CNB BANCSHARES INC
13F-HR/A, 1999-05-17
STATE 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: March 31, 1999

Check here if Amendment [ x ]; Amendment Number: 1
This Amendment (Check only one. ): [  ] is a restatement
                                   [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:     CNB Bancshares, Inc.
Address:  20 N.W. Third Street
          Evansville, IN  47739

13F File Number: 

The institutional investment manager filing this report and the 
person by whom it is signed hereby represent that the person 
signing this report is authorized to submit it, that all 
information contained herein is true, correct and complete, and 
that 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:       Douglas K. Wurmnest
Title:      Senior Vice President
Phone:      812-456-3872
Signature, Place, and Date of Signing:

/s/Douglas K. Wurmnest
- ----------------------
Douglas K. Wurmnest         Evansville, IN          May 15, 1999

Report Type (Check only one.):

[ x ]    13F HOLDINGS REPORT.
[   ]    13F NOTICE.
[   ]    13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.

<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Includes Managers:		2

Form 13F Information Table Entry Total: 461

Form 13F Information Table Value Total: $750,426

List of Other Included Managers:

No.	13F File Number	     Name

01    28-6358            CNB Bancshares, Inc.
02    28-5430            Civitas Bank, Trust Department
03                       Wedgewood Partners, Inc.

<PAGE>



<TABLE>
<CAPTION>
                                                              FORM 13F INFORMATION TABLE
                               TITLE OF                VALUE     SHARES/   SH/ PUT/ INVSTMT    OTHER            VOTING AUTHORITY
        NAME OF ISSUER         CLASS         CUSIP   (x$1000)    PRM AMT   PRN CALL DSCRETN   MANAGERS      SOLE     SHARED   NONE
- ------------------------------ ----------- --------- --------- ----------- --- ---- ------- ------------ ---------- -------- ------

<S>                            <C>         <C>       <C>       <C>         <C> <C>  <C>     <C>          <C>        <C>      <C>
ABBOTT LABS                    COM         002824100       592      12,650 SH       DEFINED       2          8,450   4,200
ABBOTT LABS                    COM         002824100     7,267     155,230 SH       SOLE          2        155,230
AIR PRODS & CHEMS INC          COM         009158106       123       3,600 SH       DEFINED       2          2,200   1,400
AIR PRODS & CHEMS INC          COM         009158106     3,003      87,672 SH       SOLE          2         87,672
AIRBORNE FGHT CORP             COM         009266107       499      16,100 SH       SOLE          2         16,100
AIRTOUCH COMMUNICATIONS, INC.  COM         00949T100        25         260 SH       DEFINED       2            260
AIRTOUCH COMMUNICATIONS, INC.  COM         00949T100       582       6,024 SH       SOLE          2          6,024
AK STEEL HOLDING CORP          COM         001547108       314      13,900 SH       SOLE          2         13,900
ALBERTSONS INC                 COM         013104104        33         600 SH       DEFINED       2            600
ALBERTSONS INC                 COM         013104104     2,124      39,020 SH       SOLE          2         39,020
ALCOA INC                      COM         013817101        75       1,830 SH       DEFINED       2          1,600     230
ALCOA INC                      COM         013817101       189       4,600 SH       SOLE          2          4,600
ALLEGHENY ENERGY INC           COM         017361106     1,050      35,600 SH       SOLE          2         35,600
ALLIANCE CAPITAL MGMT LP       COM         018548107     1,028      40,600 SH       SOLE          2         40,600
ALLIED SIGNAL INC              COM         019512102        65       1,320 SH       DEFINED       2          1,320
ALLIED SIGNAL INC              COM         019512102       197       4,000 SH       SOLE          2          4,000
ALLSTATE CORP                  COM         020002101     2,386      64,376 SH       SOLE          2         64,376
ALLTEL CORP                    COM         020039103        62       1,000 SH       DEFINED       2          1,000
ALLTEL CORP                    COM         020039103     1,767      28,329 SH       SOLE          2         28,329
AMCORE FINANCIAL, INC.         COM         023912108        21       1,000 SH       SOLE          1          1,000
AMEREN                         COM         023608102       185       5,100 SH       SOLE          3                           5,100
AMEREN                         COM         023608102       271       7,500 SH       DEFINED       3                           7,500
AMERICA ONLINE                 COM         02364J104       515       3,500 SH       SOLE          3                           3,500
AMERICA ONLINE INC             COM         02364J104        49         330 SH       DEFINED       2            130     200
AMERICA ONLINE INC             COM         02364J104       295       2,010 SH       SOLE          2          2,010
AMERICAN ELEC PWR INC          COM         025537101       339       8,540 SH       SOLE          2          8,540
AMERICAN EXPRESS CO            COM         025816109         6          50 SH       DEFINED       2                              50
AMERICAN EXPRESS CO            COM         025816109       247       2,100 SH       SOLE          2          2,100
AMERICAN GEN CORP              COM         026351106       505       7,160 SH       SOLE          2          7,160
AMERICAN GREETINGS CL A        COM         026375105        36       1,406 SH       DEFINED       2          1,406
AMERICAN GREETINGS CL A        COM         026375105       406      16,000 SH       SOLE          2         16,000
AMERICAN HOME PRODS CORP       COM         026609107       662      10,150 SH       DEFINED       2         10,150
AMERICAN HOME PRODS CORP       COM         026609107     6,179      94,700 SH       SOLE          2         93,900              800
AMERICAN INTL GROUP INC        COM         026874107       215       1,782 SH       DEFINED       2                  1,782
AMERICAN INTL GROUP INC        COM         026874107     3,977      32,967 SH       SOLE          2         32,967
AMERICAN STORES CO NEW         COM         030096101       224       6,800 SH       SOLE          2          6,800
AMERITECH CORP                 COM         030954101       613      10,636 SH       DEFINED       2         10,636
AMERITECH CORP                 COM         030954101     6,004     104,183 SH       SOLE          2        103,583     600
AMGEN                          COM         031162100       520       6,950 SH       DEFINED       3                           6,950
AMGEN                          COM         031162100     3,789      50,600 SH       SOLE          3                          50,600
AMGEN INC                      COM         031162100        30         400 SH       DEFINED       2            400
AMGEN INC                      COM         031162100       857      11,450 SH       SOLE          2         11,450
AMP INC                        COM         031897101        65       1,221 SH       DEFINED       2            872     349
AMP INC                        COM         031897101     2,162      40,414 SH       SOLE          2         40,414
ANB CORPORATION                COM         001926104       656      32,000 SH       SOLE          1         32,000
ANHEUSER BUSCH COS INC         COM         035229103     1,367      17,960 SH       SOLE          2         17,960
APPLIED MATERIALS              COM         038222105       990      16,050 SH       DEFINED       3                          16,050
APPLIED MATERIALS              COM         038222105     5,259      85,250 SH       SOLE          3                          85,250
ARCHSTONE COMMUNITIES TRUST    COM         039581103       497      24,700 SH       SOLE          2         24,700
AREA BANCSHARES CORP.          COM         039872106        58       2,500 SH       SOLE          1          2,500
ASCEND COMMUNICATIONS          COM         043491109     1,201      14,354 SH       DEFINED       3                          14,354
ASCEND COMMUNICATIONS          COM         043491109     6,342      75,775 SH       SOLE          3                          75,775
ASSOCIATES FIRST CAPITAL - A   COM         046008108        21         470 SH       DEFINED       2            470
ASSOCIATES FIRST CAPITAL - A   COM         046008108       195       4,323 SH       SOLE          2          4,323
AT&T CORP                      COM         001957109       435       5,450 SH       DEFINED       2          4,550     800      100
AT&T CORP                      COM         001957109     7,916      99,179 SH       SOLE          2         98,579     200      400
ATLANTIC RICHFIELD CO          COM         048825103       129       1,768 SH       DEFINED       2            168   1,600
ATLANTIC RICHFIELD CO          COM         048825103       325       4,450 SH       SOLE          2          4,450
AUTOMATIC DATA PROCESSING INC  COM         053015103        33         800 SH       DEFINED       2            800
AUTOMATIC DATA PROCESSING INC  COM         053015103       422      10,200 SH       SOLE          2         10,200
AVNET INC                      COM         053807103       551      15,000 SH       SOLE          2        15,000
BANK OF AMERICA                COM         060505104       353       5,000 SH       SOLE          3                           5,000
BANK OF AMERICA                COM         060505104       473       6,700 SH       DEFINED       3                           6,700
BANK ONE CORP                  COM         06423A103        82       1,483 SH       DEFINED       2          1,483
BANK ONE CORP                  COM         06423A103     3,453      62,708 SH       SOLE          2         62,708
BANKAMERICA CORP NEW           COM         06605F102        17         238 SH       DEFINED       2                    125      113
BANKAMERICA CORP NEW           COM         06605F102     4,727      66,931 SH       SOLE          2         66,931
BELDEN INC                     COM         077459105       239      14,000 SH       SOLE          2         14,000
BELL ATLANTIC CORP             COM         077853109        63       1,214 SH       DEFINED       2          1,214
BELL ATLANTIC CORP             COM         077853109     2,993      57,899 SH       SOLE          2         57,899
BELLSOUTH CORP                 COM         079860102       100       2,508 SH       DEFINED       2          2,508
BELLSOUTH CORP                 COM         079860102     4,003      99,912 SH       SOLE          2         99,912
BERKSHIRE HATHAWAY CL B        COM         084670207       247         105 SH       DEFINED       3                             105
BERKSHIRE HATHAWAY CL B        COM         084670207     2,407       1,024 SH       SOLE          3                           1,024
BERKSHIRE HATHAWAY INC-CL B    COM         084670207        38          16 SH       DEFINED       2                              16
BERKSHIRE HATHAWAY INC-CL B    COM         084670207       230          98 SH       SOLE          2             98
BESTFOODS                      COM         08658U101       122       2,600 SH       DEFINED       2          2,600
BESTFOODS                      COM         08658U101       376       8,000 SH       SOLE          3                           8,000
BESTFOODS                      COM         08658U101     3,156      67,150 SH       SOLE          2         67,150
BIOCONTROL TECHNOLOGY INC      COM         090586108         3      63,000 SH       SOLE          2         63,000
BIOMET INC                     COM         090613100       231       5,500 SH       SOLE          2          5,500
BLACKROCK INVT QLTY TERM TR    COM         09247J102         9       1,000 SH       SOLE          2          1,000
BLACKROCK INVT QLTY TERM TR    COM         09247J102        87      10,000 SH       DEFINED       2         10,000
BORDERS GROUP INC              COM         099709107       380      27,000 SH       SOLE          2         27,000
BP AMOCO                       COM         055622104       374       3,705 SH       DEFINED       3                           3,705
BP AMOCO PLC - SPONS ADR       COM         055622104     1,394      13,801 SH       DEFINED       2         11,023   2,249      529
BP AMOCO PLC - SPONS ADR       COM         055622104     9,448      93,547 SH       SOLE          2         93,547
BRIGGS & STRATTON CORP         COM         109043109        49       1,000 SH       DEFINED       2          1,000
BRIGGS & STRATTON CORP         COM         109043109     1,583      32,100 SH       SOLE          2         32,100
BRISTOL MYERS SQUIBB           COM         110122108       269       4,200 SH       SOLE          3                           4,200
BRISTOL MYERS SQUIBB CO        COM         110122108     1,601      24,968 SH       DEFINED       2         22,068   2,500      400
BRISTOL MYERS SQUIBB CO        COM         110122108    20,526     320,095 SH       SOLE          2        316,695     800    2,600
BRUNSWICK CORP                 COM         117043109       362      19,000 SH       SOLE          2         19,000
BUTLER MFG CO DEL              COM         123655102       625      26,650 SH       SOLE          2         26,650
C S X CORP                     COM         126408103        55       1,400 SH       SOLE          2          1,400
C S X CORP                     COM         126408103       148       3,792 SH       DEFINED       2          3,792
CARNIVAL CORP                  COM         143658102       305       6,280 SH       DEFINED       2          6,000     280
CARNIVAL CORP                  COM         143658102     2,242      46,174 SH       SOLEX         2         46,174
CBRL GROUP INC                 COM         12489V106       685      38,045 SH       SOLE          2         38,045
CENDANT CORP                   COM         151313103        38       2,403 SH       DEFINED       2          2,403
CENDANT CORP                   COM         151313103       729      45,720 SH       SOLE          2         36,720            9,000
CHARLES SCHWAB                 COM         808513105       642       6,675 SH       DEFINED       3                           6,675
CHARLES SCHWAB                 COM         808513105     6,278      65,312 SH       SOLE          3                          65,312
CHEVRON CORP                   COM         166751107       163       1,838 SH       DEFINED       2          1,688     150
CHEVRON CORP                   COM         166751107     4,736      53,360 SH       SOLE          2         53,260     100
CHUBB CORP                     COM         171232101        94       1,600 SH       DEFINED       2          1,600
CHUBB CORP                     COM         171232101     3,421      58,415 SH       SOLE          2         58,415
CISCO SYS INC                  COM         17275R102       507       4,623 SH       DEFINED       2          3,600     113      910
CISCO SYS INC                  COM         17275R102     5,362      48,944 SH       SOLE          2         48,944
CISCO SYSTEMS                  COM         17275R102        82         750 SH       DEFINED       3                             750
CISCO SYSTEMS                  COM         17275R102       348       3,175 SH       SOLE          3                           3,175
CITIGROUP INC                  COM         172967101       144       2,250 SH       DEFINED       2          2,000              250
CITIGROUP INC                  COM         172967101       208       3,250 SH       SOLE          2          3,250
CLOROX CO                      COM         189054109       422       3,600 SH       SOLE          2          3,600
CNB BANCSHARES                 COM         126126101       211       5,250 SH       DEFINED       3                           5,250
CNB BANCSHARES                 COM         126126101     1,299      32,261 SH       SOLE          3                          32,261
CNB BANCSHARES INC             COM         126126101     4,626     114,920 SH       DEFINED       2         65,163 44,419     5,338
CNB BANCSHARES INC             COM         126126101   108,205   2,688,324 SH       SOLE          2      1,803,245          885,078
COCA COLA CO                   COM         191216100       663      10,800 SH       DEFINED       2         10,300              500
COCA COLA CO                   COM         191216100     5,554      90,492 SH       SOLE          2         88,392            2,100
COLGATE PALMOLIVE CO           COM         194162103       105       1,140 SH       DEFINED       2          1,140
COLGATE PALMOLIVE CO           COM         194162103     1,404      15,262 SH       SOKLE         2         15,262
COLT TELECOM GROUP             COM         196877104       575       8,000 SH       SOLE          3                           8,000
COMAIR HOLDINGS INC            COM         199789108       582      24,650 SH       SOLE          2         24,650
COMPAQ COMPUTER CORP           COM         204493100        52       1,641 SH       DEFINED       2          1,000     324      317
COMPAQ COMPUTER CORP           COM         204493100     1,991      62,845 SH       SOLE          2         62,845
COMPUTER SCIENCES CORP         COM         205363104        58       1,050 SH       DEFINED       2          1,050
COMPUTER SCIENCES CORP         COM         205363104       243       4,399 SH       SOLE          2          4,399
CONOCO INC-CL A                COM         208251306       614      25,000 SH       SOLE          2         25,000
CONSECO INC                    COM         208464107       757      24,510 SH       SOLE          2         24,510
CONSOLIDATED NAT GAS CO        COM         209615103         2          32 SH       DEFINED       2                              32
CONSOLIDATED NAT GAS CO        COM         209615103     1,193      24,500 SH       SOLE          2         24,500
COOPER TIRE & RUBR CO          COM         216831107       588      32,000 SH       SOLE          2         32,000
CORNING INC                    COM         219350105       228       3,800 SH       SOLE          2          3,800
DAYTON HUDSON CORP             COM         239753106        13         200 SH       DEFINED       2            200
DAYTON HUDSON CORP             COM         239753106     2,287      34,322 SH       SOLE          2         34,322
DEAN FOODS CO                  COM         242361103       794      22,277 SH       SOLE          2         22,277
DEERE & CO                     COM         244199105        48       1,248 SH       DEFINED       2          1,248
DEERE & CO                     COM         244199105       691      17,900 SH       SOLE          2         17,900
DELL COMPUTER CORP             COM         247025109        21         514 SH       DEFINED       2            514
DELL COMPUTER CORP             COM         247025109       299       7,314 SH       SOLE          2          6,914              400
DIEBOLD INC                    COM         253651103       385      16,053 SH       SOLE          2         16,053
DILLARDS INC   CL-A            COM         254067101       634      25,000 SH       SOLE          2         25,000
DISNEY, WALTER CO              COM         254687106        61       1,950 SH       DEFINED       2          1,500              450
DISNEY, WALTER CO              COM         254687106     3,165     101,676 SH       SOLE          2        101,676
DU PONT E I DE NEMOURS & CO    COM         263534109        29         500 SH       DEFINED       2            500
DU PONT E I DE NEMOURS & CO    COM         263534109     2,265      39,002 SH       SOLE          2         39,002
DUKE ENERGY CORPORATION        COM         264399106       337       6,150 SH       SOLE          2          6,150
DUN & BRADSTREET CORP          COM         26483B106        36       1,000 SH       DEFINED       2          1,000
DUN & BRADSTREET CORP          COM         26483B106      ,295      36,350 SH       SOLE          2         36,350
EASTMAN KODAK CO               COM         277461109        65       1,025 SH       DEFINED       2          1,025
EASTMAN KODAK CO               COM         277461109     1,842      28,833 SH       SOLE          2         28,833
ELECTRONIC DATA SYSTEMS CORP   COM         285661104        10         200 SH       DEFINED       2            200
ELECTRONIC DATA SYSTEMS CORP   COM         285661104       469       9,624 SH       SOLE          2          9,624
EMERSON ELEC CO                COM         291011104        92       1,740 SH       DEFINED       2          1,000     740
EMERSON ELEC CO                COM         291011104     3,632      68,615 SH       SOLE          2         68,615
EXXON CORP                     COM         302290101       692       9,813 SH       DEFINED       2          6,789            3,024
EXXON CORP                     COM         302290101    10,029     142,135 SH       SOLE          2        141,735     400
FANNIE MAE                     COM         313586109       880      12,700 SH       DEFINED       3                          12,700
FANNIE MAE                     COM         313586109     4,604      66,485 SH       SOLE          3                          66,485
FDLTY ADV INTRM MUN INC I #89  COM         315917302       553      52,113 SH       SOLE          2         52,113
FDLTY ADV SR IV INS ST GV #662 COM         315809400       278      29,713 SH       SOLE          2         29,713
FDLTY ADV SR IV INT ST GV #662 COM         315809400        20       2,101 SH       DEFINED       2          2,101
FDLTY FNL TR EQTY INC II #319  COM         316145101       121       3,960 SH       SOLE          2          3,960
FDLTY FNL TR EQTY INC II #319  COM         316145101       156       5,115 SH       DEFINED       2          5,115
FEDERAL NATL MTG ASSN          COM         313586109       159       2,300 SH       DEFINED       2          2,200     100
FEDERAL NATL MTG ASSN          COM         313586109     4,452      64,295 SH       SOLE          2         64,295
FEDERATED CAPITAL PRESVTN FD   COM         140411109     1,233     123,308 SH       SOLE          2        123,308
FEDERATED GNMA TR #16          COM         314184102        78       6,932 SH       DEFINED       2          6,932
FEDERATED GNMA TR #16          COM         314184102     5,870     519,891 SH       SOLE          2        517,836            2,055
FEDERATED HIGH YIELD TR #38    COM         314197104        67       7,401 SH       DEFINED       2          7,401
FEDERATED HIGH YIELD TR #38    COM         314197104     2,406     267,333 SH       SOLE          2        265,284            2,048
FEDERATED MI INTER MUNI F #144 COM         625922703       487      44,229 SH       SOLE          2         44,229
FEDRTD INTERM INC IS #303      COM         31420C407       443      43,891 SH       SOLE          2         43,891
FEDRTD US GVT SCS: 2-5 YR INST COM         31428P103       434      40,483 SH       SOLE          2         40,483
FIDELITY INC FD GNMA #015      COM         31617K105         3         251 SH       DEFINED       2            251
FIDELITY INC FD GNMA #015      COM         31617K105       870      80,368 SH       SOLE          2         80,368
FIRST DATA CORP                COM         319963104     1,636      38,260 SH       SOLE          2         38,260
FIRST FEDERAL FINANCIAL CORP   COM         319961108        47       2,000 SH       SOLE          1          2,000
FIRST IND CORP                 COM         32054R108     1,492      78,522 SH       SOLE          2         78,522
FIRST INDIANA CORPORATION      COM         32054R105       157       8,250 SH       SOLE          1          8,250
FIRST MERCHANTS CORPORAITON    COM         320817109       386      15,750 SH       SOLE          1         15,750
FIRSTAR CORP WISC NEW          COM         33763V109       927      10,360 SH       SOLE          2         10,360
FIRSTAR CORPORATION            COM         33763V109        45         500 SH       DEFINED       3                             500
FIRSTAR CORPORATION            COM         33763V109       272       3,040 SH       SOLE          3                           3,040
FLEET FINL GROUP INC           COM         338915101        90       2,400 SH       DEFINED       2          2,400
FLEET FINL GROUP INC           COM         338915101     2,643      70,252 SH       SOLE          2         70,252
FLUOR CORP                     COM         343861100         5         200 SH       DEFINED       2                    200
FLUOR CORP                     COM         343861100       400      14,800 SH       SOLE          2         14,800
FOOD LION INC CL A             COM         344775200       221      24,000 SH       SOLE          2         24,000
FORD MTR CO DEL                COM         345370100        51         900 SH       DEFINED       2            900
FORD MTR CO DEL                COM         345370100       820      14,458 SH       SOLE          2         14,458
FORTUNE BRANDS INC             COM         349631101     1,416      36,768 SH       SOLE          2         36,768
FPL GROUP INC                  COM         302571104         9         170 SH       DEFINED       2            170
FPL GROUP INC                  COM         302571104       532       9,992 SH       SOLE          2          9,392              600
FRANCO NEVADA MINING           COM         351860101       192      12,056 SH       DEFINED       3                          12,056
FRANCO NEVADA MINING           COM         351860101     1,863     116,944 SH       SOLE          3                         116,944
GENERAL ELEC CO                COM         369604103     2,405      21,744 SH       DEFINED       2         17,738   2,146    1,860
GENERAL ELEC CO                COM         369604103    22,591     204,214 SH       SOLE          2        204,214
GENERAL ELECTRIC               COM         369604103       249       2,250 SH       SOLE          3                           2,250
GENERAL MILLS INC              COM         370334104       689       9,120 SH       SOLE          2          9,120
GENERAL MTRS CORP              COM         370442105        35         400 SH       DEFINED       2            200     200
GENERAL MTRS CORP              COM         370442105       838       9,637 SH       SOLE          2          9,637
GENERAL NUTRITION COMPANIES    COM         37047F103       448      32,000 SH       SOLE          2         32,000
GENTEX                         COM         371901109       581      26,930 SH       DEFINED       3                          26,930
GENTEX                         COM         371901109     3,187     147,800 SH       SOLE          3                         147,800
GENUINE PARTS CO               COM         372460105       834      28,950 SH       SOLE          2         28,950
GILLETTE CO                    COM         375766102       138       2,320 SH       DEFINED       2          2,000     320
GILLETTE CO                    COM         375766102     6,037     101,576 SH       SOLE          2        101,176              400
GLAXO WELCOME PLC  ADR         COM         37733W105       268       4,004 SH       SOLE          2          4,004
GOODYEAR TIRE & RUBR CO        COM         382550101     1,634      32,800 SH       SOLE          2         32,800
GTE CORP                       COM         362320103       115       1,908 SH       DEFINED       2          1,908
GTE CORP                       COM         362320103     5,589      92,373 SH       SOLE          2         91,673     700
HALLIBURTON CO                 COM         406216101        39       1,000 SH       DEFINED       2          1,000
HALLIBURTON CO                 COM         406216101       859      22,300 SH       SOLE          2         22,300
HARLEY DAVIDSON                COM         412822108       285       4,965 SH       DEFINED       3                           4,965
HARLEY DAVIDSON                COM         412822108     2,553      44,500 SH       SOLE          3                          44,500
HARLEY DAVIDSON INC            COM         412822108       378       6,587 SH       SOLE          2          6,587
HARTFORD FINANCIAL SVCS GRP    COM         416515104        28         500 SH       DEFINED       2            500
HARTFORD FINANCIAL SVCS GRP    COM         416515104       205       3,600 SH       SOLE          2          3,600
HARTFORD LIFE INC  CL A        COM         416592103       287       5,216 SH       SOLE          2          5,216
HARTFORD LIFE INC CL A         COM         416592103        50         900 SH       DEFINED       2            900
HEINZ H J CO                   COM         423074103         7         150 SH       DEFINED       2            150
HEINZ H J CO                   COM         423074103       645      13,625 SH       SOLE          2         13,625
HERCULES INC                   COM         427056106       523      20,720 SH       SOLE          2         20,720
HEWLETT PACKARD CO             COM         428236103       366       5,400 SH       DEFINED       2          5,400
HEWLETT PACKARD CO             COM         428236103     7,064     104,175 SH       SOLE          2        104,175
HOME DEPOT                     COM         437076102       355       5,700 SH       DEFINED       3                           5,700
HOME DEPOT                     COM         437076102     3,115      50,050 SH       SOLE          3                          50,050
HOME DEPOT INC                 COM         437076102       327       5,250 SH       DEFINED       2          4,850     100      300
HOME DEPOT INC                 COM         437076102     5,126      82,344 SH       SOLE          2         78,844            3,500
HOME FEDERAL BANCORP           COM         436926109     1,608      73,500 SH       SOLE          1         73,500
HONEYWELL INC                  COM         438506107        32         416 SH       DEFINED       2                    416
HONEYWELL INC                  COM         438506107       334       4,400 SH       SOLE          2          4,400
HUBBELL INC-CL B               COM         443510201     1,160      29,000 SH       SOLE          2         29,000
HUSSMANN INTL INC              COM         448110106       194      13,227 SH       SOLE          2         13,227
ILLINOIS TOOL WKS INC          COM         452308109        20         320 SH       DEFINED       2            200     120
ILLINOIS TOOL WKS INC          COM         452308109     1,093      17,660 SH       SOLE          2         17,660
IMC GLOBAL INC                 COM         449669100        20       1,000 SH       DEFINED       2          1,000
IMC GLOBAL INC                 COM         449669100       674      33,000 SH       SOLE          2         33,000
INDEPENDENT BANK CORPORATION   COM         453838104       199      12,500 SH       SOLE          1         12,500
INDIANA ENERGY INC             COM         454707100       338      17,867 SH       SOLE          2         17,867
INTEL                          COM         458140100     1,788      15,044 SH       DEFINED       3                          15,044
INTEL                          COM         458140100     6,548      55,081 SH       SOLE          3                          55,081
INTEL CORP                     COM         458140100       226       1,900 SH       DEFINED       2          1,000    650       250
INTEL CORP                     COM         458140100     5,622      47,296 SH       SOLE          2         45,936            1,360
INTERNATIONAL BUSINESS MACHS   COM         459200101       124         700 SH       DEFINED       2            700
INTERNATIONAL BUSINESS MACHS   COM         459200101     4,567      25,766 SH       SOLE          2         25,766
INTERNATIONAL FLV & FRAG INC   COM         459506101        49       1,300 SH       DEFINED       2          1,000     300
INTERNATIONAL FLV & FRAG INC   COM         459506101     2,235      59,500 SH       S0LE          2         59,500
IPALCO ENTERPRISES INC         COM         462613100        59       2,700 SH       DEFINED       2          2,700
IPALCO ENTERPRISES INC         COM         462613100     3,380     154,056 SH       SOLE          2        151,956            2,100
JACOR                          COM         184502102       231       3,045 SH       DEFINED       3                           3,045
JACOR                          COM         184502102     2,579      33,925 SH       SOLE          3                          33,925
JOHNSON & JOHNSON              COM         478160104       391       4,185 SH       DEFINED       2          4,000     185
JOHNSON & JOHNSON              COM         478160104     9,568     102,335 SH       SOLE          2        101,735    200       400
KELLOGG                        COM         487836108       203       6,000 SH       DEFINED       3                           6,000
KEMP GVT SEC UT GNMA PORT 13   COM         488903220         0      11,029 SH       SOLE          2         11,029
KIMBALL INTL INC CLASS B       COM         494274103        30       2,000 SH       DEFINED       2                  2,000
KIMBALL INTL INC CLASS B       COM         494274103       721      48,500 SH       SOLE          2         48,500
KIMBERLY CLARK CORP            COM         494368103       358       7,470 SH       DEFINED       2          7,200     270
KIMBERLY CLARK CORP            COM         494368103     5,505     114,846 SH       SOLE          2        114,846
KNIGHT-RIDDER INC              COM         499040103       810      16,200 SH       SOLE          2         16,200
KOHLS CORP                     COM         500255104       550       7,761 SH       SOLE          2          7,761
KONINKLIJKE PHILIPS EL-NY SH   COM         500472105     1,546      18,750 SH       SOLE          2         18,750
LAFAYETTE BANCORPORATION       COM         505893107       250       6,106 SH       SOLE          1          6,106
LG&E ENERGY CORP               COM         501917108       211      10,127 SH       DEFINED       2          8,327   1,800
LG&E ENERGY CORP               COM         501917108     3,092     148,579 SH       SOLE          2        148,579
LILLY ELI & CO                 COM         532457108        68         800 SH       DEFINED       2            800
LILLY ELI & CO                 COM         532457108     3,381      39,834 SH       SOLE          2         39,834
LINEAR TECHNOLOGY              COM         535678106       827      16,140 SH       DEFINED       3                          16,140
LINEAR TECHNOLOGY              COM         535678106     4,294      83,785 SH       SOLE          3                          83,785
LINEAR TECHNOLOGY CORP         COM         535678106        51       1,000 SH       DEFINED       2          1,000
LINEAR TECHNOLOGY CORP         COM         535678106       272       5,316 SH       SOLE          2          5,316
LOEWS CORP                     COM         540424108       746      10,000 SH       SOLE          2         10,000
LOWES CO                       COM         548661107       325       5,364 SH       SOLE          2          5,364
LUBY'S INC                     COM         549282101       911      54,000 SH       SOLE          2         54,000
LUCENT TECHNOLOGIES            COM         549463107       108       1,000 SH       DEFINED       3                           1,000
LUCENT TECHNOLOGIES            COM         549463107       464       4,300 SH       SOLE          3                           4,300
LUCENT TECHNOLOGIES INC        COM         549463107       486       4,496 SH       DEFINED       2          3,512     852      132
LUCENT TECHNOLOGIES INC        COM         549463107     7,119      65,916 SH       SOLE          2         64,158    200     1,558
M.C.I. WORLDCOM                COM         55268B106     2,691      30,386 SH       DEFINED       3                          30,386
M.C.I. WORLDCOM                COM         55268B106     7,497      84,660 SH       SOLE          3                          84,660
MARRIOTT INTL INC NEW CL A     COM         571903202       504      15,000 SH       SOLE          2         15,000
MBIA INC                       COM         55262C100        35         600 SH       DEFINED       2            600
MBIA INC                       COM         55262C100       999      17,217 SH       SOLE          2         17,217
MCDONALDS CORP                 COM         580135101       854      18,840 SH       SOLE          2         17,840            1,000
MCGRAW HILL COMPANIES, INC     COM         580645109       180       3,300 SH       DEFINED       2          3,300
MCGRAW HILL COMPANIES, INC     COM         580645109     3,079      56,500 SH       SOLE          2         56,500
MCI WORLDCOM INC               COM         55268B106     1,358      15,332 SH       SOLE          2         15,332
MEDIAONE GROUP INC             COM         58440J104       121       1,900 SH       DEFINED       2          1,900
MEDIAONE GROUP INC             COM         58440J104       980      15,446 SH       SOLE          2         15,046     400
MEDTRONIC                      COM         585055106       359       5,000 SH       DEFINED       3                           5,000
MEDTRONIC INC                  COM         585055106       242       3,360 SH       DEFINED       2          3,200     160
MEDTRONIC INC                  COM         585055106     3,920      54,545 SH       SOLE          2         54,545
MERCANTILE BANCORPORATION      COM         587342106     1,090      22,945 SH       DEFINED       3                          22,945
MERCANTILE BANCORPORATION      COM         587342106     1,171      24,648 SH       SOLE          3                          24,648
MERCANTILE BANCORPORATION INC  COM         587342106        22         454 SH       DEFINED       2            454
MERCANTILE BANCORPORATION INC  COM         587342106       181       3,818 SH       SOLE          2          3,818
MERCK                          COM         589331107     1,222      15,250 SH       DEFINED       3                          15,250
MERCK                          COM         589331107     4,814      60,080 SH       SOLE          3                          60,080
MERCK & CO INC                 COM         589331107       642       8,010 SH       DEFINED       2          6,200     260    1,550
MERCK & CO INC                 COM         589331107     9,264     115,622 SH       SOLE          2        115,622
MFS MULTIMARKET INCOME TRUST   COM         552737108        96      15,000 SH       DEFINED       2         15,000
MICROSOFT                      COM         594918104     1,219      13,600 SH       SOLE          3                          13,600
MICROSOFT CORP                 COM         594918104       565       6,300 SH       DEFINED       2          4,400   1,100      800
MICROSOFT CORP                 COM         594918104     9,326     104,056 SH       SOLE          2        100,656            3,400
MIDAMERICA BANCORP             COM         595915109        27       1,091 SH       SOLE          1          1,091
MINNESOTA MNG & MFG CO         COM         604059105       347       4,900 SH       DEFINED       2          4,500     400
MINNESOTA MNG & MFG CO         COM         604059105     5,128      72,475 SH       SOLE          2         72,375     100
MIRAGE RESORTS                 COM         60462E104       138       6,500 SH       DEFINED       3                           6,500
MIRAGE RESORTS                 COM         60462E104     2,505     117,875 SH       SOLE          3                         117,875
MIRAGE RESORTS INC             COM         60462E104       213      10,000 SH       SOLE          2         10,000
MOBIL CORP                     COM         607059102       229       2,600 SH       DEFINED       2          2,600
MOBIL CORP                     COM         607059102     3,221      36,598 SH       SOLE          2         35,782              816
MOBIL CORPORATION              COM         607059102       220       2,500 SH       SOLE          3                           2,500
MONSANTO CO                    COM         611662107         9         200 SH       DEFINED       2            200
MONSANTO CO                    COM         611662107     1,074      23,385 SH       SOLE          2         23,385
MORGAN J P & CO INC            COM         616880100       592       4,800 SH       SOLE          2          4,800
MORGAN STANLEY DEAN WTR & CO   COM         617446448        60         600 SH       DEFINED       2            500   100
MORGAN STANLEY DEAN WTR & CO   COM         617446448     4,048      40,502 SH       SOLE          2         40,502
MOTOROLA INC                   COM         620076109        77       1,050 SH       DEFINED       2          1,050
MOTOROLA INC                   COM         620076109     1,660      22,656 SH       SOLE          2         22,656
NATIONAL CITY BANCSHARES, INC  COM         635313109         3         106 SH       DEFINED       2            106
NATIONAL CITY BANCSHARES, INC  COM         635313109     2,932     119,687 SH       SOLE          2        116,074            3,613
NATIONAL CITY BANCSHARES, INC. COM         635313109       257      10,500 SH       S0LE          1         10,050
NATIONAL CITY CORP             COM         635405103       836      12,594 SH       SOLE          2         12,594
NATIONAL FUEL GAS CO N J       COM         636180101       510      13,000 SH       SOLE          2         13,000
NATIONAL SERVICE INDS INC      COM         637657107       511      15,000 SH       SOLE          2         15,000
NEW ENGLAND ELEC SYSTEMS       COM         644001109       119      13,500 SH       DEFINED       3                          13,500
NEW ENGLAND ELEC SYSTEMS       COM         644001109       136      15,500 SH       SOLE          3                          15,500
NEWELL COMPANY                 COM         651192106     2,712      57,784 SH       SOLE          2         57,784
NEXTEL COMMUNICATIONS          COM         65332V103       249       6,800 SH       DEFINED       3                           6,800
NEXTEL COMMUNICATIONS          COM         65332V103     2,809      76,700 SH       SOLE          3                          76,700
NEXTEL COMMUNICATIONS INC CL A COM         65332V103       201       5,500 SH       SOLE          2          5,500
NIPSCO INDS INC                COM         629140104       858      31,767 SH       SOLE          2         31,767
NORFOLK SOUTHERN CORP          COM         655844108       245       9,300 SH       SOLE          2          9,300
NORTHWEST INDIANA BANCORP      COM         667516108     1,655      40,000 SH       SOLE          2         40,000
NUVEEN MUN VALUE FD INC        COM         670928100        20       2,000 SH       DEFINED       2          2,000
NUVEEN MUN VALUE FD INC        COM         670928100       441      44,660 SH       SOLE          2         44,660
NUVEEN PREM INCOME MUN FD INC  COM         67062T100       765      51,024 SH       SOLE          2         51,024
OFFICEMAX INC                  COM         67622M108       449      52,000 SH       SOLE          2         52,000
OGDEN CORP                     COM         676346109       479      19,900 SH       SOLE          2         19,900
OLD NATL BANCORP IND           COM         680033107       348       7,606 SH       DEFINED       2            767            6,839
OLD NATL BANCORP IND           COM         680033107     5,168     113,120 SH       SOLE          2        112,265              855
ORACLE CORP                    COM         68389X105        93       3,525 SH       DEFINED       2          3,375     150
ORACLE CORP                    COM         68389X105     2,061      78,141 SH       SOLE          2         78,141
PACIFICARE HEALTH SYSTEMS-B    COM         695112201       407       5,967 SH       SOLE          2          5,967
PARAMETRIC TECHNOLOGY          COM         699173100       658      33,306 SH       DEFINED       3                          33,306
PARAMETRIC TECHNOLOGY          COM         699173100     3,973     201,155 SH       SOLE          3                         201,155
PEOPLES BANK CORPORATION       COM         710313107        71       2,000 SH       SOLE          1          2,000
PEPSICO INC                    COM         713448108       157       4,000 SH       DEFINED       2          3,600     400
PEPSICO INC                    COM         713448108     5,229     133,445 SH       SOLE          2        132,445   1,000
PERMANENT BANCORP INC          COM         714197100       668      60,750 SH       SOLE          2         55,950            4,800
PFIZER                         COM         717081103       347       2,500 SH       SOLE          3                           2,500
PFIZER INC                     COM         717081103       316       2,280 SH       DEFINED       2          2,200      80
PFIZER INC                     COM         717081103     6,151      44,330 SH       SOLE          2         44,330
PHILIP MORRIS COS INC          COM         718154107         4         100 SH       DEFINED       2                    100
PHILIP MORRIS COS INC          COM         718154107     2,062      58,611 SH       SOLE          2         58,611
PIMCO ADVISORS                 COM         69338P102        39       1,252 SH       DEFINED       3                           1,252
PIMCO ADVISORS                 COM         69338P102       215       6,840 SH       SOLE          3                           6,840
PIMCO TOTAL RETRN FD CL-A #435 COM         693390726     3,918     378,207 SH       SOLE          2        377,877              330
PIMCO TOTAL RETURN FD CL-I #35 COM         693390700     1,479     142,800 SH       DEFINED       2         49,078   1,657   92,064
PIMCO TOTAL RETURN FD CL-I #35 COM         693390700    15,077   1,455,272 SH       SOLE          2      1,448,979            6,293
PNC BANK CORP                  COM         693475105     1,632      29,376 SH       SOLE          2         29,376
POCAHONTAS BANCORP INC         COM         730234101       104      14,631 SH       SOLE          2         14,631
PPG INDS INC                   COM         693506107       802      15,650 SH       SOLE          2         14,150            1,500
PRAXAIR INC                    COM         74005P104       395      10,950 SH       SOLE          2         10,950
PROCTER & GAMBLE CO            COM         742718109       145       1,480 SH       DEFINED       2            800     680
PROCTER & GAMBLE CO            COM         742718109     8,061      82,307 SH       SOLE          2         81,107            1,200
QUAKER OATS CO                 COM         747402105       237       3,800 SH       SOLE          2          3,800
RALSTON PURINA                 COM         751277302       750      28,092 SH       DEFINED       3                          28,092
RAYTHEON CO CL B               COM         755111408        89       1,510 SH       DEFINED       2            400   1,110
RAYTHEON CO CL B               COM         755111408     3,113      53,106 SH       SOLE          2         53,106
REGIONS FINANCIAL CORP         COM         758940100       381      11,000 SH       SOLE          2         11,000
REPSOL S A SPONSORED ADR       COM         76026T205     2,127      41,500 SH       SOLE          2         41,500
ROHM & HAAS CO COM             COM         775371107       728      21,690 SH       SOLE          2         21,690
ROYAL DUTCH PETRO-NY SHARES    COM         780257804         4          80 SH       DEFINED       2                     80
ROYAL DUTCH PETRO-NY SHARES    COM         780257804     1,284      24,700 SH       SOLE          2         21,700            3,000
RPM INC OHIO                   COM         749685103       326      24,454 SH       SOLE          2         24,454
RYDER SYS INC                  COM         783549108       525      19,000 SH       SOLE          2         19,000
SAFECO CORP                    COM         786429100       526      13,000 SH       SOLE          2         13,000
SARA LEE CORP                  COM         803111103        35       1,400 SH       DEFINED       2         1,400
SARA LEE CORP                  COM         803111103       935      37,768 SH       SOLE          2         37,768
SBARRO INC                     COM         805844107       477      17,900 SH       SOLE          2         17,900
SBC COMMUNICATIONS             COM         78387G103       285       6,032 SH       DEFINED       2          6,032
SBC COMMUNICATIONS             COM         78387G103     4,221      89,461 SH       SOLE          2         89,461
SCHERING PLOUGH CORP           COM         806605101       685      12,400 SH       SOLE          2         12,400
SCHLUMBERGER                   COM         806857108       342       5,675 SH       DEFINED       3                           5,675
SCHLUMBERGER                   COM         806857108     2,688      44,675 SH       SOLE          3                          44,675
SCHLUMBERGER LTD               COM         806857108     1,858      30,870 SH       SOLE          2         30,870
SEARS ROEBUCK & CO             COM         812387108       368       8,143 SH       SOLE          2          8,143
SEI CORE FIXED INCOME FUND #64 COM         783925506     1,123     108,318 SH       SOLE          2        108,318
SEI DAILY IN TR ST GVT PT #45  COM         783965858       229      22,648 SH       SOLE          2         22,648
SEI GNMA FUND #47              COM         783965643     1,564     159,723 SH       SOLE          2        159,723
SERVICE CORP INTL              COM         817565104        18       1,280 SH       DEFINED       2          1,200      80
SERVICE CORP INTL              COM         817565104       578      40,550 SH       SOLE          2         40,550
SHERWIN WILLIAMS CO            COM         824348106     1,209      43,000 SH       SOLE          2         43,000
SIGCORP INC                    COM         826912107       614      22,429 SH       DEFINED       2         18,885    3,344     200
SIGCORP INC                    COM         826912107    16,326     596,384 SH       SOLE          2        595,584     800
SIGMA ALDRICH CORP             COM         826552101        18         600 SH       DEFINED       2            600
SIGMA ALDRICH CORP             COM         826552101     1,212      41,450 SH       SOLE          2         41,450
SMKLINE BCHAM PLC ADR RPSIG    ORD         832378301       307       4,300 SH       SOLE          2          4,300
SOUTHERN CO                    COM         842587107        51       2,200 SH       DEFINED       2          2,200
SOUTHERN CO                    COM         842587107       742      31,808 SH       SOLE          2         31,808
ST JUDE MED INC                COM         790849103       735      30,150 SH       SOLE          2         30,150
STAPLES INC                    COM         855030102     1,171      35,605 SH       SOLE          2         35,605
SUPERVALU INC                  COM         868536103       825      40,000 SH       SOLE          2         40,000
SYMANTEC CORP                  COM         871503108       381      22,500 SH       SOLE          2         22,500
TECO ENERGY INC                COM         872375100     1,105      55,600 SH       SOLE          2         54,600            1,000
TENET HEALTHCARE CORP          COM         88033G100       748      39,500 SH       SOLE          2         39,500
TEXACO INC                     COM         881694103         6         100 SH       DEFINED       2            100
TEXACO INC                     COM         881694103       320       5,641 SH       SOLE          2          5,641
TEXAS UTILITIES CO (HLDG CO)   COM         882848104       992      23,620 SH       SOLE          2         23,620
TIDEWATER INC                  COM         886423102       396      15,300 SH       SOLE          2         15,300
TIME WARNER INC                COM         887315109     1,116      15,766 SH       SOLE          2         15,766
TOMMY HILFIGER CORP            ORD SHS     G8915Z102       840      12,198 SH       SOLE          2         12,198
TRANSIT GROUP INC              COM         893691105     2,480     551,059 SH       SOLE          2        551,059
TRICO MARINE SERVICES INC      COM         896106101         2         400 SH       DEFINED       2            400
TRICO MARINE SERVICES INC      COM         896106101       183      32,200 SH       SOLE          2         32,200
TRW INC                        COM         872649108       523      11,500 SH       SOLE          2         11,500
U S INDS INC NEW               COM         912080108       224      13,600 SH       SOLE          2         13,600
U S WEST INC                   COM         91273H101       184       3,349 SH       DEFINED       2          3,349
U S WEST INC                   COM         91273H101     1,971      35,799 SH       SOLE          2         35,032     411      356
UNION PAC CORP                 COM         907818108         5         100 SH       DEFINED       2            100
UNION PAC CORP                 COM         907818108       727      13,610 SH       SOLE          2         13,610
UNION PLANTERS CORP            COM         908068109       778      17,707 SH       SOLE          2         17,707
UNITED HEALTHCARE CORP         COM         910581107       659      12,520 SH       SOLE          2         12,520
UNITED TECHNOLOGIES CORP       COM         913017109       231       1,706 SH       SOLE          2          1,706
UNITED TECHNOLOGIES CORP       COM         913017109       352       2,600 SH       DEFINED       2          2,600
UNIVERSAL FOODS CORP           COM         913538104       712      34,514 SH       SOLE          2         34,514
VANGUARD BD INDEX FD INC  #84  COM         921937108        42       4,138 SH       DEFINED       2          4,138
VANGUARD BD INDEX FD INC  #84  COM         921937108       387      38,504 SH       SOLE          2         38,504
VANGUARD CA TF INS INTM        COM         922021308       301      27,521 SH       SOLE          2         27,521
VANGUARD FX IN SEC FD GNMA #36 COM         922031307       204      19,665 SH       DEFINED       2         19,665
VANGUARD FX IN SEC FD GNMA #36 COM         922031307     4,944     477,659 SH       SOLEX         2        472,381            5,278
VANGUARD FX IN SEC FD IN/HY BD COM         922031208        88      11,281 SH       SOLEX         2         11,281
VANGUARD INDEX TR 500  #40     COM         922908108       228       1,916 SH       DEFINED       2          1,916
VANGUARD INDEX TR 500  #40     COM         922908108     5,362      45,099 SH       SOLE          2         45,099
VANGUARD MN BD FD IN INT TM #42COM         922907209       353      26,325 SH       SOLE          2         21,109   5,216
VANGUARD MUN BD FD INC LT #43  COM         922907308       249      22,220 SH       SOLE          2         20,881   1,339
VANGUARD MUN BD INC IN ITM #58 COM         922907605       225      17,885 SH       SOLE          2         17,885
VF CORP                        COM         918204108     1,520      32,000 SH       SOLE          2         32,000
WAL MART STORES                COM         931142103       601      28,300 SH       SOLE          3                          28,300
WAL MART STORES INC            COM         931142103       120       1,300 SH       DEFINED       2          1,300
WAL MART STORES INC            COM         931142103     2,287      24,804 SH       SOLE          2         23,804            1,000
WARNER LAMBERT CO              COM         934488107        40         600 SH       DEFINED       2            600
WARNER LAMBERT CO              COM         934488107     2,960      44,685 SH       SOLE          2          2,585     900    1,200
WEATHERFORD INTERNATIONAL      COM         947074100       301      11,530 SH       DEFINED       3                          11,530
WEATHERFORD INTERNATIONAL      COM         947074100     2,550      97,600 SH       SOLE          3                          97,600
WELLS FARGO                    COM         949746101       151       4,300 SH       DEFINED       3                           4,300
WELLS FARGO                    COM         949746101     2,468      70,390 SH       SOLE          3                          70,390
WELLS FARGO COMPANY            COM         949746101        25         720 SH       DEFINED       2            400     120      200
WELLS FARGO COMPANY            COM         949746101     2,199      62,721 SH       SOLE          2         62,721
WENDYS INTL INC                COM         950590109     1,150      40,433 SH       SOLE          2         40,433
WHIRLPOOL CORP                 COM         963320106     3,666      67,421 SH       SOLE          2        67,421
WHITMAN CORP                   COM         96647K102       463      26,931 SH       SOLE          2         26,931
WRIGLEY WM JR CO               COM         982526105       861       9,525 SH       SOLE          2          9,525
XEROX CORP                     COM         984121103        63       1,200 SH       DEFINED       2          1,200
XEROX CORP                     COM         984121103     1,545      29,642 SH       SOLE          2         29,642
YPF SOCDAD  A SA D CV SP ADR D COM         984245100       780      24,700 SH       SOLE          2         24,700
</TABLE>



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