FIRST COMMONWEALTH FINANCIAL CORP /PA/
13F-HR, 2000-11-14
NATIONAL COMMERCIAL BANKS
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                                         UNITED STATES
                               SECURITIES AND EXCHANGE COMMISSION
                                         WASHINGTON, D.C. 20549

                                                  Form 13F

                                         Form 13F COVER PAGE

    Report for the Calendar Year or Quarter Ended:   September 30, 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,     November 13, 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:188

    Form 13F Information Table Value Total: $155,141    (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/INVESTMEN OTHER       VOTING AUTHORITY
    ISSUER                               CLASS        CUSIP  (X$1000)  PRN AMT PRN CALLDISCRETIOMANAGERS  SOLE   SHARED   NONE
    <S>                              <C>           <C>       <C>      <C>      <C> <C> <C>      <C>     <C>      <C>    <C>
    ALCOA INC.                           Common    013817101      721   28,486  SH      DEFINED    1      28,486      0        0
    ALCOA INC.                           Common    013817101      122    4,800  SH       OTHER     1       4,800      0        0
    ALLEGHENY ENERGY INC                 Common    017361106       84    2,200  SH       OTHER     1       2,200      0        0
    ALLEGHENY ENERGY INC                 Common    017361106      258    6,754  SH      DEFINED    1       4,454  2,300        0
    ALLSTATE CORP                        Common    020002101      207    5,962  SH       OTHER     1       5,962      0        0
    ALLSTATE CORP                        Common    020002101      214    6,150  SH      DEFINED    1       4,850  1,300        0
    ALLTEL CORP                          Common    020039103      450    8,616  SH       OTHER     1         500  8,116        0
    ALLTEL CORP                          Common    020039103      642   12,301  SH      DEFINED    1      10,255  2,046        0
    AMERICA ONLINE INC                   Common    02364J104      590   10,985  SH      DEFINED    1      10,985      0        0
    AMERICA ONLINE INC                   Common    02364J104       62    1,150  SH       OTHER     1       1,150      0        0
    AMERICAN EXPRESS CO                  Common    025816109      495    8,142  SH      DEFINED    1       8,142      0        0
    AMERICAN HOME PRODUCTS               Common    026609107      788   13,959  SH      DEFINED    1      12,759  1,200        0
    AMERICAN HOME PRODUCTS               Common    026609107      244    4,320  SH       OTHER     1       4,320      0        0
    AMERICAN INTERNATIONAL GROUP INC     Common    026874107    1,000   10,450  SH      DEFINED    1      10,450      0        0
    AMERICAN INTERNATIONAL GROUP INC     Common    026874107       84      881  SH       OTHER     1         881      0        0
    ANHEUSER BUSCH COS INC               Common    035229103      499   11,800  SH      DEFINED    1      11,800      0        0
    ANHEUSER BUSCH COS INC               Common    035229103       59    1,400  SH       OTHER     1       1,400      0        0
    APPLIED MATLS INC                    Common    038222105       42      700  SH       OTHER     1         700      0        0
    APPLIED MATLS INC                    Common    038222105      586    9,875  SH      DEFINED    1       9,875      0        0
    AT&T CORP                            Common     01957109      252    8,579  SH       OTHER     1       8,027    552        0
    AT&T CORP                            Common     01957109      594   20,229  SH      DEFINED    1      17,695  1,079    1,455
    AUTOMATIC DATA PROCESSING INC        Common    053015103       67    1,000  SH       OTHER     1       1,000      0        0
    AUTOMATIC DATA PROCESSING INC        Common    053015103      378    5,658  SH      DEFINED    1       5,658      0        0
    BANK OF AMERICA CORP                 Common    060505104       60    1,146  SH       OTHER     1       1,146      0        0
    BANK OF AMERICA CORP                 Common    060505104      533   10,173  SH      DEFINED    1      10,173      0        0
    BELLSOUTH CORP                       Common    079860102    1,106   27,320  SH      DEFINED    1      25,004    400    1,916
    BELLSOUTH CORP                       Common    079860102       81    2,000  SH       OTHER     1       2,000      0        0
    BERKSHIRE SECURITIES                 Common    084991868      794    5,400  SH      DEFINED    1       5,400      0        0
    BESTFOODS                            Common    08658U101      231    3,176  SH       OTHER     1       3,176      0        0
    BLACK & DECKER                       Common    091797100      294    8,600  SH      DEFINED    1       8,300    300        0
    BLACK & DECKER                       Common    091797100       26      750  SH       OTHER     1         750      0        0
    BOEING CO                            Common    097023105      187    2,980  SH       OTHER     1       2,980      0        0
    BOEING CO                            Common    097023105       52      830  SH      DEFINED    1         830      0        0
    BP AMOCO P L C                       Common    055622104    1,304   24,608  SH      DEFINED    1      24,608      0        0
    BP AMOCO P L C                       Common    055622104      447    8,441  SH       OTHER     1       8,441      0        0
    BRISTOL MYERS SQUIB                  Common    110122108       46      800  SH       OTHER     1         800      0        0
    BRISTOL MYERS SQUIB                  Common    110122108      985   17,127  SH      DEFINED    1      15,727  1,400        0
    BT FINANCIAL CORP                    Common    055763106    3,051  163,275  SH      DEFINED          163,275      0        0
    CHEVRON CORP                         Common    166751107       51      600  SH       OTHER     1           0    600        0
    CHEVRON CORP                         Common    166751107      149    1,750  SH      DEFINED    1       1,750      0        0
    CISCO SYSTEMS                        Common    17275R102      260    4,700  SH       OTHER     1       4,700      0        0
    CISCO SYSTEMS                        Common    17275R102    2,635   47,687  SH      DEFINED    1      46,487  1,200        0
    CITIGROUP INC                        Common    172967101    1,472   27,226  SH      DEFINED    1      27,226      0        0
    CITIGROUP INC                        Common    172967101       40      733  SH       OTHER     1         733      0        0
    COCA COLA CO                         Common    191216100      319    5,790  SH      DEFINED    1       5,590    200        0
    COCA COLA CO                         Common    191216100       66    1,200  SH       OTHER     1       1,200      0        0
    COMPAQ COMPUTER CORP                 Common    204493100      121    4,383  SH       OTHER     1       4,383      0        0
    COMPAQ COMPUTER CORP                 Common    204493100      894   32,500  SH      DEFINED    1      32,500      0        0
    CONEXANT SYSTEMS INC                 Common    207142100      637   15,218  SH       OTHER     1      15,218      0        0
    CONEXANT SYSTEMS INC                 Common    207142100       75    1,797  SH      DEFINED    1       1,797      0        0
    CROWN AMERICAN REALTY TRUST          Common    228186102       61   10,000  SH      DEFINED    1      10,000      0        0
    CVS CORP                             Common    126650100      222    4,800  SH       OTHER     1       4,800      0        0
    DAIMLERCHRYSLER AG                   Common    D1668R123      228    5,140  SH      DEFINED    1       5,140      0        0
    DAIMLERCHRYSLER AG                   Common    D1668R123       44    1,000  SH       OTHER     1       1,000      0        0
    DISNEY WALT CO                       Common    254687106      520   13,595  SH      DEFINED    1      13,595      0        0
    DISNEY WALT CO                       Common    254687106       82    2,150  SH       OTHER     1       2,150      0        0
    DOW CHEMICAL COMPANY                 Common    260543103      165    6,625  SH      DEFINED    1       6,625      0        0
    DOW CHEMICAL COMPANY                 Common    260543103       59    2,346  SH       OTHER     1       2,346      0        0
    DUPONT DE NEMOUR                     Common    263534109      114    2,800  SH       OTHER     1       1,000  1,800        0
    DUPONT DE NEMOUR                     Common    263534109      729   17,835  SH      DEFINED    1      17,835      0        0
    EMBRYO DEVELOPMENT CORP              Common    290818103        1   15,000  SH      DEFINED    1      15,000      0        0
    EMERSON ELECTRIC CO.                 Common    291011104      652    9,730  SH       OTHER     1       9,730      0        0
    EQUITABLE RESOURCES                  Common    294549100      781   12,321  SH       OTHER     1      12,321      0        0
    EXXON MOBIL CORP                     Common    30231G102    2,288   25,676  SH       OTHER     1      22,353  3,323        0
    EXXON MOBIL CORP                     Common    30231G102    3,411   38,286  SH      DEFINED    1      38,286      0        0
    FEDERAL NATIONAL MORTGAGE ASSOC      Common    313586109       89    1,250  SH       OTHER     1       1,250      0        0
    FEDERAL NATIONAL MORTGAGE ASSOC      Common    313586109      907   12,690  SH      DEFINED    1      12,090    600        0
    FIRST COMMONWEALTH FINANCIAL CORP    Common    319829107    4,153  428,633  SH       OTHER     1     327,385 *******       0
    FIRST COMMONWEALTH FINANCIAL CORP    Common    319829107   16,363 ********* SH      DEFINED    1    ********* 8,846        0
    FIRST UNION CORPORATION              Common    337358105      257    7,996  SH      DEFINED    1       7,996      0        0
    FORD MTR CO DEL COM PAR $0.01        Common    345370860      740   29,012  SH      DEFINED    1      29,012      0        0
    FORD MTR CO DEL COM PAR $0.01        Common    345370860       95    3,716  SH       OTHER     1       2,668  1,048        0
    GA FINANCIAL INC                     Common    361437106    1,891  133,900  SH      DEFINED          133,900      0        0
    GENERAL ELECTRIC                     Common    369604103    5,606   96,975  SH      DEFINED    1      96,075    900        0
    GENERAL ELECTRIC                     Common    369604103   11,305  195,545  SH       OTHER     1     192,125  3,420        0
    GENERAL MILLS INC                    Common    370334104      118    3,320  SH      DEFINED    1       3,320      0        0
    GENERAL MILLS INC                    Common    370334104      211    5,940  SH       OTHER     1       5,940      0        0
    GENERAL MOTORS CORP                  Common    370442105      381    5,855  SH      DEFINED    1       4,187  1,068      600
    GENERAL MOTORS CORP                  Common    370442105      217    3,342  SH       OTHER     1       2,884    458        0
    GILLETTE CO                          Common    375766102      447   14,467  SH      DEFINED    1      13,467  1,000        0
    GILLETTE CO                          Common    375766102       39    1,250  SH       OTHER     1       1,250      0        0
    HOME DEPOT INC                       Common    437076102      355    6,712  SH      DEFINED    1       6,712      0        0
    INGERSOLL RAND CO                    Common    456866102      204    6,000  SH       OTHER     1       6,000      0        0
    INTEL CORP                           Common    458140100    1,971   47,430  SH      DEFINED    1      47,430      0        0
    INTEL CORP                           Common    458140100      291    7,000  SH       OTHER     1       7,000      0        0
    INTIMATE BRANDS INC                  Common    461156101       11      600  SH       OTHER     1         600      0        0
    INTIMATE BRANDS INC                  Common    461156101      271   14,475  SH      DEFINED    1      14,475      0        0
    INT'L BUSINESS MACHINES CORP         Common    459200101    1,485   13,182  SH      DEFINED    1      13,182      0        0
    INT'L BUSINESS MACHINES CORP         Common    459200101    1,739   15,440  SH       OTHER     1      15,440      0        0
    JOHNSON & JOHNSON                    Common    478160104    1,033   10,998  SH      DEFINED    1      10,998      0        0
    JOHNSON & JOHNSON                    Common    478160104      537    5,720  SH       OTHER     1       5,520    200        0
    JUNIATA VALLEY FINANCIAL CORP.       Common    482016102      554   21,927  SH      DEFINED    1      21,927      0        0
    KEYSTONE FINANCIAL                   Common    493482103    5,054  232,356  SH      DEFINED          232,356      0        0
    KROGER CO                            Common    501044101      257   11,376  SH       OTHER     1      11,376      0        0
    LOWES COS INC                        Common    548661107      498   11,100  SH      DEFINED    1      11,100      0        0
    LOWES COS INC                        Common    548661107       58    1,300  SH       OTHER     1       1,300      0        0
    LUCENT TECHNOLOGIES INC              Common    549463107      228    7,468  SH       OTHER     1       6,828    640        0
    LUCENT TECHNOLOGIES INC              Common    549463107    1,165   38,209  SH      DEFINED    1      36,021    932    1,256
    MCDONALDS CORP                       Common    580135101      560   18,560  SH      DEFINED    1      18,560      0        0
    MCDONALDS CORP                       Common    580135101       76    2,518  SH       OTHER     1       2,518      0        0
    MELLON FINANCIAL CORP                Common    58551A108      449    9,675  SH       OTHER     1       5,200  4,475        0
    MELLON FINANCIAL CORP                Common    58551A108    1,244   26,834  SH      DEFINED    1      24,710  2,124        0
    MERCK & COMPANY INC                  Common    589331107    2,685   36,076  SH       OTHER     1      35,276    800        0
    MERCK & COMPANY INC                  Common    589331107    3,281   44,079  SH      DEFINED    1      44,079      0        0
    MERRILL LYNCH & CO                   Common    590188108    1,384   20,968  SH      DEFINED    1      20,968      0        0
    MERRILL LYNCH & CO                   Common    590188108      264    4,000  SH       OTHER     1       4,000      0        0
    MICROSOFT CORP                       Common    594918104      184    3,050  SH       OTHER     1       3,050      0        0
    MICROSOFT CORP                       Common    594918104      975   16,160  SH      DEFINED    1      16,160      0        0
    MINNESOTA MINING & MANUFACTURING     Common    604059105      558    6,120  SH       OTHER     1       6,020    100        0
    MINNESOTA MINING & MANUFACTURING     Common    604059105      813    8,926  SH      DEFINED    1       8,926      0        0
    MORGAN J P & CO INC                  Common    616880100       49      300  SH       OTHER     1         300      0        0
    MORGAN J P & CO INC                  Common    616880100      854    5,229  SH      DEFINED    1       5,229      0        0
    MORGAN STANLEY DEAN WITTER DISCOV    Common    617446448      428    4,680  SH       OTHER     1       4,680      0        0
    MOTOROLA INC.                        Common    620076109      457   15,489  SH      DEFINED    1      15,489      0        0
    MOTOROLA INC.                        Common    620076109       50    1,700  SH       OTHER     1       1,700      0        0
    NEW MEXICO BANQUEST                  Common    647991926      143    1,522  SH       OTHER     1       1,522      0        0
    NEW MEXICO BANQUEST                  Common    647991926      676    7,207  SH      DEFINED    1       7,207      0        0
    NORTH PITTSBURGH SYS INC             Common    661562108    1,266   92,920  SH       OTHER     1      72,000 20,920        0
    NOVELLUS SYSTEMS INC                 Common    670008101      589   12,660  SH      DEFINED    1      12,660      0        0
    NOVELLUS SYSTEMS INC                 Common    670008101       23      500  SH       OTHER     1         500      0        0
    ORACLE CORP                          Common    68389X105    2,112   26,825  SH      DEFINED    1      24,625  2,200        0
    ORACLE CORP                          Common    68389X105       79    1,000  SH       OTHER     1       1,000      0        0
    P P G INDUSTRIES INC                 Common    693506107      367    9,240  SH      DEFINED    1       8,540    700        0
    P P G INDUSTRIES INC                 Common    693506107    2,067   52,090  SH       OTHER     1      44,390  7,700        0
    PARKVALE FINANCIAL CORP              Common    701492100    1,539   86,100  SH      DEFINED           86,100      0        0
    PEPSICO INCORPORATED                 Common    713448108    1,003   21,800  SH       OTHER     1      21,400    400        0
    PEPSICO INCORPORATED                 Common    713448108    1,744   37,920  SH      DEFINED    1      36,720  1,200        0
    PFIZER INC                           Common    717081103    4,160   92,617  SH      DEFINED    1      92,617      0        0
    PFIZER INC                           Common    717081103      701   15,600  SH       OTHER     1      15,600      0        0
    PHILIP MORRIS CO                     Common    718154107    1,024   34,790  SH       OTHER     1      34,790      0        0
    PHILIP MORRIS CO                     Common    718154107      358   12,150  SH      DEFINED    1      12,150      0        0
    PNC BANK CORP                        Common    693475105      799   12,297  SH      DEFINED    1      11,447      0      850
    PNC BANK CORP                        Common    693475105      281    4,328  SH       OTHER     1       4,328      0        0
    PPL CORP                             Common    69351T106      436   10,436  SH      DEFINED    1      10,436      0        0
    PPL CORP                             Common    69351T106      432   10,353  SH       OTHER     1      10,353      0        0
    PRAXAIR INC                          Common    74005P104      150    4,000  SH       OTHER     1       4,000      0        0
    PRAXAIR INC                          Common    74005P104       52    1,390  SH      DEFINED    1       1,390      0        0
    PROCTER & GAMBLE CO                  Common    742718109    1,464   21,850  SH       OTHER     1      21,650    200        0
    PROCTER & GAMBLE CO                  Common    742718109    1,464   21,846  SH      DEFINED    1      21,846      0        0
    PUBLIC SERV ELEC GAS                 Common    744573106       49    1,104  SH      DEFINED    1       1,104      0        0
    PUBLIC SERV ELEC GAS                 Common    744573106      299    6,680  SH       OTHER     1       6,680      0        0
    QWEST COMMUNICATIONS INTL            Common    749121109      180    3,750  SH      DEFINED    1       3,750      0        0
    QWEST COMMUNICATIONS INTL            Common    749121109      180    3,730  SH       OTHER     1       3,730      0        0
    ROCKWELL INTL CORP NEW               Common    773903109      461   15,219  SH       OTHER     1      15,219      0        0
    ROCKWELL INTL CORP NEW               Common    773903109       65    2,159  SH      DEFINED    1       2,159      0        0
    ROYAL DUTCH PETROLEUM NY SHS         Common    780257804       24      400  SH       OTHER     1         400      0        0
    ROYAL DUTCH PETROLEUM NY SHS         Common    780257804      306    5,100  SH      DEFINED    1       5,100      0        0
    S & T BANCORP INC                    Common    783859101    1,467   77,700  SH      DEFINED           77,700      0        0
    S & T BANCORP INC                    Common    783859101        9      464  SH       OTHER     1         464      0        0
    S & T BANCORP INC                    Common    783859101    1,509   79,432  SH      DEFINED    1      79,432      0        0
    SBC COMMUNICATIONS INC               Common    78387G103      767   15,373  SH      DEFINED    1      14,091      0    1,282
    SBC COMMUNICATIONS INC               Common    78387G103      291    5,830  SH       OTHER     1       5,830      0        0
    SCHERING-PLOUGH CORP                 Common    806605101       19      400  SH       OTHER     1         400      0        0
    SCHERING-PLOUGH CORP                 Common    806605101      415    8,919  SH      DEFINED    1       8,919      0        0
    SCHLUMBERGER LTD                     Common    806857108       99    1,200  SH       OTHER     1       1,100    100        0
    SCHLUMBERGER LTD                     Common    806857108    1,231   14,960  SH      DEFINED    1      14,860    100        0
    SOLECTRON CORP                       Common    834182107       51    1,100  SH       OTHER     1       1,100      0        0
    SOLECTRON CORP                       Common    834182107      459    9,950  SH      DEFINED    1       9,950      0        0
    SOUTHWEST AIRLINES                   Common    844741108      419   17,262  SH      DEFINED    1      16,562    700        0
    SOUTHWEST AIRLINES                   Common    844741108       13      525  SH       OTHER     1         525      0        0
    SUNMICRO SYSTEMS                     Common    866810104    1,416   12,125  SH      DEFINED    1      11,125  1,000        0
    SUNMICRO SYSTEMS                     Common    866810104      339    2,900  SH       OTHER     1       2,900      0        0
    SUSQUEHANNA BANC SHS                 Common    869099101      770   50,462  SH      DEFINED    1      50,462      0        0
    SUSQUEHANNA BANCSHARES INC           Common    869099101    3,566  257,000  SH      DEFINED          257,000      0        0
    TARGET CORP                          Common    87612E106      935   36,500  SH      DEFINED    1      36,500      0        0
    TARGET CORP                          Common    87612E106       97    3,800  SH       OTHER     1       3,800      0        0
    TELLABS INC                          Common    879664100       19      400  SH       OTHER     1         400      0        0
    TELLABS INC                          Common    879664100      611   12,800  SH      DEFINED    1      12,800      0        0
    TEXAS INSTRUMENTS INC                Common    882508104       81    1,700  SH       OTHER     1       1,700      0        0
    TEXAS INSTRUMENTS INC                Common    882508104      717   15,125  SH      DEFINED    1      15,125      0        0
    THE CHARLES SCHWAB                   Common    808513105      238    6,711  SH      DEFINED    1       6,711      0        0
    TYCO INTERNATIONAL LTD               Common    902124106       13      250  SH       OTHER     1         250      0        0
    TYCO INTERNATIONAL LTD               Common    902124106      359    6,925  SH      DEFINED    1       6,925      0        0
    UNITED TECH CORP                     Common    913017109      359    5,175  SH      DEFINED    1       5,175      0        0
    VERIZON COMMUNICATIONS               Common    92343V104    3,044   62,850  SH      DEFINED    1      62,850      0        0
    VERIZON COMMUNICATIONS               Common    92343V104    1,742   35,966  SH       OTHER     1      31,294  4,672        0
    VIACOM INC. NEW                      Common    925524308       18      304  SH       OTHER     1         304      0        0
    VIACOM INC. NEW                      Common    925524308      262    4,480  SH      DEFINED    1       4,480      0        0
    VIRAGEN INC                          Common    927638106       14   10,000  SH      DEFINED    1      10,000      0        0
    VODAFONE GROUP PLC NEW               Common    92857W100      138    3,720  SH      DEFINED    1       3,720      0        0
    VODAFONE GROUP PLC NEW               Common    92857W100      315    8,500  SH       OTHER     1       8,500      0        0
    WACHOVIA CORP                        Common    929771103      352    6,201  SH      DEFINED    1       6,201      0        0
    WAL-MART STORES INC                  Common    931142103       19      400  SH       OTHER     1         400      0        0
    WAL-MART STORES INC                  Common    931142103      295    6,136  SH      DEFINED    1       6,136      0        0
    WELLS FARGO & CO                     Common    949746101       78    1,700  SH       OTHER     1       1,700      0        0
    WELLS FARGO & CO                     Common    949746101      757   16,470  SH      DEFINED    1      15,370  1,100        0
    WORLDCOM INC                         Common    98157D106      785   25,834  SH      DEFINED    1      25,834      0        0
    WORLDCOM INC                         Common    98157D106        8      250  SH       OTHER     1         250      0        0


    GRAND TOTALS                                              155,141


    </TABLE>



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