NATIONAL CITY CORP
13F-HR, 2000-10-31
NATIONAL COMMERCIAL BANKS
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<PAGE>   1
                INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT
              MANAGERS PURSUANT TO SECTION 13(f) OF THE SECURITIES
                    EXCHANGE ACT OF 1934 AND RULES THEREUNDER

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

            Report for the Calendar Quarter ended: September 30, 2000
                (Please read instructions before preparing form)

                     If amended report check here:__________
<TABLE>
<S>                                                      <C>
NAME OF INSTITUTIONAL INVESTMENT MANAGER:                 NATIONAL CITY CORPORATION
BUSINESS ADDRESS:                                         1900 EAST 9TH STREET
                                                          CLEVELAND, OHIO  44114
NAME:                                                     JOHN P. RUSIN
PHONE NUMBER:                                             (216)575-9741
TITLE (OF PERSON DULY AUTHORIZED TO SUBMIT THIS REPORT):  TRUST OFFICER
</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
     ---------------------------------------------------------------------------

2.   National City Investment Management Company (AMG)                  28-1479
     ---------------------------------------------------------------------------

3.   National City, Indiana                                             28-1479
     ---------------------------------------------------------------------------

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
</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   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
</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   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
</TABLE>
<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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 AWARE INC MASS                           05453N100    3309075      85950   X                             3900          0      82050
 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
 BEST FOODS                               08658U101   11176364     153627   X                           131321        800      21506
 BEST FOODS                               08658U101   12554395     172569               X               141541      29828       1200
 BETHLEHEM STL CORP                       087509105      33117      11039   X                             1745          0       9294
 BETHLEHEM STL CORP                       087509105      17985       5995               X                  169          0       5826
 MARCONI PLC ORD (GBP)                    0877431S9    3707687     209215   X                             7952          0     201263
 ENERGIS PLC ORD (GBP)                    0889782S9    1139591     125000   X                             1600          0     123400
 BILLSERV COM INC                         090181108     189875      24500               X                 7500          0      17000
 BILOXI MARSH LANDS CORP CAP              090203100      88853      10770               X                10770          0          0
 BINDVIEW DEV CORP                        090327107     125546      16600               X                16600          0          0
 BIOCONTROL TECHNOLOGY INC COM            090586108       7620      60000   X                            60000          0          0
 BIOCONTROL TECHNOLOGY INC COM            090586108        127       1000               X                    0          0       1000
 BIOGEN INC COM                           090597105    4861822      79702   X                            21255          0      58447
 BIOGEN INC COM                           090597105     462990       7590               X                 5480          0       2110
 BIOMEC INC                               0906099A8     125000      12500               X                12500          0          0
 BIOMET INC COM                           090613100    4426135     126461   X                           100351          0      26110
 BIOMET INC COM                           090613100    1639785      46851               X                42344          0       4507
 BIOVAIL CORP                             09067J109    4589031      56350   X                                0          0      56350
 BIOVAIL CORP                             09067J109     301321       3700               X                 3700          0          0
 BLACK & DECKER CORP                      091797100     271931       7954   X                             1831          0       6123
 BLACK & DECKER CORP                      091797100     393948      11523               X                 9523       2000          0
 BLACKROCK FDS                            091927103     141020     141020   X                           141020          0          0
 BLACKROCK FDS                            091928101     214570       6000   X                             6000          0          0
 BLACKROCK FDS                            091928598     147905      14006   X                            14006          0          0
 BLACKROCK INVT QUALITY MUN TR INC        09247D105      83788       6703   X                             6703          0          0
 BLACKROCK INVT QUALITY MUN TR INC        09247D105      88388       7071               X                 7071          0          0
 BLACKROCK INCOME TR INC COM              09247F100     139931      21950   X                            21950          0          0
 BLACKROCK INCOME TR INC COM              09247F100      19125       3000               X                 3000          0          0
 BLACKROCK INSD MUN TERM TR INC COM       092474105     401102      39615               X                39615          0          0
 BLACKROCK TARGET TERM TR INC COM         092476100     512513      51900   X                            51900          0          0
 BLACKROCK TARGET TERM TR INC COM         092476100      10714       1085               X                 1085          0          0
 BLACKROCK 2001 TERM TR INC COM           092477108      65361       7066   X                             7066          0          0
 BLACKROCK 2001 TERM TR INC COM           092477108      46250       5000               X                 5000          0          0
 BLAIR CORP COM                           092828102     258500      11000   X                            11000          0          0
 BLAIR CORP COM                           092828102     213850       9100               X                 9100          0          0
 BLAIR WILLIAM MUT FDS INC                093001774     217032       9204               X                 9204          0          0
 BLANCHE E W HLDGS INC COM                093210102    5083750     245000   X                             2800          0     242200
 BLOCK H & R INC                          093671105     984171      26554   X                            19615          0       6939
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 BOB EVANS FARMS INC COM                  096761101    1898063     102598   X                            50237          0      52361
 BOB EVANS FARMS INC COM                  096761101     737429      39861               X                33511       2772       3578
 BOEING CO                                097023105   23328459     370293   X                           122182        300     247811
 BOEING CO                                097023105    4384989      69603               X                57883       5480       6240
 AMERICAN FUNDS BOND FUND OF AMERICA      097873103     174865      13683   X                            13683          0          0
 BOOKHAM TECHNOLOGY ADR W/I               09856Q108     643125      15000   X                              200          0      14800
 BORDERS GROUP INC COM                    099709107      88367       6340   X                             6340          0          0
 BORDERS GROUP INC COM                    099709107     430684      30900               X                30900          0          0
 BORG WARNER INC                          099724106    2529756      76370   X                             9870          0      66500
 BORG WARNER INC                          099724106      27593        833               X                  333          0        500
 BOSTON SCIENTIFIC CORP COM               101137107     662682      40314   X                            11033          0      29281
 BOSTON SCIENTIFIC CORP COM               101137107      82798       5037               X                 4363          0        674
 BOWATER INC COM                          102183100    4002956      86200   X                                0          0      86200
 BOYKIN LODGING CO COM                    103430104       3050        294   X                              294          0          0
 BOYKIN LODGING CO COM                    103430104     211961      20430               X                  430          0      20000
 BOYLE BANCORP INC                        103990107     754000      13000   X                            13000          0          0
 BRANDYWINE FD INC COM                    10532D107    5154686     111549   X                           108175          0       3375
 BRANDYWINE FD INC COM                    10532D107     218432       4727               X                 4727          0          0
 BRIGGS & STRATTON CORP COM               109043109      73471       1943   X                              301          0       1642
 BRIGGS & STRATTON CORP COM               109043109     191977       5077               X                 4827          0        250
 BRIGHTPOINT INC COM                      109473108       5534       1100   X                             1100          0          0
 BRIGHTPOINT INC COM                      109473108     127787      25400               X                24100          0       1300
 BRISTOL MYERS SQUIBB CO COM              110122108  208649245    3652503   X                          3467032       4150     181321
 BRISTOL MYERS SQUIBB CO COM              110122108  292545170    5121141               X              4896592     105287     119262
 BROADWAY INVESTMENT COMPANY INC          110990108     161874         22   X                               22          0          0
 BROADWAY INVESTMENT COMPANY INC          110990108     749136        100               X                  100          0          0
 BRITISH TELECOMMUNICATIONS PLC           111021408      91111        851   X                              835          0         16
 BRITISH TELECOMMUNICATIONS PLC           111021408     140788       1315               X                 1315          0          0
 BROADCOM CORP                            111320107    5911181      24251   X                             3146          0      21105
 BROADCOM CORP                            111320107      56063        230               X                  230          0          0
 BROADWING INC                            111620100     756511      29594   X                            29594          0          0
 BROADWING INC                            111620100     375367      14684               X                13684          0       1000
 BROCADE COMMUNICATIONS SYSTEMS INC       111621108    8559720      36270   X                               30          0      36240
 BROCADE COMMUNICATIONS SYSTEMS INC       111621108    2374160      10060               X                10060          0          0
 BROTHERHOOD BANCSHARES INC               114816101     335000       6700   X                                0       6700          0
 BROWN FORMAN CORP CL A                   115637100  126132125    2338465   X                           149025          0    2189440
 BROWN FORMAN CORP CL A                   115637100  639657268   11859121               X               308409          0   11550712
 BROWN FORMAN CORP CL B                   115637209    6660721     121657   X                           115216          0       6441
 BROWN FORMAN CORP CL B                   115637209  492807816    9001056               X              1777140          0    7223916
 BRUNSWICK CO COM                         117043109     376224      20615   X                             7460          0      13155
 BRUNSWICK CO COM                         117043109      31116       1705               X                 1705          0          0
 BURLINGTON NORTHERN SANTA FE CORP        12189T104    1546110      71702   X                            39681          0      32021
 BURLINGTON NORTHERN SANTA FE CORP        12189T104    1078905      50035               X                45427          0       4608
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 BURLINGTON RES INC COM                   122014103    5036497     136813               X               115288      13825       7700
 AKVA USA CL "B" COMMON STOCK             1234AKVA3      98438      31250   X                            31250          0          0
 BUTLER NATL CORP COM                     123720104       3250      25000   X                            25000          0          0
 W S BUTTERFIELD THEATRES                 124160995    1478855     107804               X               107804          0          0
 CCALL.COM INC                            1250009A9      50000      62282   X                            62282          0          0
 C-COR NET CORP COM                       125010108     277165      18100               X                18100          0          0
 CGM MUTUAL FUND                          125325100     289914      12332               X                12332          0          0
 C H ROBINSON WORLDWIDE INC               12541W100    5765526     102300   X                             7500          0      94800
 CIGNA CORP COM                           125509109    8861576      84881   X                            60133          0      24748
 CIGNA CORP COM                           125509109    7342556      70331               X                69287        606        438
 CIT GROUP INC                            125577106     521570      29804   X                             4095          0      25709
 CLECO CORP NEW                           12561W105     152312       3258   X                             3258          0          0
 CLECO CORP NEW                           12561W105     144411       3089               X                 3089          0          0
 CMA MONEY FD                             125670109     254701     254701   X                           254701          0          0
 CMGI INC                                 125750109     111417       3988   X                             3906          0         82
 CMGI INC                                 125750109     141366       5060               X                 5060          0          0
 CMS ENERGY CORP COM                      125896100     340577      12643   X                             4506          0       8137
 CMS ENERGY CORP COM                      125896100     275064      10211               X                 1211       9000          0
 CNA FINL CORP COM                        126117100    7966519     208275   X                            18875          0     189400
 CNB CORP COM                             12613T100    1112832      17388   X                            17388          0          0
 C P & L ENERGY INC                       12614C106    1339936      32142   X                            16683          0      15459
 C P & L ENERGY INC                       12614C106     566748      13595               X                11395          0       2200
 CSX CORP COM                             126408103    2271671     104143   X                            76193          0      27950
 CSX CORP COM                             126408103    1640054      75187               X                49771       1500      23916
 CUNO INC                                 126583103     717029      32226   X                            32226          0          0
 CUNO INC                                 126583103     505453      22717               X                22717          0          0
 CVS CORPORATION (DEL)                    126650100   13441654     290235   X                           249719       1738      38778
 CVS CORPORATION (DEL)                    126650100    3317308      71628               X                56044      15019        565
 CABLE & WIRELESS PUB LTD CO              126830207      68101       1600   X                             1600          0          0
 CABLE & WIRELESS PUB LTD CO              126830207     257506       6050               X                 5750          0        300
 CABLETRON SYS INC COM                    126920107     467679      15921   X                             3084          0      12837
 CABLETRON SYS INC COM                    126920107      23471        799               X                  799          0          0
 CABOT CORP COM                           127055101    3421036     107960   X                             1150          0     106810
 CABOT CORP COM                           127055101      10140        320               X                    0          0        320
 CAL DIVE INTL INC                        127914109     251627       4400   X                             4400          0          0
 CALGON CARBON CORP COM                   129603106     207797      30500               X                30500          0          0
 CALIPER TECHNOLOGIES CORP                130876105    3542909      61150   X                             3200          0      57950
 CALIPER TECHNOLOGIES CORP                130876105       2897         50               X                   50          0          0
 CALPINE CORP                             131347106     265113       2540   X                             2540          0          0
 CALPINE CORP                             131347106      10438        100               X                    0          0        100
 CALVERT SOCIAL INVT FD                   131618209     173365     173365   X                                0          0     173365
 CAM COMM SOLUTIONS INC                   131916108      50000      10000               X                10000          0          0
 CAMBREX CORP                             132011107    1990600      53800   X                              600          0      53200
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 CAMINUS CORP                             133766105     263066       6618               X                 6618          0          0
 CAMPBELL SOUP CO COM                     134429109    1252376      48401   X                            18211          0      30190
 CAMPBELL SOUP CO COM                     134429109    1300115      50246               X                43746       2600       3900
 CANADA LIFE FINL CORP                    135113108      75457       3263   X                              563          0       2700
 CANADA LIFE FINL CORP                    135113108     696918      30137               X                    0          0      30137
 CANADIAN PAC LTD NEW COM                 135923100      40300       1550   X                             1550          0          0
 CANADIAN PAC LTD NEW COM                 135923100     298480      11480               X                11400          0         80
 CANON INC ADR REPSTG 5 SHS               138006309      22125        500   X                              500          0          0
 CANON INC ADR REPSTG 5 SHS               138006309     467723      10570               X                 8570          0       2000
 CAPITAL HOLDINGS INC COM                 14018R101     221456       9039   X                             9039          0          0
 CAPITAL HOLDINGS INC COM                 14018R101      17052        696               X                  696          0          0
 AMERICAN FUNDS                           140193103     534306      12182   X                            12182          0          0
 AMERICAN FUNDS                           140193103      87733       2000               X                 2000          0          0
 CAPITAL ONE FINL CORP COM                14040H105    9413034     134351   X                            12854          0     121497
 CAPITAL ONE FINL CORP COM                14040H105     247042       3526               X                 3526          0          0
 CAPITAL PRESERVATION FD UNIT PARTN       140411109     664605      66461   X                            66461          0          0
 CAPITAL WORLD GROWTH & INCOME FD INC     140543109     269495       9151   X                             9151          0          0
 CAPITAL WORLD GROWTH & INCOME FD INC     140543109      61136       2076               X                 2076          0          0
 CARDINAL HEALTH INC COM                  14149Y108   13403112     151983   X                           132169          0      19814
 CARDINAL HEALTH INC COM                  14149Y108    7948296      90129               X                43883       6599      39647
 CARLISLE COS INC COM                     142339100     215800       5200   X                             5200          0          0
 CARLISLE COS INC COM                     142339100     166000       4000               X                 4000          0          0
 CARNIVAL CORP COM                        143658102    4920765     199828   X                           154871          0      44957
 CARNIVAL CORP COM                        143658102    1496511      60772               X                59367        900        505
 CARPENTER TECHNOLOGY CORP                144285103       5825        200   X                              200          0          0
 CARPENTER TECHNOLOGY CORP                144285103     262125       9000               X                 3000       6000          0
 CATALINA MARKETING CORP COM              148867104    5042314     134015   X                             7265          0     126750
 CATALYTICA INC                           148885106     207888      16799   X                            16799          0          0
 CATERPILLAR INC COM                      149123101    7957424     235776   X                           155336          0      80440
 CATERPILLAR INC COM                      149123101    6512265     192956               X               156440       7300      29216
 CATHARON PRODUCTIONS INC                 149145906      10000      20000   X                                0          0      20000
 CEDAR FAIR LP DEPOSITARY UNITS           150185106    2666373     144613   X                           143813        600        200
 CEDAR FAIR LP DEPOSITARY UNITS           150185106    3253035     176431               X               141131      11800      23500
 CENDANT CORP                             151313103     677252      62276   X                            11972          0      50304
 CENDANT CORP                             151313103     878276      80761               X                64661      13000       3100
 CENTENNIAL MONEY MKT TR                  151355104      12474      12474   X                            12474          0          0
 CENTRAL PARK MEDIA CORPORATION CL B      1547849B0          2      33750               X                    0          0      33750
 CENTRAL PKG CORP COM                     154785109     227850      11500   X                            11500          0          0
 CENTRAL PKG CORP COM                     154785109      14860        750               X                  750          0          0
 CENTURA BKS INC COM                      15640T100    6359958     166000   X                           166000          0          0
 CENTURI INC                              156410102          1      10000   X                            10000          0          0
 CENTURY ALUM CO                          156431108    3096250     247700   X                             2900          0     244800
 CENTURY BUSINESS SVCS INC                156490104    2200986    1676303               X              1673903          0       2400
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 CENTURY INSTRUMENT CORPORATION CLASS     156573107     256500       9500               X                 9500          0          0
 CENTURYTEL INC                           156700106     424937      15594   X                             5698          0       9896
 CENTURYTEL INC                           156700106      88208       3237               X                 3237          0          0
 CERIDIAN CORP COM                        15677T106     475808      16955   X                             6680          0      10275
 CERIDIAN CORP COM                        15677T106     135516       4829               X                 4829          0          0
 CHAMPION INDUSTRIES INC/WV COM           158520106      47400      15800   X                            15800          0          0
 CHARITABLE TEMPORARY INVESTMENT FD       1596409A1      81067      81067   X                            81067          0          0
 CHARTER ONE FINL INC COM                 160903100   66812565    2741028   X                           443625          0    2297403
 CHARTER ONE FINL INC COM                 160903100    1105973      45373               X                42617          0       2756
 CHARMING SHOPPES INC                     161133103    2689351     515300   X                             6200          0     509100
 CHARMING SHOPPES INC                     161133103       1044        200               X                  200          0          0
 CHARTER PAC BK AGOURA CALIF              16132L100     301093     123500   X                           123500          0          0
 CHASE MANHATTAN CORP (NEW) COM           16161A108   46930496    1016076   X                           884364        730     130982
 CHASE MANHATTAN CORP (NEW) COM           16161A108   17639428     381905               X               295749      42020      44136
 CHELSEA ST BK CHELSEA MICH               16342N102     561120       1120   X                             1120          0          0
 CHEMFIRST INC                            16361A106    2212422     106300   X                             1300          0     105000
 CHESTNUT STREET EXCHANGE                 166668103    4754148      12864               X                12864          0          0
 CHEVRON CORP COM                         166751107  105049398    1232251   X                           964506       1015     266730
 CHEVRON CORP COM                         166751107   53305807     625288               X               533906      56709      34673
 CHIRON CORP                              170040109    2744910      60998   X                              748          0      60250
 CHIRON CORP                              170040109     164790       3662               X                 1162          0       2500
 CHRIS CRAFT INDS INC COM                 170520100     463195       5623   X                             5623          0          0
 CHRIS CRAFT INDS INC COM                 170520100      30232        367               X                  367          0          0
 CHUBB CORP COM                           171232101   15162566     191628   X                           166388        600      24640
 CHUBB CORP COM                           171232101   26813168     338871               X               332286       1381       5204
 CHURCH & DWIGHT INC COM                  171340102    3240248     176340   X                           173890       1400       1050
 CHURCH & DWIGHT INC COM                  171340102    1549423      84322               X                80722       1325       2275
 CHURCHILL DOWNS INC COM                  171484108    1196693      46249   X                            46249          0          0
 CHURCHILL DOWNS INC COM                  171484108     219549       8485               X                 8485          0          0
 AQUILA CHURCHILL                         171562101     789613      77186   X                            77186          0          0
 AQUILA CHURCHILL                         171562101     459656      44932               X                44932          0          0
 CHURCHILL TAX FREE FD KY                 171562408    2564674     250456   X                           250456          0          0
 CIENA CORP                               171779101     998470       8130   X                             7360          0        770
 CIENA CORP                               171779101    4376810      35638               X                35638          0          0
 CIMA LABORATORIES INC                    171796105   10394378     199650   X                            38300          0     161350
 CINCINNATI FINL CORP COM                 172062101    7058820     198840   X                           181715          0      17125
 CINCINNATI FINL CORP COM                 172062101    8701476     245112               X               238925       2445       3742
 CINDERELLA INCORPORATED CLASS B          172398950     365376       4800   X                             4800          0          0
 CINERGY CORP COM                         172474108    1090286      32976   X                            15702          0      17274
 CINERGY CORP COM                         172474108     403402      12201               X                 9885          0       2316
 CIRCUIT CITY STORES-CIRCUIT CITY         172737108     503171      21877   X                             7498          0      14379
 CIRCUIT CITY STORES-CIRCUIT CITY         172737108      89240       3880               X                  730          0       3150
 CISCO SYS INC COM                        17275R102  376030671    6805985   X                          6080518      20303     705164
 CISCO SYS INC COM                        17275R102  208342888    3770912               X              3338089     242472     190351
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 CIRRUS LOGIC INC COM                     172755100    7208972     178825   X                            14425          0     164400
 CINTAS CORP COM                          172908105   27236765     625227   X                           597337        250      27640
 CINTAS CORP COM                          172908105   14177100     325439               X               290509       8895      26035
 CITIGROUP INC COM                        172967101  134013005    2478830   X                          1318340        946    1159544
 CITIGROUP INC COM                        172967101   27519743     509031               X               413491      43587      51953
 CITIZENS BKG CORP MICH COM               174420109    3006399     130713   X                           130713          0          0
 CITIZENS BKG CORP MICH COM               174420109     528540      22980               X                22980          0          0
 CITIZENS COMMUNICATIONS CO               17453B101     538125      40045   X                            40045          0          0
 CITIZENS COMMUNICATIONS CO               17453B101     256867      19115               X                17567          0       1548
 CITRIX SYS INC COM                       177376100     674297      33609   X                            16036          0      17573
 CITRIX SYS INC COM                       177376100     275064      13710               X                13710          0          0
 CITY NATL CORP COM                       178566105     746621      19330   X                            16130          0       3200
 CLARUS CORP                              182707109      57489       2520   X                             2520          0          0
 CLARUS CORP                              182707109     203401       8916               X                 8916          0          0
 CLASSIC BANCSHARES INC COM               18272M104     766203      72750               X                    0          0      72750
 CLAYTON HOMES INC COM                    184190106      47470       4747   X                             3623          0       1124
 CLAYTON HOMES INC COM                    184190106      81850       8185               X                 7248        937          0
 CLEAR CHANNEL COMMUNICATIONS INC COM     184502102   22807242     403668   X                           348403        375      54890
 CLEAR CHANNEL COMMUNICATIONS INC COM     184502102    9265944     163999               X               146970      11940       5089
 CLEVELAND IGNITION CO COM                1861809A5      85282      10045               X                10045          0          0
 CLIFFORD JACOBS FORGING COMPANY          187995105     421500        281   X                              281          0          0
 CLOROX CO COM                            189054109   12975596     327973   X                           309955        200      17818
 CLOROX CO COM                            189054109    7417442     187484               X               172209       9675       5600
 COASTAL CORP COM                         190441105   72388548     976574   X                           642078        515     333981
 COASTAL CORP COM                         190441105    2339682      31564               X                23169       3440       4955
 COBALT NETWORKS INC                      19074R101    4184363      72300   X                             2900          0      69400
 COCA-COLA CO COM                         191216100  154026483    2794131   X                          2592021       1310     200800
 COCA-COLA CO COM                         191216100  125714579    2280537               X              2099822      60052     120663
 COCA COLA ENTERPRISE INC COM             191219104     610218      38287   X                             8253          0      30034
 COCA COLA ENTERPRISE INC COM             191219104      10933        686               X                  686          0          0
 COHEN FURNITURE COMPANY                  191995109     673320        186   X                               93          0         93
 COHEN FURNITURE COMPANY                  191995109      14480          4               X                    0          0          4
 COGNEX CORP COM                          192422103     788760      20000               X                    0          0      20000
 COHERENT INC COM                         192479103     204000       3000   X                             3000          0          0
 COLGATE-PALMOLIVE CO COM                 194162103   12464960     264088   X                           220103        240      43745
 COLGATE-PALMOLIVE CO COM                 194162103    7269555     154016               X               135392      13312       5312
 COLLECTORS UNIVERSE INC                  19421R101      37500      15000               X                15000          0          0
 COLLEGELINK COM INC                      194535100      11530      23060               X                    0          0      23060
 COLONIAL BANCGROUP COM                   195493309    4048844     390250   X                            48750          0     341500
 COLUMBIA ENERGY GROUP INC COM            197648108     504597       7107   X                             1366          0       5741
 COLUMBIA ENERGY GROUP INC COM            197648108     318719       4489               X                 3210        379        900
 COLUMBIA SMALL CAP FD INC                198430100    1081105      33976   X                            33976          0          0
 COLUMBIA REALTY CORP                     198990103     384997        460   X                                0          0        460
 COMCAST CORP CL A                        200300101     259996       6390   X                             6390          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 COMCAST CORP CL A                        200300101      61032       1500               X                    0          0       1500
 COMCAST CORP CL A SPL                    200300200   69474897    1697076   X                          1595727       1640      99709
 COMCAST CORP CL A SPL                    200300200   16303108     398239               X               327575      52570      18094
 COMERICA INC COM                         200340107    8243673     141067   X                           125743          0      15324
 COMERICA INC COM                         200340107    1284584      21982               X                14429          0       7553
 COMMERCE BANCORP INC NJ                  200519106     997051      17135   X                            17135          0          0
 COMMERCE BANCSHARES INC COM              200525103     398906      10836   X                            10836          0          0
 COMMERCE BANCSHARES INC COM              200525103    1978073      53733               X                50505       3228          0
 COMMERCE ONE INC                         200693109    4342306      55316   X                              366          0      54950
 COMMERCE ONE INC                         200693109     208810       2660               X                 2260          0        400
 COMMERICIAL FED CORP COM                 201647104     918440      48023   X                            48023          0          0
 COMMERICIAL FED CORP COM                 201647104      15300        800               X                  800          0          0
 COMMONWEALTH FINANCIAL CORP              202999A16     226500          1               X                    0          0          1
 COMMSCOPE INC                            203372107      47163       1925   X                             1925          0          0
 COMMSCOPE INC                            203372107     166600       6800               X                 6400        400          0
 COMMUNICATION INTELLIGENCE N             20338K106      22500      10000               X                10000          0          0
 COMMUNITY FINL CORP ILL COM              20364V109     315579      33000   X                            33000          0          0
 COMPASS BANCSHARES INC COM               20449H109    4192500     215000   X                           215000          0          0
 COMPASS BANCSHARES INC COM               20449H109      39000       2000               X                 2000          0          0
 COMPAQ COMPUTER CORP COM                 204493100   10136036     367514   X                           244140       1300     122074
 COMPAQ COMPUTER CORP COM                 204493100    5436183     197106               X               155488      16708      24910
 COMPARATOR SYSTEM CORPORATION COMMON     204494207        250     250000               X                    0          0     250000
 COMPUCREDIT CORP                         20478N100    8980649     160100   X                             7200          0     152900
 COMPUTER ASSOC INTL INC COM              204912109    1768601      70216   X                            28883          0      41333
 COMPUTER ASSOC INTL INC COM              204912109     155158       6160               X                 4485        675       1000
 COMPUTER SCIENCES CORP COM               205363104   14961375     201500   X                           178589          0      22911
 COMPUTER SCIENCES CORP COM               205363104     957528      12896               X                12029          0        867
 COMPUWARE CORP COM                       205638109     429311      51261   X                            25849          0      25412
 COMPUWARE CORP COM                       205638109      28542       3408               X                 1808          0       1600
 COMVERSE TECHNOLOGY INC COM PAR 0.10     205862402    1823904      16888   X                             2196          0      14692
 CONAGRA FOODS INC                        205887102    6671028     332504   X                           276280          0      56224
 CONAGRA FOODS INC                        205887102    3628454     180853               X               168941       1000      10912
 CONCORD CAMERA CORP COM                  206156101    4914875     191800   X                            13100          0     178700
 CONCORD CAMERA CORP COM                  206156101       2563        100               X                    0          0        100
 CONCORD EFS INC COM                      206197105   51847820    1459844   X                          1097489        655     361700
 CONCORD EFS INC COM                      206197105    3643515     102588               X                83758          0      18830
 CONEXANT SYSTEMS INC                     207142100   12367991     295355   X                           185230          0     110125
 CONEXANT SYSTEMS INC                     207142100    5947255     142024               X               126046       2400      13578
 CONNEAUT TEL CO COM                      207525106     367198        487   X                              487          0          0
 CONOCO INC COMMN                         208251306    3276049     125399   X                           122599          0       2800
 CONOCO INC COMMN                         208251306    1372216      52525               X                37175       4550      10800
 CONOCO INC                               208251405   21174938     786062   X                           544511        719     240832
 CONOCO INC                               208251405    3365203     124924               X                86185      13681      25058
 CONSECO INC COM                          208464107     512614      67228   X                            44102          0      23126
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 CONSOL ENERGY INC                        20854P109    6078239     378400   X                             4450          0     373950
 CONSOLIDATED EDISON INC                  209115104    4223549     123767   X                            91104          0      32663
 CONSOLIDATED EDISON INC                  209115104    1978022      57964               X                42334       3030      12600
 CONSOLIDATED STORES CORP                 210149100     158612      11749   X                             3917          0       7832
 CONSOLIDATED STORES CORP                 210149100       1701        126               X                  126          0          0
 CONSTELLATION BRANDS INC CL A            21036P108    5884814     108350   X                             1250          0     107100
 CONSTELLATION BRANDS INC CL A            21036P108     108626       2000               X                 2000          0          0
 CONSTELLATION ENERGY CORP                210371100    1537424      30903   X                            18226          0      12677
 CONSTELLATION ENERGY CORP                210371100    1053108      21168               X                15893       3000       2275
 CONTINENTAL LAND & FUR CO INC COM        2115569A5     200080       3280               X                 3280          0          0
 CONTROLLED HYDRAULICS INC                212396105          0      35326               X                35326          0          0
 CONVERGYS CORP                           212485106   37533385     965489   X                           567493        160     397836
 CONVERGYS CORP                           212485106    1313081      33777               X                32232        490       1055
 COOPER CAMERON CORP COM                  216640102      92110       1250   X                             1250          0          0
 COOPER CAMERON CORP COM                  216640102     159903       2170               X                    0          0       2170
 COOPER COS INC                           216648402    5713063     161500   X                             1900          0     159600
 COOPER COS INC                           216648402       2936         83               X                    0          0         83
 COOPER INDS INC COM                      216669101    2277961      64623   X                            40367          0      24256
 COOPER INDS INC COM                      216669101    1084925      30778               X                26628       3350        800
 COOPER TIRE & RUBBER CO                  216831107     132258      13143   X                             5244          0       7899
 COOPER TIRE & RUBBER CO                  216831107      79659       7916               X                 4376          0       3540
 COORS ADOLPH CO COM                      217016104     199485       3157   X                              544          0       2613
 COORS ADOLPH CO COM                      217016104      21610        342               X                   42          0        300
 COPPER MOUNTAIN NETWORKS INC             217510106     187913       5011   X                             5011          0          0
 COPPER MOUNTAIN NETWORKS INC             217510106    1050675      28018               X                27718        300          0
 CORN PRODS INTL INC                      219023108      82355       3620   X                             3620          0          0
 CORN PRODS INTL INC                      219023108     220425       9689               X                 9067        622          0
 CORNING INC COM                          219350105   40367052     135916   X                            95480          0      40436
 CORNING INC COM                          219350105   14611806      49198               X                44513       4550        135
 CORPORATE EXECUTIVE BOARD CO             21988R102     237475       5900   X                             5900          0          0
 CORVIS CORPORATION                       221009103     213665       3500   X                               15          0       3485
 COSINE COMMUNICATIONS INC                221222102    1111260      20000   X                                7          0      19993
 COSTCO WHSL CORP NEW                     22160K105   37403086    1070556   X                           571730        280     498546
 COSTCO WHSL CORP NEW                     22160K105    1792669      51310               X                48135       1000       2175
 COUNTRYWIDE CR INDS INC COM              222372104     355190       9409   X                             1412          0       7997
 COUNTRYWIDE CR INDS INC COM              222372104      42620       1129               X                  629        500          0
 COUSINS PPTYS INC COM                    222795106      17225        400   X                                0          0        400
 COUSINS PPTYS INC COM                    222795106     331585       7700               X                 7700          0          0
 COVENTRY GROUP INC                       222861700     630982      39022   X                            39022          0          0
 COX COMMUNICATION INC NEW                224044107      61124       1598   X                             1598          0          0
 COX COMMUNICATION INC NEW                224044107     406139      10618               X                 7300       2000       1318
 COX TECHNOLOGIES INC                     224056101       9380      10000   X                            10000          0          0
 CRANE CO COM                             224399105     153263       6700   X                             2041          0       4659
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 CREE INC                                 225447101     476625       4100               X                 4000        100          0
 CROMPTON CORP                            227116100      38737       4919   X                             4919          0          0
 CROMPTON CORP                            227116100      96248      12222               X                11600        622          0
 CROSS TIMBERS OIL CO COM                 227573102    4979286     259500   X                            10950          0     248550
 CROSS TIMBERS OIL CO COM                 227573102      64760       3375               X                 3375          0          0
 CROWN CASTLE INTL CORP                   228227104     246640       7940               X                 2000          0       5940
 CROWN CORK & SEAL INC COM                228255105     187617      17554   X                             1885          0      15669
 CROWN CORK & SEAL INC COM                228255105      35698       3340               X                 3340          0          0
 THE CROWN GROUP INC.                     228360103    1771990      89000               X                    0          0      89000
 CROWN PAC PARTNERS LP                    228439105     297113      17100   X                            17100          0          0
 CROWN PAC PARTNERS LP                    228439105      17375       1000               X                 1000          0          0
 CULLEN FROST BANKERS INC COM             229899109    6020625     185250   X                            13700          0     171550
 CULLEN FROST BANKERS INC COM             229899109     107250       3300               X                 3300          0          0
 CYTEC INDS INC                           232820100    2497752      74698   X                             1998          0      72700
 CYTEC INDS INC                           232820100     100816       3015               X                 3015          0          0
 CYTYC CORP COM                           232946103    6518344     151150   X                             4000          0     147150
 DCB FINL CORP                            233075100     128520      10080   X                            10080          0          0
 DELAWARE GROUP TAX FREE PA CL A          233216100     666889      86948   X                            86948          0          0
 DELAWARE GROUP TAX FREE PA CL A          233216100     250276      32631               X                12417      12682       7532
 DQE INC COM                              23329J104    1055448      26304   X                            26304          0          0
 DQE INC COM                              23329J104     690712      17214               X                 9539       1000       6675
 DPL INC COM                              233293109    1885357      63373   X                            53773          0       9600
 DPL INC COM                              233293109    1652761      55555               X                51730       1700       2125
 DTE ENERGY INC COM                       233331107    1101715      28803   X                            18559          0      10244
 DTE ENERGY INC COM                       233331107     381276       9968               X                 8425          0       1543
 DAKOTA MNG CORP                          23423G105        300      10000   X                            10000          0          0
 DAKOTA MNG CORP                          23423G105         13        419               X                  419          0          0
 DANA CORP COM                            235811106     699073      32515   X                            14893          0      17622
 DANA CORP COM                            235811106     475688      22125               X                20325        300       1500
 DANAHER CORPORATION COM                  235851102    1423248      28608   X                            17525        200      10883
 DANAHER CORPORATION COM                  235851102     801473      16110               X                15710          0        400
 DARDEN RESTAURANTS INC COM               237194105     432557      20783   X                            11625          0       9158
 DARDEN RESTAURANTS INC COM               237194105     882659      42409               X                37529          0       4880
 DAILY NEWS BROADCASTING CO               238810907       9075         55   X                               55          0          0
 DAILY NEWS BROADCASTING CO               238810907     327525       1985               X                 1985          0          0
 DAVIS                                    239080104     423167      13537   X                            13537          0          0
 DAVIS                                    239080104     158499       5070               X                 5070          0          0
 DEAN FOODS CO COM                        242361103    2643375      79500   X                             4500          0      75000
 DEAN FOODS CO COM                        242361103      22477        676               X                  676          0          0
 DEAN WITTER SELECT EQUITY TR             24241X262      22945      21245   X                            21245          0          0
 DEEP VEIN COAL CO INC COM                2437899A4   37965000      63275               X                39600      23675          0
 DEERE & CO COM                           244199105    3489721     104954   X                            16348          0      88606
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 DELAWARE GROUP DECATUR EQUITY INC A      245907100     281543      16899   X                            16899          0          0
 DELAWARE GROUP DECATUR EQUITY INC A      245907100     129145       7752               X                 2515          0       5237
 DELAWARE GROUP TAX FREE FD INC           245909106     170153      15858   X                            15858          0          0
 DELAWARE GROUP TAX FREE FD INC           245909106     149174      13903               X                    0      13903          0
 DELL COMPUTER CORP COM                   247025109   37805641    1226938   X                           956409       2945     267584
 DELL COMPUTER CORP COM                   247025109   18642235     605012               X               544839      20900      39273
 DELPHI AUTOMOTIVE SYS CORP               247126105    2214179     146392   X                           103576          0      42816
 DELPHI AUTOMOTIVE SYS CORP               247126105    1266381      83728               X                67093      14158       2477
 DELTA AIR LINES INC DEL COM              247361108     842681      18990   X                             8771          0      10219
 DELTA AIR LINES INC DEL COM              247361108      93143       2099               X                 2099          0          0
 DELUXE CORP COM                          248019101     130349       6417   X                             1235          0       5182
 DELUXE CORP COM                          248019101     261774      12887               X                 9887       3000          0
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103    6919128     537408   X                            62208          0     475200
 DEVELOPERS DIVERSIFIED REALTY CORP       251591103     778101      60435               X                47035       1500      11900
 DEVELOPMENTAL VENTURE CAPITAL CORP       251612107      10000      10000               X                10000          0          0
 DEVON ENERGY CORPORATION NEW             25179M103    1002520      16667   X                             3972          0      12695
 DEVON ENERGY CORPORATION NEW             25179M103     394945       6566               X                 4358       1749        459
 DIAGEO P L C                             25243Q205      53640       1519   X                             1472          0         47
 DIAGEO P L C                             25243Q205     311637       8825               X                 8825          0          0
 DIAMOND OFFSHORE DRILLING INC COM        25271C102     688980      16804   X                            11604          0       5200
 DIAMOND OFFSHORE DRILLING INC COM        25271C102       4100        100               X                    0        100          0
 DIASENSE INC                             252834106          1      25000   X                            25000          0          0
 DIEBOLD INC COM                          253651103     762358      28700   X                            23607          0       5093
 DIEBOLD INC COM                          253651103    1273244      47933               X                45698          0       2235
 DIESEL INJECTION OF LOUISVILLE INC       253706907     436000        109   X                              109          0          0
 DIGENE CORP                              253752109    4069800     113050   X                             5500          0     107550
 DIGITAL CREATIVE DEV CORP                25384B108     112500      75000               X                75000          0          0
 DIME CMNTY BANCORP INC                   253922108    4123350     166600   X                            21300          0     145300
 DILGARD FROZEN FOODS INC                 253990105     507100        200               X                  200          0          0
 DILLARD'S INC                            254067101     143278      13485   X                             4840          0       8645
 DILLARD'S INC                            254067101     222828      20972               X                20772        200          0
 DIME BANCORP INC NEW COM                 25429Q102     323445      15000   X                            15000          0          0
 DISNEY WALT CO                           254687106   42785150    1118566   X                           936332       4670     177564
 DISNEY WALT CO                           254687106   44768680    1170423               X              1037454      55424      77545
 DISPATCH PRINTING CO CAP VTC             254991102   17208000        956   X                              956          0          0
 DISPATCH PRINTING CO CAP VTC             254991102   41292000       2294               X                  940        300       1055
 DIVERSA CORP                             255064107    2825550     104650   X                             4400          0     100250
 DODGE & COX BALANCED FD COM              256201104     217051       3336   X                             3336          0          0
 DODGE & COX INCOME FD                    256210105     190181      16509   X                            16509          0          0
 DODGE & COX STOCK FD COM                 256219106    5051269      51496   X                            50433          0       1063
 DODGE & COX STOCK FD COM                 256219106      78562        801               X                  801          0          0
 DOLLAR GEN CORP COM                      256669102     859543      51316   X                            27866          0      23450
 DOLLAR GEN CORP COM                      256669102     103247       6164               X                 6164          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 DOMINION RES INC VA NEW                  25746U109   10926689     188187               X               131755      38921      17511
 DONALDSON INC COM                        257651109     180400       8200   X                             8200          0          0
 DONALDSON INC COM                        257651109      55704       2532               X                 2532          0          0
 DONNELLEY R R & SONS CO COM              257867101    1347330      54852   X                            45944          0       8908
 DONNELLEY R R & SONS CO COM              257867101    4633589     188641               X               175941      12700          0
 DOVER CORP COM                           260003108    1728727      36830   X                            22431          0      14399
 DOVER CORP COM                           260003108     480551      10238               X                10238          0          0
 DOW CHEM CO COM                          260543103   59189496    2373466   X                          2308278       1200      63988
 DOW CHEM CO COM                          260543103   20076400     805053               X               723901      16521      64631
 DOW JONES & CO INC COM                   260561105     542504       8967   X                             2638          0       6329
 DOW JONES & CO INC COM                   260561105     401781       6641               X                 6441          0        200
 DREYFUS CASH MGMT                        26188J206      80771      80771   X                            80771          0          0
 DREYFUS INSD MUN BD FD INC               261902100     192783      11163               X                10120       1043          0
 DREYFUS STRATEGIC                        261932107      95597      11164   X                            11164          0          0
 DREYFUS / LAUREL FDS INC                 261978209      29789      29789   X                            29789          0          0
 DREYFUS                                  26200C502     753271      19241   X                            19241          0          0
 DREYFUS INTERNATIONAL VALUE FUND         26200C601     179806      10871               X                10871          0          0
 DREYFUS FOUNDERS FDS INC                 262001472     102455      14035   X                            14035          0          0
 DREYFUS MUN BD FD INC COM                26201Q104     438217      37974   X                            37974          0          0
 DREYFUS MUN BD FD INC COM                26201Q104    2658061     230335               X               168880      61455          0
 DREYFUS MUN MONEY MKT FD INC             26201S100     287587     287587               X                    0          0     287587
 DREYFUS INTER MUNI BD FD INC             262010101     223109      16775   X                            16775          0          0
 DREYFUS INTER MUNI BD FD INC             262010101      85822       6453               X                 6453          0          0
 DREYFUS LIQUID ASSET INC COM             262015100    1698265    1698265   X                                0          0    1698265
 DREYFUS LIQUID ASSET INC COM             262015100          0          0               X                    0          0          0
 DREYFUS PREMIER ST MUN BD FD             26202D672     194488      16113   X                            16113          0          0
 DREYFUS PREMIER ST MUN BD FD             26202D672     403319      33415               X                33415          0          0
 DREYFUS PREMIER                          26202D813     195059      13360   X                            13360          0          0
 DREYFUS PREMIER                          26202D813      41508       2843               X                 2843          0          0
 DU PONT E I DE NEMOURS & CO COM          263534109   33246179     802311   X                           710674       2467      89170
 DU PONT E I DE NEMOURS & CO COM          263534109   32167366     776277               X               646617      73677      55983
 DUFF & PHELPS UTILS INCOME INC COM       264324104     623035      63901   X                            63901          0          0
 DUFF & PHELPS UTILS INCOME INC COM       264324104     275233      28229               X                26229          0       2000
 DUKE ENERGY CORP COM                     264399106    6580472      76740   X                            50847          0      25893
 DUKE ENERGY CORP COM                     264399106    5721412      66722               X                32607       8100      26015
 DUKE WEEKS REALTY CORP                   264411505    4344816     180096   X                           143796          0      36300
 DUKE WEEKS REALTY CORP                   264411505    2112699      87573               X                78843       4675       4055
 DUN & BRADSTREET CORP DEL                26483B106    2855461      82916   X                            58026          0      24890
 DUN & BRADSTREET CORP DEL                26483B106    3251464      94415               X                86115        800       7500
 DUPREE MUT FDS                           266155100    1166919     160733   X                           160733          0          0
 E-MEDIA INCORPORATED                     2666829A3     750000     107142   X                           107142          0          0
 E-MEDIA INCORPORATED                     2666829A3     200000      28570               X                28570          0          0
 DYCOM INDS INC COM                       267475101     416250      10000   X                            10000          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 DYNEGY INC CL A                          26816Q101     125628       2204               X                 2204          0          0
 E M C CORP MASS COM                      268648102  233482990    2355440   X                          2102510       2850     250080
 E M C CORP MASS COM                      268648102   61348364     618899               X               520491      61175      37233
 ENSCO INTL INC COM                       26874Q100    3249338      84950   X                            84950          0          0
 ENSCO INTL INC COM                       26874Q100     160459       4195               X                    0          0       4195
 E TRADE GROUP INC                        269246104    2032559     123650   X                              450          0     123200
 E TRADE GROUP INC                        269246104      26301       1600               X                 1600          0          0
 EV CLASSIC SR FLOATING-RATE              269261103     166523      17150   X                            17150          0          0
 EAGLE BANCSHARES INC COM                 26942C109     212500      20000   X                            20000          0          0
 EASTERN ENTERPRISES INC COM              27637F100     205861       3226   X                             1313          0       1913
 EASTERN ENTERPRISES INC COM              27637F100     242553       3801               X                 3801          0          0
 EASTMAN CHEMICAL CO COM                  277432100     529469      14334   X                             5016          0       9318
 EASTMAN CHEMICAL CO COM                  277432100     474579      12848               X                12038        685        125
 EASTMAN KODAK CO COM                     277461109    2988985      73125   X                            49823        150      23152
 EASTMAN KODAK CO COM                     277461109    2558326      62589               X                55280       5084       2225
 EATON VANCE GROWTH FD INC COM.           277902102        553         68   X                               68          0          0
 EATON VANCE GROWTH FD INC COM.           277902102     153445      18967               X                 6996       2035       9936
 EATON VANCE GROWTH FD INC                277902813     323886       9012   X                             9012          0          0
 EATON CORP COM                           278058102    4097570      66492   X                            61200        100       5192
 EATON CORP COM                           278058102    4282506      69493               X                66293          0       3200
 EATON VANCE                              27826H867     121189      12703               X                12703          0          0
 EATON VANCE NATIONAL MUNICIPAL FUND      27826L108     148721      15573   X                            15573          0          0
 EATON VANCE NATIONAL MUNICIPAL FUND      27826L108      76119       7971               X                 7971          0          0
 EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801     101112      10031   X                            10031          0          0
 EATON VANCE MUNS TR OHIO TAX FREE FD     27826L801     146172      14501               X                14501          0          0
 EATON VANCE MUNS TR                      27826L835     205069      20990   X                            20990          0          0
 EATON VANCE INSTITUTIONAL SENIOR         27827J102     665324      67960   X                            67960          0          0
 EBAY INC COM                             278642103     532195       7748   X                             6024          0       1724
 EBAY INC COM                             278642103     463781       6752               X                 6480         44        228
 ECHOSTAR COMMUNICATIONS CORP CL A        278762109      54860       1040   X                             1040          0          0
 ECHOSTAR COMMUNICATIONS CORP CL A        278762109     972710      18440               X                  200          0      18240
 ECOLAB INC COM                           278865100   10703823     296809   X                           284414          0      12395
 ECOLAB INC COM                           278865100    3677993     101988               X                89302       7385       5301
 EDISON INTL COM                          281020107    1627873      84289   X                            59871          0      24418
 EDISON INTL COM                          281020107    1202756      62277               X                54148        800       7329
 EDWARDS LIFESCIENCES CORP                28176E108     161874       7421   X                             7421          0          0
 EDWARDS LIFESCIENCES CORP                28176E108     140868       6458               X                 5387        870        201
 EDWARDS INDS INC COM                     2817679A3    1007286       1654               X                 1654          0          0
 EFFICIENT NETWORKS INC                   282056100    1708935      45800   X                                0          0      45800
 EL PASO ELEC CO COM NEW                  283677854    5397840     392000   X                             4600          0     387400
 EL PASO ENERGY CORP COM                  283905107    2771030      44966   X                            22737          0      22229
 EL PASO ENERGY CORP COM                  283905107    1566138      25414               X                16340         28       9046
 ELAN PLC ADR                             284131208    5965560     108960   X                             8960          0     100000
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 EL DORADO BANCHSHARES INC                28467W106     405625      55000   X                            55000          0          0
 ELECTRONIC ARTS INC COM                  285512109      54016       1094   X                             1094          0          0
 ELECTRONIC ARTS INC COM                  285512109     278969       5650               X                 3800          0       1850
 ELECTRONIC DATA SYS CORP NEW COM         285661104    8642790     208260   X                           173004          0      35256
 ELECTRONIC DATA SYS CORP NEW COM         285661104   10221699     246306               X               236873       1104       8329
 ELECTRONICS BOUTIQUE HLDGS C             286045109    3835600     178400   X                             7500          0     170900
 ELECTRONICS BOUTIQUE HLDGS C             286045109      64500       3000               X                 3000          0          0
 ELECTRONICS FOR IMAGING INC COM          286082102     266135      10540   X                            10540          0          0
 ELECTRONICS FOR IMAGING INC COM          286082102      55550       2200               X                  800          0       1400
 GENERAL ELECTRIC                         286275102      12892      12892               X                12892          0          0
 ELFUN TRS UNIT CTF                       286281100    1348190      18278   X                            18278          0          0
 ELFUN TRS UNIT CTF                       286281100     612294       8301               X                 8301          0          0
 EMBARCADERO TECHNOLOGIES INC             290787100    2884706      56150   X                             2300          0      53850
 EMERSON ELEC CO COM                      291011104   57210161     853883   X                           804377       5800      43706
 EMERSON ELEC CO COM                      291011104   57159174     853122               X               695448     108099      49575
 ENDOCARE INC                             29264P104    4505963     228150   X                             9600          0     218550
 ENERGY EAST CORP                         29266M109     286921      12682   X                             6182          0       6500
 ENERGY EAST CORP                         29266M109     324986      14364               X                14364          0          0
 ENERGIZER HLDGS INC                      29266R108     468073      19105   X                            19105          0          0
 ENERGIZER HLDGS INC                      29266R108    1320354      53892               X                 9824        400      43668
 ENGELHARD CORP COM                       292845104     304493      18738   X                             9821          0       8917
 ENGELHARD CORP COM                       292845104     204246      12569               X                12269          0        300
 ENESCO GROUP INC                         292973104      70500      12000   X                            12000          0          0
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 FREEMARKETS INC                          356602102    4946568      86592               X                86592          0          0
 FREEPORT-MCMORAN COPPER & GOLD           35671D857     141810      16091   X                             4564          0      11527
 FREEPORT-MCMORAN COPPER & GOLD           35671D857      36592       4152               X                 4152          0          0
 FREMONT MUT FDS INC                      357378504     212590      21715   X                            21715          0          0
 FULTON FINL CORP PA                      360271100    9030686     455796   X                           434261          0      21535
 FUNDAMENTAL INVESTORS INC CAP            360802102     491258      14474   X                            14474          0          0
 FUNDAMENTAL INVESTORS INC CAP            360802102     200917       5920               X                 5920          0          0
 FUSION INCORPORATED                      3611209A8    1289861        902   X                              902          0          0
 GATX CORP COM                            361448103      67000       1600   X                             1600          0          0
 GATX CORP COM                            361448103     177885       4248               X                  800          0       3448
 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
 GE GOVERNMENT SECURITIES FUND            36158B455      84038      10349               X                10349          0          0
 GEIGER & PETERS INC COMMON               3615909A2     220085        275               X                  275          0          0
 GPU INC COM                              36225X100     504087      15540   X                             6823          0       8717
 GPU INC COM                              36225X100     324607      10007               X                 9438        400        169
 GABELLI                                  362395105     635918      15843   X                            15843          0          0
 GABELLI                                  362395105      25069        625               X                  625          0          0
 GABELLI                                  362398109    2982423      63618   X                            63618          0          0
 GABELLI                                  362398109      41020        875               X                  875          0          0
 GABELLI VALUE FUND INC COM               36240H106    4656929     252545   X                           245742          0       6803
 GABELLI VALUE FUND INC COM               36240H106    1354674      73464               X                73464          0          0
 GABLES RESIDENTIAL TR                    362418105    5739387     211100   X                             4400          0     206700
 GALLAHER GROUP PLC                       363595109     964247      41473   X                            40473       1000          0
 GALLAHER GROUP PLC                       363595109    1511157      64996               X                46228       3768      15000
 GANNETT CO INC COM                       364730101    8262382     155894   X                           135185        300      20409
 GANNETT CO INC COM                       364730101    8292751     156467               X               138337      15980       2150
 GAP INC COM                              364760108    4395215     218396   X                           157077          0      61319
 GAP INC COM                              364760108     676703      33625               X                23728          0       9897
 GARTNER GROUP INC NEW                    366651206       7815        719   X                              719          0          0
 GARTNER GROUP INC NEW                    366651206     160654      14773               X                14721         52          0
 GATEWAY INC                              367626108    1340743      28679   X                             6232          0      22447
 GATEWAY INC                              367626108     186065       3980               X                 2500          0       1480
 GATEWAY TR INDEX PLUS FD                 367829207      26773       1040   X                             1040          0          0
 GATEWAY TR INDEX PLUS FD                 367829207    1029167      39983               X                39983          0          0
 GEMSTAR-TV GUIDE INTL INC                36866W106   11704902     134249   X                            71265          0      62984
 GEMSTAR-TV GUIDE INTL INC                36866W106    1032306      11840               X                  800          0      11040
 GENENTECH INC                            368710406     987860       5320   X                              320          0       5000
 GENENTECH INC                            368710406     904301       4870               X                  670       4200          0
 GENERAL DYNAMICS CORP COM                369550108    4270782      67992   X                            41475          0      26517
 GENERAL DYNAMICS CORP COM                369550108     658406      10482               X                10092        390          0
 GENERAL ELEC CO COM                      369604103  913561773   15836253   X                         14845434      57035     933784
 GENERAL ELEC CO COM                      369604103  750675953   13012688               X             10741366    1310880     960442
 GENERAL GROWTH PPTYS INC COM             370021107    4221456     131150   X                             1550          0     129600
 GENERAL MILLS INC COM                    370334104   13566609     382158   X                           341842          0      40316
 GENERAL MILLS INC COM                    370334104   24058883     677715               X               654351       6770      16594
 GENERAL MTRS CORP COM                    370442105   15020785     231089   X                           181984          0      49105
 GENERAL MTRS CORP COM                    370442105    7151235     110019               X                95719       9517       4783
 GENERAL MTRS CORP                        370442832     915558      24625   X                            22116          0       2509
 GENERAL MTRS CORP                        370442832    1266760      34071               X                23460       2058       8553
 GENTEX CORP COM                          371901109    1209625      48385   X                            44635        300       3450
 GENTEX CORP COM                          371901109     306000      12240               X                 7900       2600       1740
 GENUINE PARTS CO COM                     372460105    2172877     113984   X                            96513        400      17071
 GENUINE PARTS CO COM                     372460105     426744      22386               X                21576        810          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 GENZYME CORP COM-GEN DIV                 372917104     158196       2320               X                 2000        320          0
 GEORGIA PACIFIC CORP COM                 373298108    1470442      62572   X                            50474          0      12098
 GEORGIA PACIFIC CORP COM                 373298108     997787      42459               X                30559       7750       4150
 GEORGIA PAC CORP                         373298702     140261       5219   X                             5219          0          0
 GEORGIA PAC CORP                         373298702     269529      10029               X                 5979       2375       1675
 GILLETTE CO COM                          375766102   39663106    1284635   X                          1188486       1636      94513
 GILLETTE CO COM                          375766102   14669886     475138               X               430923      27828      16387
 GLAXO WELLCOME PLC                       37733W105    4017737      66477   X                            64727          0       1750
 GLAXO WELLCOME PLC                       37733W105    1664039      27533               X                24633        600       2300
 GLOBAL MARINE INC COM NEW                379352404    3924243     127101   X                           127101          0          0
 GLOBAL MARINE INC COM NEW                379352404      24700        800               X                  300          0        500
 GLOBESPAN SEMICONDUCTOR INC              379571102     256200       2100               X                 2100          0          0
 GOLDMAN SACHS 2000 EXCHANGE PLACE        3809809A2     971662       9717               X                 9717          0          0
 GOLDEN ST BANCORP INC                    381197102    9458859     400375   X                           400375          0          0
 GOLDEN ST BANCORP INC                    381197102      35438       1500               X                 1500          0          0
 GOLDEN WEST FINL CORP                    381317106     908193      16936   X                             4819          0      12117
 GOLDEN WEST FINL CORP                    381317106     422780       7884               X                 7884          0          0
 GOLDMAN SACHS GROUP INC                  38141G104      61527        540   X                              540          0          0
 GOLDMAN SACHS GROUP INC                  38141G104     574248       5040               X                  300       4200        540
 GOLDMAN SACHS TR                         38141W364   43368609   43368609   X                                0          0   43368609
 GOLDMAN SACHS FINANCIAL SQUARE           3814999A2    1000000    1000000   X                                0          0    1000000
 GOODRICH B F CO COM                      382388106     559291      14272   X                             2317          0      11955
 GOODRICH B F CO COM                      382388106     528450      13485               X                12485       1000          0
 GOODYEAR TIRE & RUBBER CO COM            382550101     638733      35485   X                            11425          0      24060
 GOODYEAR TIRE & RUBBER CO COM            382550101     376812      20934               X                19108       1726        100
 GOVERNMENT SECS INCOME FD                383743499        559      19952   X                            19952          0          0
 GOVERNMENT SECS INCOME FD                383743523       1346      42075   X                            42075          0          0
 GOVERNMENT SECS INCOME FD                383743523       4588     143385               X                19787          0     123598
 GOVERNMENT SECS INCOME FD                383743580        324      10111   X                            10111          0          0
 GOVERNMENT SECS INCOME FD                383743580        949      29654               X                29654          0          0
 GOVERNMENT SECS INCOME FD UNIT GNMA      383744240       1505      20071   X                            20071          0          0
 GOVERNMENT SECS INCOME FD UNIT GNMA      383744497       1625      25000               X                    0          0      25000
 GOVERNMENT SECS INCOME FD                383744604      14770      15385               X                15385          0          0
 GOVERNMENT SECURITIES INCOME FUND        383744612      10440      21659   X                            21659          0          0
 GRAINGER W W INC COM                     384802104     278523      10585   X                             3975          0       6610
 GRAINGER W W INC COM                     384802104     193322       7347               X                 4347       3000          0
 GREAT LAKES CHEM CORP COM                390568103     213750       7292   X                             3300          0       3992
 GREAT LAKES CHEM CORP COM                390568103     292163       9967               X                 9067          0        900
 GREAT LAKES REIT                         390752103     182438      10500   X                             2200          0       8300
 GREIF BROTHERS CORP                      397624206     209100       6800   X                             6800          0          0
 AMERICAN GROWTH FUND OF AMERICA          399874106    1231762      35745   X                            35745          0          0
 AMERICAN GROWTH FUND OF AMERICA          399874106     360188      10452               X                10452          0          0
 BOUYGUES (EURO)                          4002121S5    5759074      91560   X                             1200          0      90360
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 GUIDANT CORP COM                         401698105    7263899     102760               X                88014       5868       8878
 GULF CDA CORP RES LTD                    40218L305      93525      17400               X                17400          0          0
 ALTRAN TECHNOLOGIES SA (FRF)             4021869S1     266882       1126   X                              250          0        876
 AXA ORD (EUR)                            4026927S0     454046       3186   X                              900          0       2286
 H & Q LIFE SCIENCES INVS                 404053100     327221      10450               X                    0       1000       9450
 HCA-HEALTHCARE CO                        404119109    6053343     163053   X                           108680          0      54373
 HCA-HEALTHCARE CO                        404119109     542062      14601               X                10601        700       3300
 HNC SOFTWARE INC COM                     40425P107     359977       4400               X                    0          0       4400
 HSB GROUP INC                            40428N109     363372       9056   X                             9056          0          0
 HSB GROUP INC                            40428N109    1206759      30075               X                16375      10400       3300
 HSBC HLDGS PLC                           404280406       4284         60   X                                0          0         60
 HSBC HLDGS PLC                           404280406     353430       4950               X                 4950          0          0
 HT INSIGHT FDS INC                       404299778     724514      47571   X                            47571          0          0
 HT INSIGHT FDS INC                       404299778     197006      12935               X                 5767       6819        350
 L'OREAL (EURO)                           4057808S9    4399957      60800   X                              800          0      60000
 LVMH                                     4061412S9    3904911      50255   X                              650          0      49605
 RTL GROUP ORD (EUR)                      4061490S4    3856621      27300   X                              300          0      27000
 HALLIBURTON CO COM                       406216101   11352784     231983   X                           195100        750      36133
 HALLIBURTON CO COM                       406216101    2888712      59028               X                46891       9137       3000
 DISETRONIC HLDG AG REG SH ORD (CHF)      4069290S9    4451401       5340   X                               60          0       5280
 HAMILTON BANCORP INC FLA                 407013101     357000      21000   X                            21000          0          0
 BANCA INTESA SPA ORD (ITL)               4076836S5    4122328     962000   X                            12000          0     950000
 JOHN HANCOCK                             409735107     125833      15852   X                            15852          0          0
 JOHN HANCOCK                             409735107     652567      82208               X                82208          0          0
 HANCOCK HLDG CO                          410120109     355787      11500   X                            11500          0          0
 JOHN HANCOCK FUNDS                       410227102     145168      21069   X                            21069          0          0
 HANSEN-DAYTON INC COM                    411340904    9390329        722               X                    0        722          0
 HARBOR BOND FUND                         411511108    3542281     323792   X                           317762          0       6029
 HARBOR BOND FUND                         411511108     437219      39965               X                39965          0          0
 HARBOR FD                                411511207     520646      19933               X                19933          0          0
 HARBOR                                   411511306    6691318     169058   X                           169058          0          0
 HARBOR                                   411511306     324845       8207               X                 7325        882          0
 HARBOR FD CAPITAL APPRECIATION           411511504   18462507     365667   X                           359353        870       5444
 HARBOR FD CAPITAL APPRECIATION           411511504    2379725      47133               X                32401      11824       2908
 HARBOR FD                                411511603     484151      35943               X                35943          0          0
 HARBOR FUNDS                             411511801     625984      33874               X                33874          0          0
 HARCOURT GENERAL INC COM                 41163G101     382438       6482   X                             1424          0       5058
 HARCOURT GENERAL INC COM                 41163G101     266916       4524               X                 4524          0          0
 JULIUS BAER HLDGS AG -B                  4116958S1    8109044       1643   X                               59          0       1584
 HARLEY DAVIDSON INC COM                  412822108   74230523    1550507   X                          1482419       2380      65708
 HARLEY DAVIDSON INC COM                  412822108   32103682     670573               X               633647      14255      22671
 HARMAN INTL INDS INC NEW COM             413086109    4953970     126700   X                             1600          0     125100
 HARRAH'S ENTERTAINMENT INC               413619107     297193      10807   X                             1780          0       9027
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 HARRAH'S ENTERTAINMENT INC               413619107      12293        447               X                  447          0          0
 HARRIS CORP COM                          413875105    9972240     350666   X                            10066          0     340600
 HARRIS CORP COM                          413875105     180581       6350               X                 6350          0          0
 HARSCO CORP COM                          415864107    1079851      48944   X                            48944          0          0
 HARSCO CORP COM                          415864107       3332        151               X                  151          0          0
 HARTFORD FINL SVCS GROUP INC COM         416515104    3576223      49031   X                            33192        200      15639
 HARTFORD FINL SVCS GROUP INC COM         416515104    1962324      26904               X                22358       3940        606
 HASBRO INC COM                           418056107    1118556      97793   X                            84581          0      13212
 HASBRO INC COM                           418056107       2539        222               X                  222          0          0
 HAVEN BANCORP INC COM                    419352109     440625      15000   X                            15000          0          0
 HAWAIIAN ELEC INDS INC                   419870100    3388106      97150   X                             1650          0      95500
 HAWAIIAN ELEC INDS INC                   419870100      45338       1300               X                 1300          0          0
 HEALTHSOUTH CORP COM                     421924101     811314      99854   X                            72529          0      27325
 HEALTHSOUTH CORP COM                     421924101      24570       3024               X                 2024          0       1000
 HEALTH MGMT ASSOC INC NEW CL A           421933102     695009      33393   X                            31875          0       1518
 HEALTH MGMT ASSOC INC NEW CL A           421933102     264575      12712               X                 6700       5000       1012
 HEALTH CARE REIT INC                     42217K106      77213       4350   X                             4350          0          0
 HEALTH CARE REIT INC                     42217K106     703131      39613               X                39513          0        100
 HEARTLAND VALUE FD INC                   422359109   23906776     671350   X                           665261       1059       5031
 HEARTLAND VALUE FD INC                   422359109    2531335      71085               X                35994      30198       4893
 HEIGHTS BUILDING CO COM                  4228199A2     232497          9               X                    9          0          0
 HEINZ H J CO COM                         423074103   22771224     614392   X                           582881       1400      30111
 HEINZ H J CO COM                         423074103   38435406    1037029               X               785235     152181      99613
 HELMERICH & PAYNE INC COM                423452101     258294       7150   X                             1650          0       5500
 HELMERICH & PAYNE INC COM                423452101     381263      10554               X                 6600          0       3954
 HENRY JACK & ASSOC INC COM               426281101    4862338     112100   X                             1200          0     110900
 DEN DANSKE BANK ORD (DKK)                4262925S3    4188138      33450   X                              450          0      33000
 HERCULES INC COM                         427056106     205589      14555   X                             7021          0       7534
 HERCULES INC COM                         427056106      66684       4721               X                 4721          0          0
 HERSHEY FOODS CORP                       427866108    3135407      57929   X                            47746          0      10183
 HERSHEY FOODS CORP                       427866108    1140901      21079               X                14479       5000       1600
 HEWLETT PACKARD CO COM                   428236103   86851543     895377   X                           733152        200     162025
 HEWLETT PACKARD CO COM                   428236103   74432465     767345               X               660488      58408      48449
 HIBERNIA CORP COM                        428656102    6142591     501436   X                           501436          0          0
 HIGH SPEED ACCESS CORP                   42979U102      80714      22266   X                            22266          0          0
 HIGHLAND BANCORP INC                     429879109    1923788      76000   X                            76000          0          0
 ABN AMRO HLDG STK DIV CPN #31 RTS        4302638S5          0     156000   X                                0          0     156000
 HIGHWOODS PPTYS INC COM                  431284108    4658850     197200   X                             2400          0     194800
 HILLENBRAND INDS INC COM                 431573104   23472628     524528   X                           524128          0        400
 HILLENBRAND INDS INC COM                 431573104     316204       7066               X                 1666       5200        200
 HILLERICH & BRADSBY CO COM               431999101    1781250      18750   X                            18750          0          0
 HILTON HOTELS CORP COM                   432848109     536304      46381   X                            20278          0      26103
 HILTON HOTELS CORP COM                   432848109      49617       4291               X                 3291       1000          0
 KUDELSKI SA-BEARER ORD (CHF)             4329422S8    3191440       2300   X                               30          0       2270
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 HOME FED BANCORP                         436926109     403125      25000   X                            25000          0          0
 HOME DEPOT INC COM                       437076102  217752421    4103658   X                          3848192       8132     247334
 HOME DEPOT INC COM                       437076102  161905375    3051191               X              2820931     109444     120816
 HOME LN FINL CORP                        437183106      70320      10000   X                            10000          0          0
 HOMESTAKE MINING CO CAP                  437614100     139785      26944   X                             8514          0      18430
 HOMESTAKE MINING CO CAP                  437614100      36425       7021               X                 6421        600          0
 HON INDUSTRIES INC COM                   438092108     219507       8914   X                             8914          0          0
 HON INDUSTRIES INC COM                   438092108     197000       8000               X                 7700          0        300
 HONEYWELL INC COM                        438506107     570940       5000   X                             5000          0          0
 HONEYWELL INTL INC                       438516106   19535298     548359   X                           213998          0     334361
 HONEYWELL INTL INC                       438516106    5285432     148363               X               128001      10162      10200
 HONG KONG & CHINA GAS LTD ADR            438550303      16478      13182   X                            13182          0          0
 HONG KONG & CHINA GAS LTD ADR            438550303      55726      44581               X                    0          0      44581
 HOOPER HOLMES INC                        439104100     415587      43700               X                43700          0          0
 HOUSEHOLD INTL CORP COM                  441815107    4987700      88083   X                            54787          0      33296
 HOUSEHOLD INTL CORP COM                  441815107    4928697      87041               X                84767        474       1800
 HOLDERBANK FINAN GLARUS-B ORD (CHF)      4420499S3    3824837       3240   X                               40          0       3200
 AHOLD NV KONINKLIJKE STK DIV CPN #6      4423625S4          0     130000   X                                0          0     130000
 HUBBELL INC CL B                         443510201    5008540     199838   X                           178938          0      20900
 HUBBELL INC CL B                         443510201    8663477     345668               X               334918       6250       4500
 HULMAN & COMPANY COMMON                  444839906   16351102      40454               X                30087      10367          0
 HUMANA INC COM                           444859102    1284958     119531   X                           104606          0      14925
 HUMANA INC COM                           444859102     295410      27480               X                27480          0          0
 HUMAN GENOME SCIENCES INC                444903108     824768       4764   X                             4338          0        426
 HUMAN GENOME SCIENCES INC                444903108     665319       3843               X                 3763          0         80
 HUMPHREY PRODUCTS                        445485998    3565940      18591   X                            18591          0          0
 HUNTINGTON BANCSHARES INC COM            446150104    3725215     253623   X                           234747          0      18876
 HUNTINGTON BANCSHARES INC COM            446150104    3995577     272030               X               256941      14428        661
 HUTTON TEL TR                            447900101     510760     113000   X                           113000          0          0
 HUTTON TEL TR                            447900101      56952      12600               X                12600          0          0
 HUTCHISON WHAMPOA LTD ADR                448415208     245580       3700               X                 3700          0          0
 HVIDE MARINE INC NEW                     44851M109     124539      16333   X                            16333          0          0
 HUTTON E F INVESTMENT TRUST GNMA         448903799       8451      46950   X                            46950          0          0
 HYPERION SOLUTIONS CORP                  44914M104    3455606     133550   X                             1550          0     132000
 IBP INC COM                              449223106    3016517     164720   X                             3720          0     161000
 ICNB FINANCIAL CORPORATION               449286103     638015      29334               X                29334          0          0
 ICOS CORP COM                            449295104     169141       3125   X                             3125          0          0
 ICOS CORP COM                            449295104      54125       1000               X                 1000          0          0
 I / NET INC                              449775105       2760      12000   X                            10000          0       2000
 IMS HEALTH INC                           449934108    1889952      91082   X                            67393          0      23689
 IMS HEALTH INC                           449934108    5378960     259227               X               255127       3800        300
 IXL ENTERPRISES INC                      450718101       9135       2088   X                             2088          0          0
 IXL ENTERPRISES INC                      450718101      55309      12642               X                12642          0          0
 ITT INDUSTRIES INC COM                   450911102     327364      10092   X                             3772        100       6220
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 ITT INDUSTRIES INC COM                   450911102     246853       7610               X                 6108       1170        332
 IDACORP INC                              451107106     155400       3360   X                             3360          0          0
 IDACORP INC                              451107106     207385       4484               X                 4484          0          0
 IKON OFFICE SOLUTIONS INC                451713101       1575        400   X                              400          0          0
 IKON OFFICE SOLUTIONS INC                451713101      91405      23211               X                15915          0       7296
 ILLINOIS TOOL WORKS INC COM              452308109   46042844     824033   X                           776030        420      47583
 ILLINOIS TOOL WORKS INC COM              452308109   11037715     197543               X               121305      45783      30455
 IMCLONE SYS INC                          45245W109     210713       1800   X                             1800          0          0
 IMMUNEX CORP NEW                         452528102    4293450      98700   X                            98700          0          0
 IMMUNEX CORP NEW                         452528102      52200       1200               X                 1200          0          0
 IMPERIAL BANCORP COM                     452556103   29268900    1530400   X                            20400          0    1510000
 IMPERIAL OIL LTD COMMON NEW              453038408     117315       4500   X                             4500          0          0
 IMPERIAL OIL LTD COMMON NEW              453038408     672606      25800               X                25800          0          0
 INCO LTD COM                             453258402     293894      18226   X                             2240          0      15986
 INCO LTD COM                             453258402      32556       2019               X                 2019          0          0
 AMERICAN INCOME FUND OF AMERICA          453320103     922706      58734   X                            53361          0       5373
 AMERICAN INCOME FUND OF AMERICA          453320103     352876      22462               X                16197       6265          0
 INCYTE GENOMICS INC                      45337C102     238525       5800   X                             5800          0          0
 INCYTE GENOMICS INC                      45337C102     312550       7600               X                 6000          0       1600
 INDEPENDENT BK CORP MICH COM             453838104    1221138      70533   X                            69100          0       1433
 MAYR-MELNHOF KARTON AG ORD (ATS)         4563640S8    3658607      80691   X                             3025          0      77666
 INFINEON TECHNOLOGIES AG                 45662N103     263625       5550   X                              550          0       5000
 INFORMIX CORP COM                        456779107      43313      10500               X                    0      10000        500
 ING GROEP N V                            456837103      32411        492   X                              442          0         50
 ING GROEP N V                            456837103     319823       4855               X                 4855          0          0
 INGERSOLL RAND CO COM                    456866102    1797340      53058   X                            32287          0      20771
 INGERSOLL RAND CO COM                    456866102     812221      23977               X                23627          0        350
 INKINE PHARMACEUTICALS INC               457214104    2150000     200000   X                           200000          0          0
 INKTOMI CORP COM                         457277101    6388446      56039   X                            55338         27        674
 INKTOMI CORP COM                         457277101    2239188      19642               X                18099          0       1543
 INSIGHT ENTERPRISES INC                  45765U103    3750281     137625   X                             5550          0     132075
 INSIGHT ENTERPRISES INC                  45765U103      27577       1012               X                 1012          0          0
 INRANGE TECHNOLOGIES CORP                45769V206     795000      15000   X                                0          0      15000
 INRANGE TECHNOLOGIES CORP                45769V206      48760        920               X                    0          0        920
 T.ROWE PRICE INSTITUTIONAL               457759108    5405477     270815   X                           270815          0          0
 T.ROWE PRICE INSTITUTIONAL               457759108     405287      20305               X                17150          0       3155
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 PAX WORLD FD INC                         704222108     506714      20383               X                14015       6368          0
 PAYCHEX INC                              704326107    3912405      74522   X                            48317          0      26205
 PAYCHEX INC                              704326107    1848263      35205               X                25085          0      10120
 PAYLESS SHOESOURCE INC                   704379106     258440       4615   X                             4615          0          0
 PAYLESS SHOESOURCE INC                   704379106     353864       6319               X                 4709          0       1610
 PENN VA CORP                             707882106      26000       1000   X                             1000          0          0
 PENN VA CORP                             707882106     445120      17120               X                17120          0          0
 PENNEY J C CO INC                        708160106     593958      50280   X                            29679          0      20601
 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
 PENTON MEDIA INC                         709668107     558635      20314   X                            20314          0          0
 PENTON MEDIA INC                         709668107    1480408      53833               X                53833          0          0
 PEOPLES BANCORP INC                      709789101     139493      10238   X                            10238          0          0
 PEOPLES BANCORP INC                      709789101     486562      35711               X                17063          0      18648
 PEOPLES ENERGY CORP                      711030106     707817      21208   X                            10692          0      10516
 PEOPLES ENERGY CORP                      711030106     395360      11846               X                 8360        400       3086
 PEOPLESOFT INC COM                       712713106     655146      23450   X                             4376          0      19074
 PEOPLESOFT INC COM                       712713106     147736       5288               X                 5288          0          0
 PEPSI BOTTLING GROUP INC                 713409100     217656       7240   X                             7240          0          0
 PEPSI BOTTLING GROUP INC                 713409100      30063       1000               X                 1000          0          0
 PEPSICO INC                              713448108  146232022    3178957   X                          2943770       5395     229792
 PEPSICO INC                              713448108  199032683    4326797               X              3897594     231650     197553
 PERFORMANCE FOOD GROUP CO                713755106    4381431     116450   X                             1350          0     115100
 PERKINELMER INC                          714046109     630216       6038   X                             1424          0       4614
 PERKINELMER INC                          714046109     313125       3000               X                 3000          0          0
 PETROLEO BRASILEIRO S.A. ADR             71654V408    2895067      96300   X                             1300          0      95000
 PFIZER INC                               717081103  331075413    7367382   X                          6692128       4253     671001
 PFIZER INC                               717081103  215785054    4801839               X              4403267     200464     198108
 PHARMACIA CORP                           71713U102  392472439    6520776   X                          5973544        340     546892
 PHARMACIA CORP                           71713U102   67351756    1119023               X              1088839      12478      17706
 PHELPS DODGE CORP                        717265102     592767      14198   X                             6341          0       7857
 PHELPS DODGE CORP                        717265102     125709       3011               X                 2787          0        224
 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
 PHOENIX ENGEMANN CAPITAL GROWTH FUND     718900103     364820      11734   X                            11734          0          0
 PHYSICIAN WEBLINK                        7189559A7     125000      30782               X                30782          0          0
 PHONE COM INC                            71920Q100    5122442      45082   X                             8332          0      36750
 PHONE COM INC                            71920Q100    4566702      40191               X                40191          0          0
 PHOTRONICS INC                           719405102    3376652     154800   X                             1900          0     152900
 PILGRIM INVT FDS INC                     72142U101     185953      11284               X                11284          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 PINNACLE WEST CAP CORP                   723484101      70360       1383               X                  883          0        500
 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
 PIONEER RAILCORP CLASS A WARRANT         723839114          1      16386   X                            16386          0          0
 PIONEER RAILCORP CLASS A WARRANT         723839114          2       4000               X                 4000          0          0
 PIONEER STD ELECTRS INC                  723877106     569782      42010               X                36424          0       5586
 PITNEY BOWES INC                         724479100   52473008    1330519   X                          1291327        495      38697
 PITNEY BOWES INC                         724479100   75855680    1923416               X              1868444      16710      38262
 PITT DESMOINES INC                       724508106    1036820      34134   X                            34134          0          0
 PITT DESMOINES INC                       724508106    5596533     184248               X                    0     184248          0
 PITTSBURGH TUBE CO COM                   725378103    1318212       9858   X                             9858          0          0
 PLACER DOME INC                          725906101     280913      29764   X                             6714          0      23050
 PLACER DOME INC                          725906101      69388       7352               X                 7352          0          0
 POLYCOM INC                              73172K104    1386258      20700   X                              400          0      20300
 POLYMEDICA INDS INC                      731738100    6744238     157300   X                            13300          0     144000
 POLYONE CORP                             73179P106       5119        700   X                              700          0          0
 POLYONE CORP                             73179P106     224524      30702               X                30702          0          0
 POTOMAC ELEC PWR CO                      737679100     226642       8998   X                             8896          0        102
 POTOMAC ELEC PWR CO                      737679100     421143      16720               X                12263       2700       1757
 POTTERS FINL CORP COM                    738140102     172008      19112   X                            19112          0          0
 POWER INTEGRATIONS INC                   739276103     202101      14500               X                14500          0          0
 PRAXAIR INC                              74005P104    8195627     219281   X                            26323          0     192958
 PRAXAIR INC                              74005P104     120833       3233               X                 3233          0          0
 PREFORMED LINE PRODUCTS CO COM           740444104     596360      35080   X                            35080          0          0
 PREFORMED LINE PRODUCTS CO COM           740444104     187680      11040               X                 3160          0       7880
 PREMIER BANCORP INC PA                   74046J109     504735      45885               X                45885          0          0
 PREMIER FINL BANCORP INC                 74050M105      94500      16800               X                16800          0          0
 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
 PRIMEX TECHNOLOGIES INC                  741597108    3560218     122500   X                             1400          0     121100
 PRIMEX TECHNOLOGIES INC                  741597108      17816        613               X                  613          0          0
 PRIDE INTL INC                           741932107    6977450     263300   X                            19200          0     244100
 PRINCIPAL PRESERVATION PORTFOLIOS        74252B105      21578       2551   X                             2551          0          0
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 PROFESSIONAL BANCORP                     743112104     168843      22700   X                            22700          0          0
 PROFESSIONAL DETAILING INC               74312N107    7190550     126150   X                             5900          0     120250
 PROFIT TECHNOLOGY INCORPORATED           743169104          0      23000               X                    0          0      23000
 PROGENICS PHARMACEUTICALS INC            743187106      68595       2500   X                             2500          0          0
 PROGENICS PHARMACEUTICALS INC            743187106     201340       7338               X                 7338          0          0
 PROGRESS SOFTWARE CORP                   743312100     398777      29268               X                29268          0          0
 PROGRESSIVE CORP OHIO                    743315103    3628373      44316   X                            39131          0       5185
 PROGRESSIVE CORP OHIO                    743315103   89408401    1092011               X              1091450        175        386
 PROTEIN DESIGN LABS INC COM              74369L103     285585       2370   X                                0          0       2370
 PROTEIN DESIGN LABS INC COM              74369L103     320530       2660               X                  260          0       2400
 PROVIDENT BANKSHARES CORP COM            743859100     869978      51939   X                            51939          0          0
 PROVINCE HEALTHCARE CO                   743977100    2941434      73650   X                              900          0      72750
 PROVIDIAN FINL CORP                      74406A102  118729760     934880   X                           685553         75     249252
 PROVIDIAN FINL CORP                      74406A102   40302307     317341               X               299176          0      18165
 PRUDENTIAL HIGH YIELD FD                 74435F205      51154       7646   X                             7646          0          0
 PRUDENTIAL HIGH YIELD FD                 74435F205      20432       3054               X                 3054          0          0
 PRUDENTIAL MUN BD FD                     74435L301     116718      10959               X                    0          0      10959
 PUBLIC SVC ENTERPRISE GROUP INC          744573106    1644429      36798   X                            21357          0      15441
 PUBLIC SVC ENTERPRISE GROUP INC          744573106     584787      13086               X                12762         24        300
 PULITZER INC                             745769109     194606       4531   X                             4531          0          0
 PULITZER INC                             745769109     107332       2499               X                 1433          0       1066
 PULTE CORP                               745867101    3579048     108456   X                             1804          0     106652
 PULTE CORP                               745867101       1617         49               X                   49          0          0
 PUTNAM AMERICAN GOVT INCOME FD           74644B102      21172       2506   X                             2506          0          0
 PUTNAM AMERICAN GOVT INCOME FD           74644B102     141024      16689               X                 7105          0       9584
 PUTNAM DIVERSIFIED INCOME TR             746704105     693899      68499   X                            68499          0          0
 PUTNAM DIVERSIFIED INCOME TR             746704204     117360      11631   X                            11631          0          0
 PUTNAM DIVERSIFIED INCOME TR             746704204      81785       8106               X                 8106          0          0
 PUTNAM GEORGE PUTNAM FUND OF BOSTON      746758101     263632      15987   X                            15987          0          0
 PUTNAM GEORGE PUTNAM FUND OF BOSTON      746758101     313837      19032               X                19032          0          0
 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
 PUTNAM HEALTH SCIENCES FUND              746778109      70132        811   X                              811          0          0
 PUTNAM HEALTH SCIENCES FUND              746778109     500718       5789               X                 5789          0          0
 PUTNAM HIGH YIELD ADVANTAGE FUND         74678J104      97519      13911   X                            13911          0          0
 PUTNAM HIGH YIELD TRUST FUND             746782101      30352       3274   X                             3274          0          0
 PUTNAM HIGH YIELD TRUST FUND             746782101      80534       8688               X                 8688          0          0
 PUTNAM INVS FD INC                       746809102     370665      20156   X                            20156          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 PUTNAM MICH TAX EXEMPT INCOME FD         74683L201     302617      34744   X                            34744          0          0
 PUTNAM MICHIGAN TAX EXEMPT INCOME        74683L300      92563      10726   X                             4889          0       5837
 PUTNAM MICHIGAN TAX EXEMPT INCOME        74683L300     523466      60657               X                60657          0          0
 PUTNAM OHIO TAX EXEMPT INCOME FD II      746849306      66280       7761   X                             7761          0          0
 PUTNAM OHIO TAX EXEMPT INCOME FD II      746849306     289989      33957               X                32182          0       1774
 PUTNAM PA TAX EXEMPT INCOME FD CL A      746852102     148943      17319   X                            17319          0          0
 PUTNAM PREMIER INCOME TR SH BEN INT      746853100      13520       2100   X                             2100          0          0
 PUTNAM PREMIER INCOME TR SH BEN INT      746853100      85658      13305               X                13305          0          0
 PUTNAM TAX EXEMPT INCOME CL-A            746870104     226612      26566   X                            26566          0          0
 PUTNAM TAX EXEMPT INCOME CL-A            746870104      70771       8297               X                 6870          0       1426
 PUTNAM TAX FREE INSURED FUND CL B        746872100     216141      14855   X                            14855          0          0
 PUTNAM TAX FREE INSURED FUND CL B        746872100      25840       1776               X                 1776          0          0
 PUTNAM TAX FREE INCOME TR                746872407     337278      25378   X                            25378          0          0
 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
 PUTNAM U S GOVT SECS INCOME FD CL A      746885102      53730       4281               X                 4281          0          0
 PUTNAM MASTER INTER INCOME TR            746909100     160673      24957   X                             9957          0      15000
 PUTNAM MASTER INTER INCOME TR            746909100     879817     136660               X               136660          0          0
 PUTNAM NEW OPPORTUNITIES FD              746916105    1980823      21043   X                            21043          0          0
 PUTNAM NEW OPPORTUNITIES FD              746916105      12116        129               X                  129          0          0
 PUTNAM NEW OPPORTUNITIES FD CL B SHS     746916204     168711       1904   X                             1904          0          0
 PUTNAM NEW OPPORTUNITIES FD CL B SHS     746916204     179078       2021               X                 2021          0          0
 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
 PUTNAM INTL GROWTH FD                    746932102     144989       5278               X                 5278          0          0
 PUTNAM INTL GROWTH FD                    746932300    3494984     128681   X                           128681          0          0
 PUTNAM VOYAGER FD INC COM CL A           747012102     454397      15046   X                            15046          0          0
 PUTNAM VOYAGER FD INC COM CL A           747012102      94754       3138               X                 2722          0        415
 PUTNAM VOYAGER FD II                     747020105     255726       7045   X                             7045          0          0
 PUTNAM VOYAGER FD II                     747020105      97860       2696               X                 2696          0          0
 QLOGIC CORP                              747277101    6388800      72600   X                                0          0      72600
 QLOGIC CORP                              747277101       4400         50               X                   50          0          0
 QUAKER CITY BANCORP INC                  74731K106     599625      31250   X                            31250          0          0
 QUAKER OATS CO COM                       747402105    3557777      44964   X                            33983          0      10981
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 QUINTILES TRANSNATIONAL CORP COM         748767100     202174      12685   X                             1540          0      11145
 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
 RCM CAP FDS INC                          749355202      19852       1140               X                 1140          0          0
 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
 RALSTON RALSTON PURINA CO COM            751277302    1148039      48465               X                 7065       1200      40200
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 REGENT COMMUNICATIONS INC                758865109     139075      25000   X                            25000          0          0
 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
 REPUBLIC BANCORP KY                      760281204       7000       1000               X                 1000          0          0
 REPUBLIC BANCORP INC COM                 760282103    1102459     116048   X                            72243          0      43805
 REPUBLIC BANCORP INC COM                 760282103       3810        401               X                  401          0          0
 REUTERS GROUP PLC-SPONS ADR              76132M102    7593404      67572   X                            67400          0        172
 REUTERS GROUP PLC-SPONS ADR              76132M102   36884060     328223               X               320593        125       7505
 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
 REYNOLDS BLUE CHIP GROWTH FUND           761724103      96390       1448               X                 1420         28          0
 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
 ROADWAY EXPRESS INC COM                  769742107       3588        200   X                              200          0          0
 ROADWAY EXPRESS INC COM                  769742107    5448488     303740               X                 3740     300000          0
 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
 ROWAN COS INC COM                        779382100     619875      21375               X                   95      16700       4580
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 SABRE HLDGS CORP COM                     785905100     459015      15862   X                             2596          0      13266
 SABRE HLDGS CORP COM                     785905100     102614       3546               X                 2114          0       1432
 SAFECO CORP COM                          786429100     359864      13206   X                             4035          0       9171
                                                    ---------- ----------                           ---------- ---------- ----------
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 VANGUARD #21                             921935102    1823753      64856   X                            58312          0       6544
 VANGUARD #21                             921935102     850030      30229               X                29706          0        523
 VANGUARD # 59                            921936100    1605562      23350   X                            23350          0          0
 VANGUARD # 59                            921936100     162996       2371               X                 2371          0          0
 VANGUARD TOTAL BOND MARKET               921937108    8699870     893210   X                           893210          0          0
 VANGUARD TOTAL BOND MARKET               921937108    3732404     383204               X               383204          0          0
 VANGUARD BD INDEX FD INC                 921937306    2968147     306310   X                           306310          0          0
 VANGUARD BD INDEX FD INC                 921937306      65237       6732               X                 6732          0          0
 VANGUARD BOND INDEX FUND                 921937504     232072      23827   X                            23827          0          0
 VANGUARD # 27                            921938106     795771      40292   X                            40292          0          0
 VANGUARD # 27                            921938106     228488      11569               X                11376          0        193
 VANGUARD                                 921943106     612771      19659   X                             1058          0      18601
 VANGUARD                                 921943106     178979       5742               X                 5742          0          0
 VANGUARD TREASURY MONEY MARKET FD        921948105      40155      40155   X                            40155          0          0
 VANGUARD WINDSOR FUND INC                922018106    1105894      68817   X                            68817          0          0
 VANGUARD WINDSOR FUND INC                922018106    2012360     125225               X               106742          0      18482
 VANGUARD                                 922018205   13477659     497147   X                           495488          0       1659
 VANGUARD                                 922018205     271399      10011               X                 9119          0        892
 VANGUARD # 78                            922020102     329078      13275   X                            13275          0          0
 VANGUARD CALIF TAX EXEMPT FD             922021308     370909      34439   X                            34439          0          0
 VANGUARD FIXED INCOME SECS               922031109      53292       6507   X                             6507          0          0
 VANGUARD FIXED INCOME SECS               922031109     187294      22869               X                22869          0          0
 VANGUARD FIXED INCOME SECS FD            922031208    2406440     341824   X                           341824          0          0
 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>
 VANGUARD FIXED INCOME SECS FD            922031307     664425      66046   X                            66046          0          0
 VANGUARD FIXED INCOME SECS FD            922031307     675412      67138               X                67138          0          0
 VANGUARD                                 922031406    1373266     129921   X                           123097          0       6824
 VANGUARD                                 922031406     265140      25084               X                25084          0          0
 VANGUARD                                 922031604      89285       8937   X                             8937          0          0
 VANGUARD                                 922031604     148920      14907               X                    0          0      14907
 VANGUARD FIXED INCOME SECS FD INC        922031802      57331       5491   X                             5491          0          0
 VANGUARD FIXED INCOME SECS FD INC        922031802     139047      13319               X                13319          0          0
 VANGUARD FIXED INCOME SECS FD            922031885     759454      81750   X                            81750          0          0
 VANGUARD FIXED INCOME SECS FD            922031885     150649      16216               X                16216          0          0
 VANGUARD FLA INSD TAX FREE FD            922033105     350226      32013   X                            32013          0          0
 VANGUARD FLA INSD TAX FREE FD            922033105     329428      30112               X                30112          0          0
 VANGUARD HORIZON                         922038302     639916      20302   X                            20302          0          0
 VANGUARD HORIZON                         922038302      50412       1599               X                    0          0       1599
 VANGUARD NY INSURED TAX FREE FD #76      92204H103     744719      69730   X                            69730          0          0
 VANGUARD NY INSURED TAX FREE FD #76      92204H103     587112      54973               X                    0      54973          0
 VANGUARD PA TAX-FREE FUND INSURED        92204L104     565698      52234   X                            52234          0          0
 VANGUARD PA TAX-FREE FUND INSURED        92204L104     219190      20239               X                20239          0          0
 VANGUARD # 38                            92204P204      53766       6145   X                             6145          0          0
 VANGUARD # 38                            92204P204      40216       4596               X                 4596          0          0
 VANGUARD # 72                            922042106     265828      25536   X                            25536          0          0
 VANGUARD # 72                            922042106     280117      26908               X                26908          0          0
 VANGUARD EUROPEAN STOCK INDEX            922042205     861331      33205   X                            33205          0          0
 VANGUARD EUROPEAN STOCK INDEX            922042205     197966       7632               X                 7632          0          0
 VARIAN MED SYS INC                       92220P105      67782       1500   X                             1500          0          0
 VARIAN MED SYS INC                       92220P105     334391       7400               X                 7400          0          0
 VARIAN INC                               922206107      51159       1188   X                             1188          0          0
 VARIAN INC                               922206107     301441       7000               X                 7000          0          0
 VECTREN CORPORATION                      92240G101    1075512      52947   X                            43010          0       9937
 VECTREN CORPORATION                      92240G101   17517037     862356               X               803462       1333      57561
 VANGUARD MONEY MKT TR                    922906201       3314       3314   X                             3314          0          0
 VANGUARD MONEY MKT TR                    922906201      20956      20956               X                20956          0          0
 VANGUARD MUNI BD FD                      922907100      49616       3203   X                             3203          0          0
 VANGUARD MUNI BD FD                      922907100     177694      11472               X                11472          0          0
 VANGUARD MUN BD FD INC                   922907209    3712893     285827   X                           285827          0          0
 VANGUARD MUN BD FD INC                   922907209    1589191     122340               X               107451          0      14888
 VANGUARD MUN BD FD INC                   922907308     160837      15116   X                            12029          0       3087
 VANGUARD MUN BD FD INC                   922907308     654361      61500               X                45208      16292          0
 VANGUARD MUNI BOND HIGH YIELD FUND       922907407     458232      44618   X                            44618          0          0
 VANGUARD MUNI BOND HIGH YIELD FUND       922907407     259559      25273               X                25273          0          0
 VANGUARD MUNICIPAL BOND FUND- MONEY      922907506      74915      74915   X                            74915          0          0
 VANGUARD MUNICIPAL BOND FUND- MONEY      922907506     689425     689425               X               640375          0      49050
 VANGUARD MUN BD FD INC                   922907605     992407      82357   X                            76456          0       5902
 VANGUARD MUN BD FD INC                   922907605     254607      21129               X                21129          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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>
 VANGUARD                                 922908108   56246591     424214   X                           410475          0      13740
 VANGUARD                                 922908108   21728858     163880               X               150402          0      13478
 VANGUARD # 98                            922908207    1866333      49703   X                            49703          0          0
 VANGUARD # 98                            922908207      37381        996               X                  770        226          0
 VANGUARD                                 922908306     355276      10838   X                            10838          0          0
 VANGUARD                                 922908306     116314       3548               X                 3548          0          0
 VANGUARD                                 922908405     787450      33971   X                            28911          0       5060
 VANGUARD                                 922908405     705975      30456               X                30456          0          0
 VANGUARD                                 922908504     705656      19165   X                            12897          0       6268
 VANGUARD                                 922908504     877214      23824               X                19236          0       4589
 VANGUARD # 48                            922908702    3074547     125800   X                            81090          0      44710
 VANGUARD # 48                            922908702     396940      16241               X                16241          0          0
 VANGUARD TOTAL STOCK MARKET              922908801    1045307      31889               X                    0          0      31889
 VANGUARD # 859                           922908843     456497      33345   X                            33345          0          0
 VANGUARD # 859                           922908843     100884       7369               X                    0          0       7369
 VENATOR GROUP INC COM                    922944103    3434929     277570   X                             6870          0     270700
 VENATOR GROUP INC COM                    922944103       1238        100               X                  100          0          0
 VERISIGN INC                             92343E102    3221562      15904   X                            15193         27        684
 VERISIGN INC                             92343E102    2875990      14198               X                11759          0       2439
 VERITAS DGC INC COM (NEW)                92343P107    5399831     186600   X                            13700          0     172900
 VERIZON COMMUNICATIONS                   92343V104  167629155    3460695   X                          2485809       6680     968206
 VERIZON COMMUNICATIONS                   92343V104   79377237    1638739               X              1314438     115730     208571
 VERITAS SOFTWARE CORP COM                923436109    6148600      43300   X                             5397          0      37903
 VERITAS SOFTWARE CORP COM                923436109    1067698       7519               X                    0       3300       4219
 VERSUS TECHNOLOGY INC                    925313108       3200      10000               X                10000          0          0
 VERTICALNET INC                          92532L107    1030181      29329   X                            27521         60       1748
 VERTICALNET INC                          92532L107     930532      26492               X                23662          0       2830
 VIASAT INC                               92552V100    2646963     118300   X                             4700          0     113600
 VIACOM INC CL A COM                      925524100     310167       5302   X                             5302          0          0
 VIACOM INC CL B COM                      925524308   18819684     321704   X                           148652        434     172618
 VIACOM INC CL B COM                      925524308    8579142     146652               X               116895      17137      12620
 VICTORY FDS                              926442500     225697     225697   X                           225697          0          0
 VICTORY PORTFOLIOS                       926464603     383614      22342               X                22342          0          0
 VIGNETTE CORP                            926734104    1262936      42274   X                              774          0      41500
 VIGNETTE CORP                            926734104     209125       7000               X                    0          0       7000
 VISHAY INTERTECHNOLOGY INC COM           928298108     463372      15069   X                            15069          0          0
 VISHAY INTERTECHNOLOGY INC COM           928298108      53290       1733               X                 1733          0          0
 VISTA GROWTH AND INCOME FUND             928374701    2783594      68646   X                            65712          0       2934
 VISTA GROWTH AND INCOME FUND             928374701    1570313      38725               X                19582      14989       4154
 VISTEON CORP                             92839U107     563917      37284   X                            22715         34      14535
 VISTEON CORP                             92839U107     337349      22304               X                17883       2320       2101
 VITESSE SEMICONDUCTOR CORP COM           928497106    9539045     107255   X                            37795          0      69460
 VITESSE SEMICONDUCTOR CORP COM           928497106     328626       3695               X                 1215          0       2480
 VODAFONE GROUP PLC NEW                   92857W100   15936030     430704   X                           217806          0     212898
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 VOICESTREAM WIRELESS CORP                928615103    6308024      54350   X                              850          0      53500
 VOICESTREAM WIRELESS CORP                928615103     647051       5575               X                  150          0       5425
 VOYAGER MUT FDS III INC                  928931849      99050       2499   X                             2499          0          0
 VOYAGER MUT FDS III INC                  928931849     102128       2576               X                 2525         52          0
 VORNADO RLTY TR SH BEN INT               929042109      18080        487   X                              487          0          0
 VORNADO RLTY TR SH BEN INT               929042109     556875      15000               X                15000          0          0
 VULCAN MATERIALS CO COM                  929160109     785917      19556   X                             9869          0       9687
 VULCAN MATERIALS CO COM                  929160109    6375947     158653               X               150253       8400          0
 WFI INDS LTD                             92923V102     693725     957348   X                           957348          0          0
 WD 40 CO COM                             929236107     192036       9037   X                             9037          0          0
 WD 40 CO COM                             929236107      58013       2730               X                 2630        100          0
 WPS RESOURCES CORP COM                   92931B106     212875       6500   X                             5000          0       1500
 WPS RESOURCES CORP COM                   92931B106     140694       4296               X                 3846          0        450
 WABASH VALLEY BROADCASTING               929580918     985352       6944               X                 4886       2058          0
 WACHOVIA CORP COM                        929771103   17434338     307549   X                           287710        300      19539
 WACHOVIA CORP COM                        929771103   39818990     702424               X               683998       3797      14629
 WADDEL & REED ADVISORS FD IN             930057104      81698       8880   X                             8880          0          0
 WADDEL & REED ADVISORS FD IN             930057104     255228      27742               X                10420          0      17323
 WADDEL & REED ADVISORS FD IN             930057500     291420      15881   X                            15881          0          0
 WADDEL & REED ADVISORS FD IN             930057500     103680       5650               X                 3464          0       2186
 WADDEL & REED ADVISORS FD IN             930057849     109453      18212   X                            18212          0          0
 WADDEL & REED ADVISORS FD IN             930057849       6942       1155               X                    0          0       1155
 WADDEL & REED ADVISORS FD IN             930057880     204691      19202   X                            19202          0          0
 WADDEL & REED ADVISORS FD IN             930057880     161192      15121               X                15121          0          0
 WAL-MART DE MEXICO SA DE CV              93114W206      38516      16746               X                 5582      11164          0
 WAL MART STORES INC                      931142103  175608896    3649016   X                          3283736       2085     363195
 WAL MART STORES INC                      931142103   72945776    1515756               X              1340082     100171      75503
 WALGREEN CO COM                          931422109  113944106    3003429   X                          2786341       1145     215943
 WALGREEN CO COM                          931422109   32165847     847853               X               756207      31249      60397
 WALLACE COMPUTER SVCS INC                932270101     153964      10096               X                10096          0          0
 WARBURG PINCUS                           933907107     216974      22392   X                            22392          0          0
 WASHINGTON FEDERAL INC COM               938824109    4736550     208200   X                             2400          0     205800
 WASHINGTON FEDERAL INC COM               938824109     313950      13800               X                13800          0          0
 WASHINGTON MUTUAL INC COM                939322103    2373771      59623   X                            19066          0      40557
 WASHINGTON MUTUAL INC COM                939322103     417559      10488               X                 6888          0       3600
 AMERICAN WASHINGTON MUTUAL INVESTORS     939330106   23876830     800967   X                           800522          0        445
 AMERICAN WASHINGTON MUTUAL INVESTORS     939330106     518215      17384               X                11541       3539       2305
 WASHINGTON REAL ESTATE INVT TR           939653101     135425       6750   X                             6750          0          0
 WASHINGTON REAL ESTATE INVT TR           939653101     101318       5050               X                 5050          0          0
 WASHINGTON TRUST BANCORP                 940610108      17097       1174   X                             1174          0          0
 WASHINGTON TRUST BANCORP                 940610108     251212      17250               X                17250          0          0
 WASTE MANAGEMENT INC NEW COM             94106L109     939751      53891   X                             9528          0      44363
 WASTE MANAGEMENT INC NEW COM             94106L109     262913      15077               X                15077          0          0
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 WATERFIELD MTG CO INC COM                9413289A6          0     138081               X               138081          0          0
 WATERS CORP                              941848103     452120       5080   X                               80          0       5000
 WATSON PHARMACEUTICALS INC COM           942683103     565061       8710   X                             1900          0       6810
 WATSON PHARMACEUTICALS INC COM           942683103      77850       1200               X                 1000          0        200
 WEATHERFORD INTL INC                     947074100        688         16   X                               16          0          0
 WEATHERFORD INTL INC                     947074100     265181       6167               X                    0          0       6167
 WEBSTER FINL CORP WATERBURY              947890109    4094576     152000   X                                0          0     152000
 WEBSTER FINL CORP WATERBURY              947890109     230589       8560               X                 8560          0          0
 WELLMAN INC COM                          949702104     223067      15450               X                  450      15000          0
 WELLPOINT HEALTH NETWORKS INC NEW        94973H108     517536       5391   X                              898          0       4493
 WELLS FARGO & CO NEW                     949746101   76309817    1661148   X                          1497349       5010     158789
 WELLS FARGO & CO NEW                     949746101   74396337    1619494               X              1510957      24600      83937
 WENDYS INTL INC COM                      950590109     241719      12048   X                             3638          0       8410
 WENDYS INTL INC COM                      950590109     638786      31839               X                29339       2500          0
 WERNER HLDG CO PA INC                    9507629A4     400906        331   X                              331          0          0
 WERNER HLDG CO PA INC                    9507629B2     874451        722   X                              722          0          0
 WESBANCO INC                             950810101     239784      11185   X                            11185          0          0
 WESTERN RESOURCES INC COM                959425109      88273       4082   X                             4082          0          0
 WESTERN RESOURCES INC COM                959425109     172676       7985               X                 5985          0       2000
 WESTVACO CORP COM                        961548104     691726      25919   X                             7573          0      18346
 WESTVACO CORP COM                        961548104     682092      25558               X                20558       5000          0
 WESTWOOD ONE INC COM                     961815107    1682883      78500   X                            78500          0          0
 WHAYNE SUPPLY CO CL A VOTING             962008942     274395       9655   X                             9655          0          0
 WHAYNE SUPPLY CO CL A VOTING             962008942     113680       4000               X                 4000          0          0
 WHAYNE SUPPLY CO CL B NON VTG            962008967     746424      29180   X                            29180          0          0
 WEYERHAEUSER CO COM                      962166104    3743489      92718   X                            66039          0      26679
 WEYERHAEUSER CO COM                      962166104     923376      22870               X                21573        410        887
 WHIRLPOOL CORP COM                       963320106    7585135     195116   X                           187965          0       7151
 WHIRLPOOL CORP COM                       963320106    4324688     111246               X               111246          0          0
 WHITMAN CORP NEW                         96647R107     131760      11395   X                            11395          0          0
 WHITMAN CORP NEW                         96647R107      30630       2649               X                 1170          0       1479
 WHITNEY HLDG CORP COM                    966612103     755310      20800   X                            20800          0          0
 WILEY JOHN & SONS INC                    968223206     619326      27000   X                            27000          0          0
 WILEY JOHN & SONS INC CL B               968223305     555000      24000   X                            24000          0          0
 WILLAMETTE INDS INC COM                  969133107     751520      26840   X                             6887          0      19953
 WILLAMETTE INDS INC COM                  969133107     391188      13971               X                 1519       2452      10000
 WILLIAMS COS INC DEL COM                 969457100    4694229     111106   X                            80278          0      30828
 WILLIAMS COS INC DEL COM                 969457100    2241658      53057               X                52577          0        480
 WILMINGTON US GOVT MM PORT               9718119A4    1042744    1042744               X              1042744          0          0
 WILSHIRE TARGET FDS INC                  971897855     281450      24159   X                            24159          0          0
 WINN-DIXIE STORES INC COM                974280109     425500      29600   X                            19150          0      10450
 WINN-DIXIE STORES INC COM                974280109     166089      11554               X                11554          0          0
 WINSTAR COMMUNICATIONS INC COM           975515107    1789320     115440   X                           107840          0       7600
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 WIRELESS FACILITIES INC                  97653A103    4216993      73100   X                              600          0      72500
 WISCONSIN ENERGY CORP COM                976657106    1848671      92721   X                            87321          0       5400
 WISCONSIN ENERGY CORP COM                976657106    2027336     101682               X                93293          0       8389
 WOODWARD GOVERNOR COMPANY                980745103     285203       6400   X                             6400          0          0
 WORLDGATE COMMUNICATIONS INC             98156L307    4121250     196250   X                             9500          0     186750
 WORLDCOM INC                             98157D106  107858317    3550891   X                          2548337       3464     999090
 WORLDCOM INC                             98157D106   33634391    1107305               X               962138      96656      48511
 WORTHINGTON INDS INC                     981811102    2001244     213466   X                           133472          0      79994
 WORTHINGTON INDS INC                     981811102     207169      22098               X                11828      10270          0
 WRIGLEY WILLIAM JR CO COM                982526105    1449954      19365   X                            11195          0       8170
 WRIGLEY WILLIAM JR CO COM                982526105     562910       7518               X                 6375          0       1143
 XCEL ENERGY INC                          98389B100   11346944     412616   X                            99041          0     313575
 XCEL ENERGY INC                          98389B100    1672578      60821               X                55630          0       5191
 XILINX INC COM                           983919101    3499579      40871   X                             9823          0      31048
 XILINX INC COM                           983919101    6511781      76050               X                67550        300       8200
 XEROX CORP COM                           984121103    2680702     177966   X                           126517        400      51049
 XEROX CORP COM                           984121103    1684194     111810               X               100910       8100       2800
 YAHOO! INC COM                           984332106    5999084      65924   X                            14153          0      51771
 YAHOO! INC COM                           984332106     712257       7827               X                 7211         82        534
 YORK GROUP INC                           986632107     132000      22000               X                    0          0      22000
 YORK INTL CORP COM NEW                   986670107     108082       4345   X                             4050          0        295
 YORK INTL CORP COM NEW                   986670107     301933      12138               X                12138          0          0
 YOUNG & RUBICAM INC                      987425105     383279       7743   X                              908          0       6835
 YOUNG & RUBICAM INC                      987425105      74250       1500               X                 1500          0          0
 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
 ANDERSON FURNITURE CO COM                990339434     225000        450               X                  450          0          0
 BLAIR STRIP STEEL CO COM                 990860264      14375          1   X                                1          0          0
 BLAIR STRIP STEEL CO COM                 990860264     215625         19               X                   19          0          0
 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
                                                    ---------- ----------                           ---------- ---------- ----------
 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
 SEVEN FIELDS DEVELOPMENT CORP            998225460          1      17685               X                    0          0      17685
 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
 FORD MTR CO DEL DEPOSITARY SH REPSTG     345370407     175486       6701   X                             6701          0          0
 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>


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