FIRST COMMONWEALTH FINANCIAL CORP /PA/
13F-HR, 2000-05-12
NATIONAL COMMERCIAL BANKS
Previous: TELAXIS COMMUNICATIONS CORP, 10-Q, 2000-05-12
Next: ELXSI CORP /DE//, 10-Q, 2000-05-12









                                         UNITED STATES
                               SECURITIES AND EXCHANGE COMMISSION
                                         WASHINGTON, D.C. 20549

                                                  Form 13F

                                         Form 13F COVER PAGE

    Report for the Calendar Year or Quarter Ended:   March 31, 2000

    Check here if Amendment [  ]: Amendment Number:________

    This Amendment (Check only one): [  ] is a restatement

                                    [  ] adds new holdings entries

    Institutional Investment Manager Filing this Report:

    Name:       First Commonwealth Financial Corporation
    Address:   22 North Sixth Street
               Indiana, PA, 15701

    Form 13F File Number:28-05151

    The institutional investment manager filing this report and the person
    by whom it is signed hereby represent that the person signing the report is
    authorized to submit it, that all information contained herein is true,
    correct and complete, and it is understood that all required items,
    statements, schedules, lists, and tables, are considered integral parts of
    this form.

    Person Signing this Report on Behalf of Reporting Manager:

    Name:      John J. Dolan
    Title:     Executive Vice President and Chief Financial Officer
    Phone:     (724) 349-7220

    Signature,Place, and Date of Signing:

    /s/ John J. Dolan

    John J. Dolan,     Indiana, PA,     May 12, 2000

    Report Type(check only one) :

         [x] 13F HOLDINGS REPORT (Check here if all holdings of this reporting
                         manager are reported in this report

         [ ] 13F NOTICE (Check here if no holdings reported are in this report,
            and all holdings are reported by other reporting manager(s))

         [ ] 13F COMBINATION REPORT (Check here if a portion of the holdings
             for this reporting manager are reported in this report and a
             portion are reported by other reporting manager(s).)











    <PAGE>

                                     Form 13F SUMMARY PAGE

    Report Summary:

    Number of Other Included Managers:  1

    Form 13F Information Table Entry Total:195

    Form 13F Information Table Value Total: $171,465    (thousands)

    List of Other Included Managers:

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

    Number:   1

    Form 13F File Number:28-05153

    Name:    First Commonwealth Trust Company


    <PAGE>



    <TABLE>
                                                   FORM 13F INFORMATION TABLE

    <CAPTION>
                COLUMN  1                COL 2       COL 3    COL 4        COLUMN 5        COL 6     COL 7        COLUMN 8
                                         TITLE                 MARKET
                                           OF                  VALUE   SHS OR  SH/ PUT/ INVESTMENT   OTHER      VOTING AUTHORITY
    ISSUER                               CLASS        CUSIP  (X$1000) PRN AMT  PRN CALL DISCRETION  MANAGER   SOLE    SHARED   NONE
    <S>                              <C>           <C>       <C>     <C>       <C> <C> <C>          <C>    <C>       <C>     <C>
    ALCOA INC.                           Common    013817101   1,091    15,536  SH        DEFINED      1      15,536       0       0
    ALCOA INC.                           Common    013817101     162     2,300  SH         OTHER       1       2,300       0       0
    ALLEGHENY ENERGY INC                 Common    017361106     217     7,840  SH        DEFINED      1       5,540   2,300       0
    ALLEGHENY ENERGY INC                 Common    017361106      61     2,200  SH         OTHER       1       2,200       0       0
    ALLSTATE CORP                        Common    020002101     245    10,300  SH        DEFINED      1       9,000   1,300       0
    ALLSTATE CORP                        Common    020002101     142     5,962  SH         OTHER       1       5,962       0       0
    ALLTEL CORP                          Common    020039103     464     7,350  SH        DEFINED      1       5,304   2,046       0
    ALLTEL CORP                          Common    020039103     884    14,015  SH         OTHER       1       5,899   8,116       0
    ALLTEL CORP PFD D CV $2.25         Preferred   020039707     959     3,821  SH        DEFINED      1       3,821       0       0
    AMERICA ONLINE INC                   Common    02364J104     579     8,585  SH        DEFINED      1       8,585       0       0
    AMERICA ONLINE INC                   Common    02364J104      57       850  SH         OTHER       1         850       0       0
    AMERICAN EXPRESS CO                  Common    025816109     404     2,714  SH        DEFINED      1       2,714       0       0
    AMERICAN HOME PRODUCTS               Common    026609107     520     9,674  SH        DEFINED      1       8,474   1,200       0
    AMERICAN HOME PRODUCTS               Common    026609107     240     4,470  SH         OTHER       1       4,470       0       0
    AMERICAN INTERNATIONAL GROUP INC     Common    026874107     810     7,397  SH        DEFINED      1       7,397       0       0
    AMERICAN INTERNATIONAL GROUP INC     Common    026874107      48       437  SH         OTHER       1         437       0       0
    ANHEUSER BUSCH COS INC               Common    035229103     377     6,050  SH        DEFINED      1       6,050       0       0
    ANHEUSER BUSCH COS INC               Common    035229103      44       700  SH         OTHER       1         700       0       0










    ATLANTIC RICHFIELD COMPANY           Common    048825103   1,023    12,040  SH        DEFINED      1      12,040       0       0
    ATLANTIC RICHFIELD COMPANY           Common    048825103     328     3,856  SH         OTHER       1       3,856       0       0
    AT&T CORP                            Common    001957109     943    16,750  SH        DEFINED      1      14,216   1,079   1,455
    AT&T CORP                            Common    001957109     301     5,348  SH         OTHER       1       4,796     552       0
    BANK OF AMERICA CORP                 Common    060505104     439     8,365  SH        DEFINED      1       8,365       0       0
    BANK OF AMERICA CORP                 Common    060505104      60     1,146  SH         OTHER       1       1,146       0       0
    BELL ATLANTIC CORP                   Common    077853109   2,812    45,999  SH        DEFINED      1      43,449   1,024   1,526
    BELL ATLANTIC CORP                   Common    077853109   1,843    30,146  SH         OTHER       1      25,474   4,672       0
    BELLSOUTH CORP                       Common    079860102   1,242    26,490  SH        DEFINED      1      24,174     400   1,916
    BELLSOUTH CORP                       Common    079860102      94     2,000  SH         OTHER       1       2,000       0       0
    BERKSHIRE SECURITIES                 Common    084991868     864     5,400  SH        DEFINED      1       5,400       0       0
    BLACK & DECKER                       Common    091797100     372     9,900  SH        DEFINED      1       9,600     300       0
    BLACK & DECKER                       Common    091797100      39     1,050  SH         OTHER       1       1,050       0       0
    BP AMOCO P L C                       Common    055622104     475     8,914  SH        DEFINED      1       8,914       0       0
    BP AMOCO P L C                       Common    055622104     113     2,118  SH         OTHER       1       2,118       0       0
    BRISTOL MYERS SQUIB                  Common    110122108     981    16,909  SH        DEFINED      1      15,509   1,400       0
    BRISTOL MYERS SQUIB                  Common    110122108      59     1,018  SH         OTHER       1       1,018       0       0
    BT FINANCIAL                         Common    055763106   2,521   163,275  SH        DEFINED            163,275       0       0
    CATERPILLAR INC                      Common    149123101     268     6,807  SH        DEFINED      1       6,807       0       0
    CATERPILLAR INC                      Common    149123101      14       350  SH         OTHER       1         350       0       0
    CBS CORPORATION                      Common    12490K107     228     4,030  SH        DEFINED      1       2,280   1,250     500
    CBS CORPORATION                      Common    12490K107      16       280  SH         OTHER       1         280       0       0
    CHEVRON CORP                         Common    166751107     162     1,750  SH        DEFINED      1       1,750       0       0
    CHEVRON CORP                         Common    166751107      55       600  SH         OTHER       1           0     600       0
    CISCO SYSTEMS                        Common    17275R102   4,340    56,138  SH        DEFINED      1      54,938   1,200       0
    CISCO SYSTEMS                        Common    17275R102     356     4,600  SH         OTHER       1       4,600       0       0
    CITIGROUP INC                        Common    172967101      18       300  SH         OTHER       1         300       0       0
    CITIGROUP INC                        Common    172967101   1,219    20,352  SH        DEFINED      1      20,352       0       0
    COCA COLA CO                         Common    191216100     216     4,600  SH        DEFINED      1       4,400     200       0
    COCA COLA CO                         Common    191216100      56     1,200  SH         OTHER       1       1,200       0       0
    COMPAQ COMPUTER CORP                 Common    204493100     891    33,300  SH        DEFINED      1      33,300       0       0
    COMPAQ COMPUTER CORP                 Common    204493100      99     3,683  SH         OTHER       1       3,683       0       0
    CONEXANT SYSTEMS INC                 Common    207142100      59       828  SH        DEFINED      1         828       0       0
    CONEXANT SYSTEMS INC                 Common    207142100   1,080    15,218  SH         OTHER       1      15,218       0       0
    DAIMLERCHRYSLER AG                   Common    D1668R123     514     7,856  SH        DEFINED      1       7,856       0       0
    DAIMLERCHRYSLER AG                   Common    D1668R123      66     1,012  SH         OTHER       1       1,012       0       0
    DELL COMPUTER CORP                   Common    247025109     261     4,840  SH        DEFINED      1       4,840       0       0
    DISNEY WALT CO                       Common    254687106     629    15,245  SH        DEFINED      1      15,245       0       0
    DISNEY WALT CO                       Common    254687106      76     1,850  SH         OTHER       1       1,850       0       0
    DOVER CORP COM                       Common    260003108     230     4,800  SH        DEFINED      1       4,800       0       0
    DOW CHEMICAL COMPANY                 Common    260543103     282     2,475  SH        DEFINED      1       2,475       0       0
    DOW CHEMICAL COMPANY                 Common    260543103      89       782  SH         OTHER       1         782       0       0
    DQE INC                              Common    23329J104     210     4,624  SH        DEFINED      1       4,099       0     525
    DUPONT DE NEMOUR                     Common    263534109     982    18,541  SH        DEFINED      1      18,541       0       0
    DUPONT DE NEMOUR                     Common    263534109     148     2,800  SH         OTHER       1       1,000   1,800       0
    EASTMAN KODAK CO.                    Common    277461109      56     1,040  SH        DEFINED      1       1,040       0       0
    EASTMAN KODAK CO.                    Common    277461109     199     3,665  SH         OTHER       1       3,665       0       0
    EMBRYO DEVELOPMENT CORP              Common    290818103       3    15,000  SH        DEFINED      1      15,000       0       0
    EMERSON ELECTRIC CO.                 Common    291011104     520     9,780  SH         OTHER       1       9,780       0       0
    EQUITABLE RESOURCES                  Common    294549100     552    12,321  SH         OTHER       1      12,321       0       0
    EXXON MOBIL CORP                     Common    30231G102   3,356    43,062  SH        DEFINED      1      43,062       0       0
    EXXON MOBIL CORP                     Common    30231G102   2,048    26,272  SH         OTHER       1      22,949   3,323       0
    FEDERAL NATIONAL MORTGAGE ASSOC      Common    313586109     665    11,755  SH        DEFINED      1      11,155     600       0
    FEDERAL NATIONAL MORTGAGE ASSOC      Common    313586109      68     1,200  SH         OTHER       1       1,200       0       0
    FIRST COMMONWEALTH FINANCIAL CORP    Common    319829107  17,616 2,042,461  SH        DEFINED      1   2,032,915   9,546       0
    FIRST COMMONWEALTH FINANCIAL CORP    Common    319829107   3,799   440,513  SH         OTHER       1     333,865 106,648       0










    FORD MOTOR COMPANY                   Common    345370100     626    13,628  SH        DEFINED      1      13,628       0       0
    FORD MOTOR COMPANY                   Common    345370100      93     2,026  SH         OTHER       1       1,426     600       0
    FULTON FINANCIAL                     Common     36027110   3,996   210,300  SH        DEFINED            210,300       0       0
    GA FINANCIAL INC                     Common    361437106   1,523   133,900  SH        DEFINED            133,900       0       0
    GENERAL ELECTRIC                     Common    369604103   5,352    34,390  SH        DEFINED      1      34,090     300       0
    GENERAL ELECTRIC                     Common    369604103  10,698    68,740  SH         OTHER       1      67,400   1,340       0
    GENERAL MILLS INC                    Common    370334104     173     4,780  SH        DEFINED      1       4,780       0       0
    GENERAL MILLS INC                    Common    370334104     215     5,940  SH         OTHER       1       5,940       0       0
    GENERAL MOTORS CORP                  Common    370442105     499     6,029  SH        DEFINED      1       4,361   1,068     600
    GENERAL MOTORS CORP                  Common    370442105     277     3,342  SH         OTHER       1       2,884     458       0
    GILLETTE CO                          Common    375766102     660    17,517  SH        DEFINED      1      16,517   1,000       0
    GILLETTE CO                          Common    375766102      85     2,250  SH         OTHER       1       2,250       0       0
    GTE CORPORATION                      Common    362320103     663     9,335  SH        DEFINED      1       9,335       0       0
    GTE CORPORATION                      Common    362320103     474     6,670  SH         OTHER       1       6,570     100       0
    HOME DEPOT INC                       Common    437076102     442     6,847  SH        DEFINED      1       6,847       0       0
    INGERSOLL RAND CO                    Common    456866102     266     6,000  SH         OTHER       1       6,000       0       0
    INTEL CORP                           Common    458140100   3,221    24,415  SH        DEFINED      1      24,415       0       0
    INTEL CORP                           Common    458140100     435     3,300  SH         OTHER       1       3,300       0       0
    INT'L BUSINESS MACHINES CORP         Common    459200101   1,745    14,792  SH        DEFINED      1      14,792       0       0
    INT'L BUSINESS MACHINES CORP         Common    459200101   1,822    15,440  SH         OTHER       1      15,440       0       0
    JOHNSON & JOHNSON                    Common    478160104     674     9,588  SH        DEFINED      1       9,588       0       0
    JOHNSON & JOHNSON                    Common    478160104     388     5,520  SH         OTHER       1       5,320     200       0
    JUNIATA VALLEY FINANCIAL CORP.       Common    482016102     576    21,927  SH        DEFINED      1      21,927       0       0
    KENNAMETAL INC                       Common    489170100     336    11,168  SH        DEFINED      1      11,168       0       0
    KEYSTONE FINANCIAL                   Common    493482103   4,052   232,356  SH        DEFINED            232,356       0       0
    KROGER CO                            Common    501044101     200    11,376  SH         OTHER       1      11,376       0       0
    LUCENT TECHNOLOGIES INC              Common    549463107   2,482    40,039  SH        DEFINED      1      37,851     932   1,256
    LUCENT TECHNOLOGIES INC              Common    549463107     444     7,168  SH         OTHER       1       6,728     440       0
    MCDONALDS CORP                       Common    580135101     824    22,060  SH        DEFINED      1      22,060       0       0
    MCDONALDS CORP                       Common    580135101      79     2,118  SH         OTHER       1       2,118       0       0
    MCI WORLDCOM INC COM                 Common    55268B106     655    14,458  SH        DEFINED      1      14,458       0       0
    MEDIAONE GROUP INC.                  Common    58440J104      98     1,214  SH        DEFINED      1       1,214       0       0
    MEDIAONE GROUP INC.                  Common    58440J104     170     2,100  SH         OTHER       1       2,100       0       0
    MELLON BANK                          Common    585509102   4,649   154,000  SH        DEFINED            154,000       0       0
    MELLON FINANCIAL CORP COM            Common    58551A108     834    28,034  SH        DEFINED      1      25,910   2,124       0
    MELLON FINANCIAL CORP COM            Common    58551A108     318    10,675  SH         OTHER       1       5,200   5,475       0
    MERCK & COMPANY INC                  Common    589331107   4,864    78,299  SH        DEFINED      1      78,299       0       0
    MERCK & COMPANY INC                  Common    589331107   2,226    35,824  SH         OTHER       1      35,024     800       0
    MERRILL LYNCH & CO                   Common    590188108   1,077    10,259  SH        DEFINED      1      10,259       0       0
    MERRILL LYNCH & CO                   Common    590188108     184     1,750  SH         OTHER       1       1,750       0       0
    MICROSOFT CORP                       Common    594918104     854     8,040  SH        DEFINED      1       8,040       0       0
    MICROSOFT CORP                       Common    594918104     266     2,500  SH         OTHER       1       2,500       0       0
    MINNESOTA MINING & MANUFACTURING     Common    604059105     795     8,976  SH        DEFINED      1       8,976       0       0
    MINNESOTA MINING & MANUFACTURING     Common    604059105     538     6,070  SH         OTHER       1       5,920     150       0
    MORGAN J P & CO INC                  Common    616880100     551     4,179  SH        DEFINED      1       4,179       0       0
    MORGAN J P & CO INC                  Common    616880100      26       200  SH         OTHER       1         200       0       0
    MORGAN STANLEY DEAN WITTER DISCOV    Common    617446448     388     4,680  SH         OTHER       1       4,680       0       0
    NASDAQ 100 TR                        Common    631100104     201     1,840  SH        DEFINED      1       1,840       0       0
    NEW MEXICO BANQUEST                  Common    647991926     721     7,207  SH        DEFINED      1       7,207       0       0
    NEW MEXICO BANQUEST                  Common    647991926     152     1,522  SH         OTHER       1       1,522       0       0
    NORTH PITTSBURGH SYS INC COM         Common    661562108   1,272    96,920  SH         OTHER       1      72,000  24,920       0
    ORACLE CORP                          Common    68389X105   2,829    36,244  SH        DEFINED      1      34,044   2,200       0
    ORACLE CORP                          Common    68389X105     156     2,000  SH         OTHER       1       2,000       0       0
    P P G INDUSTRIES INC                 Common    693506107     576    11,015  SH        DEFINED      1      10,315     700       0
    P P G INDUSTRIES INC                 Common    693506107   2,934    56,090  SH         OTHER       1      47,590   8,500       0
    PARKVALE FINANCIAL CORP              Common    701492100   1,201    77,500  SH        DEFINED             77,500       0       0










    PEPSICO INCORPORATED                 Common    713448108   1,481    42,475  SH        DEFINED      1      41,275   1,200       0
    PEPSICO INCORPORATED                 Common    713448108     757    21,700  SH         OTHER       1      21,500     200       0
    PFIZER INC                           Common    717081103   2,627    71,835  SH        DEFINED      1      71,835       0       0
    PFIZER INC                           Common    717081103     285     7,800  SH         OTHER       1       7,800       0       0
    PHILIP MORRIS CO                     Common    718154107     284    13,465  SH        DEFINED      1      13,465       0       0
    PHILIP MORRIS CO                     Common    718154107     735    34,790  SH         OTHER       1      34,790       0       0
    PNC BANK CORP                        Common    693475105     900    19,964  SH        DEFINED      1      19,114       0     850
    PNC BANK CORP                        Common    693475105   4,854   110,000  SH        DEFINED            110,000       0       0
    PNC BANK CORP                        Common    693475105     195     4,328  SH         OTHER       1       4,328       0       0
    PPL CORP                             Common    69351T106     272    12,997  SH        DEFINED      1      12,997       0       0
    PPL CORP                             Common    69351T106     219    10,453  SH         OTHER       1      10,453       0       0
    PRAXAIR INC                          Common    74005P104      58     1,390  SH        DEFINED      1       1,390       0       0
    PRAXAIR INC                          Common    74005P104     167     4,000  SH         OTHER       1       4,000       0       0
    PROCTER & GAMBLE CO                  Common    742718109   1,173    20,756  SH        DEFINED      1      20,756       0       0
    PROCTER & GAMBLE CO                  Common    742718109   1,229    21,750  SH         OTHER       1      21,550     200       0
    PRONTOCK BEER DISTRIBUTORS, INC      Common    693000994      94    18,750  SH        DEFINED      1      18,750       0       0
    PUBLIC SERV ELEC GAS                 Common    744573106      47     1,589  SH        DEFINED      1       1,589       0       0
    PUBLIC SERV ELEC GAS                 Common    744573106     256     8,630  SH         OTHER       1       8,630       0       0
    ROCKWELL INTL CORP NEW               Common    773903109      89     2,133  SH        DEFINED      1       2,133       0       0
    ROCKWELL INTL CORP NEW               Common    773903109     636    15,219  SH         OTHER       1      15,219       0       0
    ROHM & HAAS CO                       Common    775371107     489    10,965  SH        DEFINED      1      10,965       0       0
    ROHM & HAAS CO                       Common    775371107      11       250  SH         OTHER       1         250       0       0
    ROYAL DUTCH PETROLEUM NY SHS         Common    780257804     318     5,500  SH        DEFINED      1       5,500       0       0
    ROYAL DUTCH PETROLEUM NY SHS         Common    780257804      23       400  SH         OTHER       1         400       0       0
    S & T BANCORP INC                    Common    783859101   1,363    79,571  SH        DEFINED      1      79,571       0       0
    S & T BANCORP INC                    Common    783859101     439    25,000  SH        DEFINED             25,000       0       0
    S & T BANCORP INC                    Common    783859101       8       464  SH         OTHER       1         464       0       0
    SBC COMMUNICATIONS INC               Common    78387G103     703    16,687  SH        DEFINED      1      15,405       0   1,282
    SBC COMMUNICATIONS INC               Common    78387G103     246     5,830  SH         OTHER       1       5,830       0       0
    SCHERING-PLOUGH CORP                 Common    806605101     316     8,515  SH        DEFINED      1       8,515       0       0
    SCHERING-PLOUGH CORP                 Common    806605101      15       400  SH         OTHER       1         400       0       0
    SCHLUMBERGER LTD                     Common    806857108   1,420    18,560  SH        DEFINED      1      18,460     100       0
    SCHLUMBERGER LTD                     Common    806857108      92     1,200  SH         OTHER       1       1,100     100       0
    SOUTHWEST AIRLINES                   Common    844741108     317    15,212  SH        DEFINED      1      14,512     700       0
    SOUTHWEST AIRLINES                   Common    844741108      11       525  SH         OTHER       1         525       0       0
    SUNMICRO SYSTEMS                     Common    866810104   1,410    15,050  SH        DEFINED      1      14,050   1,000       0
    SUNMICRO SYSTEMS                     Common    866810104     356     3,800  SH         OTHER       1       3,800       0       0
    SUSQUEHANNA BANCORP                  Common    869099101   3,662   257,000  SH        DEFINED            257,000       0       0
    TARGET CORP                          Common    87612E106   1,304    17,450  SH        DEFINED      1      17,450       0       0
    TARGET CORP                          Common    87612E106     135     1,800  SH         OTHER       1       1,800       0       0
    TELLABS INC COM                      Common    879664100     479     7,600  SH        DEFINED      1       7,600       0       0
    TELLABS INC COM                      Common    879664100      25       400  SH         OTHER       1         400       0       0
    TEXACO INC                           Common    881694103     194     3,600  SH        DEFINED      1       2,600   1,000       0
    TEXACO INC                           Common    881694103      11       200  SH         OTHER       1         200       0       0
    TEXAS INSTRUMENTS INC                Common    882508104   1,426     8,910  SH        DEFINED      1       8,910       0       0
    TEXAS INSTRUMENTS INC                Common    882508104      80       500  SH         OTHER       1         500       0       0
    TEXTRON INC COM                      Common    883203101     146     2,400  SH        DEFINED      1       2,400       0       0
    TEXTRON INC COM                      Common    883203101      55       900  SH         OTHER       1         900       0       0
    THE CHARLES SCHWAB CORPORATION       Common    808513105     253     4,474  SH        DEFINED      1       4,474       0       0
    U S WEST INC NEW COM                 Common    91273H101     136     1,879  SH        DEFINED      1       1,879       0       0
    U S WEST INC NEW COM                 Common    91273H101     157     2,157  SH         OTHER       1       2,157       0       0
    UNION CARBIDE CORP                   Common    905581104      21       352  SH        DEFINED      1         352       0       0
    UNION CARBIDE CORP                   Common    905581104     233     4,000  SH         OTHER       1       4,000       0       0
    UNITED TECH CORP                     Common    913017109     284     4,500  SH        DEFINED      1       4,500       0       0
    VODAFONE GROUP PLC ADR SPONSORED     Common    92857T107     318     5,720  SH        DEFINED      1       5,720       0       0
    VODAFONE GROUP PLC ADR SPONSORED     Common    92857T107     472     8,500  SH         OTHER       1       8,500       0       0










    WACHOVIA CORP                        Common    929771103     419     6,201  SH        DEFINED      1       6,201       0       0
    WAL-MART STORES INC                  Common    931142103     344     6,086  SH        DEFINED      1       6,086       0       0
    WAL-MART STORES INC                  Common    931142103      23       400  SH         OTHER       1         400       0       0
    WARNER-LAMBERT CO                    Common    934488107   1,083    11,090  SH        DEFINED      1      11,090       0       0
    WARNER-LAMBERT CO                    Common    934488107     313     3,200  SH         OTHER       1       3,200       0       0
    WELLS FARGO & CO                     Common    949746101     615    15,095  SH        DEFINED      1      13,995   1,100       0
    WELLS FARGO & CO                     Common    949746101      53     1,300  SH         OTHER       1       1,300       0       0
    XEROX CORP.                          Common    984121103     205     7,886  SH        DEFINED      1       6,786   1,100       0
    XEROX CORP.                          Common    984121103      10       400  SH         OTHER       1         400       0       0

    GRAND TOTALS                                             171,465


</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission