7535
TRIGON HEALTHCARE INC 89618L100 12089 230 X 230 0 0
TRIGON HEALTHCARE INC 89618L100 189227 3600 X 3600 0 0
TRIQUINT SEMICONDUCTOR INC 89674K103 11660 320 X 320 0 0
TRIQUINT SEMICONDUCTOR INC 89674K103 335230 9200 X 9200 0 0
TRIPLE S PLASTICS 896926102 356800 11150 X 11150 0 0
TRIPATH IMAGING INC 896942109 114492 16356 X 0 0 16356
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SUBTOTALS FOR THIS PAGE 155742170 2694323 1917026 43379 733917
</TABLE>
<PAGE> 38
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 71
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
TUMBLEWEED COMMUNICATION CORP 899690101 2578050 50550 X 3050 0 47500
TUMBLEWEED COMMUNICATION CORP 899690101 115566 2266 X 626 0 1640
TURNER FDS 900297409 118280 2543 X 2543 0 0
TURNER FDS 900297409 119709 2573 X 2522 52 0
TUT SYSTEMS 901103101 4061027 47050 X 3650 0 43400
TWEEDY BROWNE FD INC 901165100 774774 34389 X 33438 0 951
TWEEDY BROWNE FD INC 901165100 38036 1688 X 1459 230 0
TWEETER HOME ENTMT GROUP INC 901167106 5245413 144450 X 7150 0 137300
TYCO INTL LTD NEW 902124106 183123212 3530086 X 3185789 3461 340836
TYCO INTL LTD NEW 902124106 61785200 1191040 X 1020499 60032 110509
USX-MARATHON GROUP COM NEW 902905827 828465 29197 X 6999 0 22198
USX-MARATHON GROUP COM NEW 902905827 597152 21045 X 12898 230 7917
UST INC COM 902911106 2046077 89446 X 53122 0 36324
UST INC COM 902911106 1279559 55937 X 54762 875 300
US BANCORP NEW COM 902973106 48248905 2120831 X 48550 0 2072281
US BANCORP NEW COM 902973106 1484347 65246 X 58436 0 6810
USA NETWORKS INC 902984103 535463 24408 X 23308 1100 0
USA NETWORKS INC 902984103 53529 2440 X 1240 1200 0
USAA CA TAX EXEMPT BOND FUND 903289502 1670155 157117 X 157117 0 0
UTI ENERGY CORP 903387108 4582988 102700 X 8100 0 94600
UBIQUITEL INC 903474302 211500 23500 X 23500 0 0
USA ED INC 90390U102 923330 19161 X 3839 0 15322
USA ED INC 90390U102 927619 19250 X 19250 0 0
ULTRAMAR DIAMOND SHAMROCK CO 904000106 1044308 41155 X 26255 0 14900
ULTRAMAR DIAMOND SHAMROCK CO 904000106 248726 9802 X 9802 0 0
ULTRA TECH STEPPER INC COM 904034105 3533860 220000 X 2600 0 217400
UNIFI INC COM 904677101 157914 15500 X 0 0 15500
UNILEVER N V 904784709 2877534 59638 X 18832 0 40806
UNILEVER N V 904784709 2252889 46692 X 37529 7378 1785
UNICOM CORP COM 904911104 1699575 30248 X 15222 0 15026
UNICOM CORP COM 904911104 341005 6069 X 5069 0 1000
UNION CARBIDE CORP CAP 905581104 693921 18382 X 3903 0 14479
UNION CARBIDE CORP CAP 905581104 131559 3485 X 3285 0 200
UNION PAC CORP CO COM 907818108 3680724 94681 X 72095 0 22586
UNION PAC CORP CO COM 907818108 2695865 69347 X 60597 6300 2450
UNION PLANTERS CORP COM 908068109 7061199 213568 X 203648 0 9920
UNION PLANTERS CORP COM 908068109 119457 3613 X 3613 0 0
UNIONBANCAL CORP COM 908906100 435021 18660 X 18660 0 0
UNIONBANCAL CORP COM 908906100 23313 1000 X 1000 0 0
UNION TOOL CORPORATION 908990104 423287 6645 X 6645 0 0
UNISYS CORP COM 909214108 314516 27957 X 5987 0 21970
UNISYS CORP COM 909214108 49500 4400 X 4400 0 0
UNITED CMNTY FINL CORP OHIO 909839102 155445 23685 X 23685 0 0
UNITED CMNTY FINL CORP OHIO 909839102 207962 31687 X 31687 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 349495936 8683127 5286361 80858 3315910
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 72
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
UNITED BANKSHARES INC WEST V 909907107 225609 11496 X 11496 0 0
UNITED DOMINION RLTY TR INC COM 910197102 276769 25450 X 23450 2000 0
UNITED PARCEL SERVICE INC 911312106 1369574 24294 X 24294 0 0
UNITED PARCEL SERVICE INC 911312106 311754 5530 X 5455 0 75
U S AIRWAYS GROUP INC COM 911905107 202321 6647 X 1640 0 5007
U S AIRWAYS GROUP INC COM 911905107 2496 82 X 82 0 0
UNITED TECHNOLOGIES CORP COM 913017109 70257565 1014550 X 975407 525 38618
UNITED TECHNOLOGIES CORP COM 913017109 14743533 212903 X 177743 26820 8340
UNITED THERAPEUTICS CORP DEL 91307C102 297075 3400 X 0 0 3400
UNITEDHEALTH GROUP INC 91324P102 2040471 20663 X 4484 0 16179
UNITEDHEALTH GROUP INC 91324P102 281438 2850 X 2650 0 200
UNIVERSAL FOODS CORP COM 913538104 347394 17050 X 17050 0 0
UNOCAL CORP COM 915289102 1445055 40777 X 23619 0 17158
UNOCAL CORP COM 915289102 750754 21185 X 18585 2000 600
UNUMPROVIDENT CORP 91529Y106 728611 26738 X 9715 0 17023
UNUMPROVIDENT CORP 91529Y106 91475 3357 X 357 0 3000
U S FREIGHTWAYS CORP COM 916906100 227 10 X 10 0 0
U S FREIGHTWAYS CORP COM 916906100 245030 10800 X 10800 0 0
USACCESS BANK INC CL A 9172969A5 200000 20000 X 20000 0 0
UTILICORP UTD INC COM 918005109 145573 5626 X 5626 0 0
UTILICORP UTD INC COM 918005109 295777 11431 X 10168 0 1263
V F CORP COM 918204108 311390 12613 X 2090 0 10523
V F CORP COM 918204108 144079 5836 X 5036 800 0
VALUE CITY DEPT STORES INC COM 920387107 165743 20090 X 20090 0 0
VALUE LINE ASSET ALLOCATION FD INC 920395100 3502253 163123 X 163123 0 0
VAN KAMPEN MERRITT PA TAX FREE 920902103 509916 30626 X 30626 0 0
VAN KAMPEN MERRITT PA TAX FREE 920902103 30205 1814 X 605 1209 0
VAN KAMPEN MUNICIPAL INCOME TRUST 920909108 184861 22073 X 22073 0 0
VAN KAMPEN MUNICIPAL INCOME TRUST 920909108 54438 6500 X 6500 0 0
VAN KAMPEN 920914108 253909 26926 X 26926 0 0
VAN KAMPEN 920914108 29259 3103 X 0 0 3103
VAN KAMPEN MERRITT MUN INCOME FD 920917101 37203 2646 X 2646 0 0
VAN KAMPEN MERRITT MUN INCOME FD 920917101 187925 13366 X 13366 0 0
VAN KAMPEN MUNICIPAL OPPORTUNITY TR 920944105 144756 12000 X 12000 0 0
VAN KAMPEN 921129102 285142 20798 X 20798 0 0
VAN KAMPEN 921129102 101294 7388 X 6042 1346 0
VAN KAMPEN AM CAP ENTERPRISE 92113C203 200302 9121 X 9121 0 0
VAN KAMPEN EQUITY INCOME FUND CL A 92113D102 90418 10501 X 10501 0 0
VAN KAMPEN EQUITY INCOME FUND CL A 92113D102 102721 11930 X 5070 6860 0
VAN KAMPEN 92113F107 105702 10819 X 10819 0 0
VAN KAMPEN 92113F107 93415 9561 X 9561 0 0
VAN KAMPEN AMERN CAP TAX EXE 92113R101 107884 10120 X 10120 0 0
VAN KAMPEN AMERN CAP TAX EXEMPT TR 92113R200 147358 13823 X 13823 0 0
VAN KAMPEN AMERICAN VALUE FUND 921133609 803299 36497 X 36497 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 101851973 1946113 1780064 41560 124489
</TABLE>
<PAGE> 39
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 73
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
VAN KAMPEN EMERGING MARKETS FUND 921133856 119388 11381 X 11381 0 0
VANGUARD SPECIALIZED PORTFOLIO 921908307 372825 2848 X 2307 0 541
VANGUARD SPECIALIZED PORTFOLIO 921908307 1096212 8374 X 1663 298 6413
VANGUARD # 123 921908703 7620 665 X 665 0 0
VANGUARD # 123 921908703 112149 9795 X 3716 6078 0
VANGUARD # 113 921909602 398191 31779 X 31779 0 0
VANGUARD # 113 921909602 93251 7442 X 7442 0 0
VANGUARD WORLD FD - US GROWTH 921910105 1661779 35876 X 17671 0 18205
VANGUARD WORLD FD - US GROWTH 921910105 96061 2074 X 1730 0 344
VANGUARD WORLD FD 921910204 696242 33489 X 33489 0 0
VANGUARD WORLD FD 921910204 624352 30031 X 3091 0 26941
VANGUARD # 93 921913109 16246819 454966 X 454966 0 0
VANGUARD # 93 921913109 614213 17200 X 17200 0 0
VANGUARD # 65 921921102 197835 8223 X 8223 0 0
VANGUARD # 65 921921102 24179 1005 X 1005 0 0
VANGUARD MORGAN GROWTH FD # 26 921928107 187181 8301 X 8301 0 0
VANGUARD MORGAN GROWTH FD # 26 921928107 102108 4528 X 4528 0 0
VANGUARD OHIO TAX FREE MONEY MARKET 921929105 52171 52171 X 52171 0 0
VANGUARD OHIO TAX FREE FD 921929204 197569 17361 X 17361 0 0
VANGUARD OHIO TAX FREE FD 921929204 1162038 102112 X 102112 0 0
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VANGUARD FIXED INCOME SECS FD 922031208 923636 131198 X 131198 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 67196379 3942439 3836724 6376 99338
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 74
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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VANGUARD MUN BD FD INC 922907605 254607 21129 X 21129 0 0
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SUBTOTALS FOR THIS PAGE 37954183 3207869 2971516 72598 163755
</TABLE>
<PAGE> 40
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 75
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
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VERSUS TECHNOLOGY INC 925313108 3200 10000 X 10000 0 0
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VODAFONE GROUP PLC NEW 92857W100 15936030 430704 X 217806 0 212898
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SUBTOTALS FOR THIS PAGE 423634240 8300371 5686233 160937 2453203
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 76
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
VODAFONE GROUP PLC NEW 92857W100 12284185 332005 X 299176 13805 19024
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SUBTOTALS FOR THIS PAGE 516946254 12974314 11639926 177865 1156526
</TABLE>
<PAGE> 41
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 77
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
WASTEQUIP INC PREFERRED SERIES "A" 9410619A3 243470 2435 X 2435 0 0
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SUBTOTALS FOR THIS PAGE 194676499 5801001 5184370 54972 561659
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 78
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
WINSTAR COMMUNICATIONS INC COM 975515107 1537290 99180 X 76755 325 22100
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WORLDCOM INC 98157D106 107858317 3550891 X 2548337 3464 999090
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YAHOO! INC COM 984332106 5999084 65924 X 14153 0 51771
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YORK GROUP INC 986632107 132000 22000 X 0 0 22000
YORK INTL CORP COM NEW 986670107 108082 4345 X 4050 0 295
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Z TEL TECHNOLOGIES INC 988792107 99325 13700 X 13700 0 0
ZALE CORP NEW COM 988858106 3462432 106740 X 1340 0 105400
ZIONS BANCORP COM 989701107 170658 3337 X 637 0 2700
ZIONS BANCORP COM 989701107 252125 4930 X 4000 0 930
ZORAN CORP 98975F101 3895125 79900 X 4900 0 75000
ZORAN CORP 98975F101 975 20 X 20 0 0
ZURICH YIELDWISE 989823307 1371100 1371100 X 1371100 0 0
MELLON DT MARKET COMPLETION FUND 990102774 8365991 57393 X 57393 0 0
ALLEGHENY BUSINESS TRUST SHS BEN INT 990173262 2453033 2550 X 2550 0 0
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BLAIR STRIP STEEL CO COM 990860264 14375 1 X 1 0 0
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CHARLES BUILDINGS INC 991576216 724259 500 X 500 0 0
DAILY NEWS PUBLISHING CO 992450213 296660 100 X 100 0 0
HORIX MFG CO COM 993896208 293249 414 X 0 414 0
JEFFERSON MEMORIAL PARK INC 994560266 381370 8640 X 0 8640 0
LEZZER CASH & CARRY OF CURWENSVILLE 995160009 1553638 2493 X 0 2493 0
PHILLIPS RESOURCES INC, COM 997310990 751188 429 X 429 0 0
PHILLIPS RESOURCES INC, COM 997310990 5088563 2908 X 2306 488 114
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SUBTOTALS FOR THIS PAGE 224472082 8147211 5906090 131632 2109489
</TABLE>
<PAGE> 42
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 79
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
A. COMMON STOCK INSTR OTHER
COMMON STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
RCR GROUP INC COM 997506019 961875 35625 X 0 35625 0
SHEFFIELD INC 997650213 245656 50 X 50 0 0
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SPANG & CO COM 998463970 345600 3200 X 3200 0 0
SPANG & CO COM (RESTRICTED I) 998463988 324000 3000 X 3000 0 0
STANDARD STEEL SPECIALTY CO COM 998541452 1804800 12032 X 11032 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 9390161 97307 17372 36625 43310
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR COMMON STOCK 39968881680 1407369663 1142831828 25471322 239066513
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 80
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
B. PREFERRED STOCK INSTR OTHER
PREFERRED STOCK
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
APPLIED TECHNOLOGY VENTURES 0382839B5 277920 579 X 579 0 0
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FORD MTR CO DEL DEPOSITARY SH REPSTG 345370407 55519 2120 X 2120 0 0
NOVALABS LLC 3741599P8 120000 120000 X 120000 0 0
MICHIGAN CON GAS PFD 594457400 238731 10105 X 10105 0 0
NEFF PACKAGING SOLUTIONS INC 6400909A6 266994 1260 X 1260 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 1134650 140765 140765 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR PREFERRED STOCK 1134650 140765 140765 0 0
</TABLE>
<PAGE> 43
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 81
SEC USE ONLY________________________________________
ITEM 1 ITEM 2 ITEM 3 ITEM 4 ITEM 5 ITEM 6 ITEM 7 ITEM 8
NAME OF ISSUER TITLE OF CLASS CUSIP/TICKER MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
SOLE SHRD- SHRD- SOLE SHARED NONE
C. OTHER INSTR OTHER
OTHER
------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ALLWASTE INC SUB DEB CONV 020047AA4 25000 25000 X 0 0 25000
ATRIX LABS INC SUB NT CONV 04962LAC5 27975 30000 X 30000 0 0
CII FINL INC SUB DEB CONV 12551LAB7 43300 80000 X 80000 0 0
CRAY RESEARCH INC SUB DEB CONV 225224AA2 10200 20000 X 0 20000 0
DECOR CORP SUB DEB CONV 243590AA4 20000 100000 X 100000 0 0
INTERIM SVCS INC SUB NT CONV 45868PAA8 284338 430000 X 405000 25000 0
OGDEN CORP 4655978S4 8641 10000 X 10000 0 0
JACOBSON STORES INC SUB DEB CONV 469834AC9 33750 50000 X 50000 0 0
JACOBSON STORES INC SUB DEB CONV 469834AC9 13500 20000 X 0 20000 0
KERR MCGEE CORP SUB DEV 492386AL1 66725 68000 X 48000 20000 0
MAGNA INTL INC SUB DEB CONV 559222AG9 433650 490000 X 460000 30000 0
MERIDIAN DIAGNOSTICS INC SUB DEB 589602AB7 15000 15000 X 15000 0 0
NORAM ENERGY CORP 655419AC3 13200 15000 X 15000 0 0
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR THIS PAGE 995279 1353000 1213000 115000 25000
---------- ---------- ---------- ---------- ----------
SUBTOTALS FOR OTHER 995279 1353000 1213000 115000 25000
</TABLE>
<TABLE>
<CAPTION>
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F)
PREPARED FOR: NATIONAL CITY ON 10/23/00 AS OF 09/30/00 DEPT ID# 001 PAGE 82
**SUMMARY PAGE FOR: NATIONAL CITY **
CATEGORY MARKET SH/PV SOLE SHARED NONE
---------------------------------------- ---------- --------- --------- --------- ---------
<S> <C> <C> <C> <C> <C>
A. COMMON STOCK 39968881680 1407369663 1142831828 25471322 239066513
B. PREFERRED STOCK 1134650 140765 140765 0 0
C. OTHER 995279 1353000 1213000 115000 25000
----------- ---------- ---------- ---------- ----------
**GRAND TOTALS** 39971011609 1408863428 1144185593 25586322 239091513
</TABLE>