CENTRAL CAROLINA BANK & TRUST CO N C
13F-HR, 2000-02-03
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[DESCRIPTION]           FORM 13F
                                                 UNITED STATES
                                       SECURITIES AND EXCHANGE COMMISSION
                                            Washington, D.C.  20549
                                                    FORM 13F
                                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/1999

Check here if Amendment       [ ]             Amendment Number:

This Amendment                [ ]             is a restatement
                              [ ]             adds new holding entries

Institutional Investment Manager Filing this Report:

Name:       CENTRAL CAROLINA BANK & TRUST
Address:    PO BOX 30010
            DURHAM, NC  27702


13F File Number: 28-01342

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
that it is understood that all required items, statements,
schedules, lists, and tables, are considered intergral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: ANTON HAMMOCK
Title: FIRST VICE PRESIDENT
Phone: 919-683-7567
Signature, Place, and Date of Signing:

ANTON HAMMOCK    DURHAM NC.    02/03/2000

Report Type     (Check only one)
                [X]            13F HOLDINGS REPORT
                [ ]            13F NOTICE
                [ ]            13F COMBINATION REPORT


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

<PAGE>

                                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                0
Form 13F Information Table Entry Total:           633
Form 13F Information Table Value Total:           $ 990,539

List of Other Included Managers:

NONE

<TABLE>                                            <C>                         <C>
FORM 13F INFORMATION TABLE
                                   TITLE                   VALUE        SHARES/      SH/ PUT/
  NAME OF ISSUER                   OF CLASS        CUSIP    (X $1000)    PRN AMOUNT   PRN CALL
  SECURITY NAME                    SUBCLASS

  AFLAC INC                        COMMON STOCKS   001055102        1940        41122 SH
  AFLAC INC                        COMMON STOCKS   001055102         434         9200 SH
  AT&T CORP                        COMMON STOCKS   001957109        4726        93005 SH
  AT&T CORP                        COMMON STOCKS   001957109          22          435 SH
  AT&T CORP                        COMMON STOCKS   001957109         579        11392 SH
  AT&T CORP                        COMMON STOCKS   001957109          38          749 SH
  AXA FINANCIAL INC                COMMON STOCKS   002451102         265         7800 SH
  ABBOTT LABS                      COMMON STOCKS   002824100        3924       108066 SH
  ABBOTT LABS                      COMMON STOCKS   002824100        1103        30375 SH
  ROWE CORP                        CLOSELY HELD CO 006997019         506        20000 SH
  AEGON N V                        COMMON STOCKS   007924103        9581       100329 SH
  AEGON N V                        COMMON STOCKS   007924103        1607        16822 SH
  ROSEMYR CORP                     CLOSELY HELD CO 009990011        1594         6898 SH
  ROSEMYR CORP                     CLOSELY HELD CO 009990011        1558         6745 SH
  ALBERTSONS INC                   COMMON STOCKS   013104104          74         2300 SH
  ALBERTSONS INC                   COMMON STOCKS   013104104         748        23184 SH
  ALLEGHANY CORP                   COMMON STOCKS   017175100         244         1317 SH
  ALLEGHENY ENERGY INC             COMMON STOCKS   017361106         184         6846 SH
  ALLEGHENY ENERGY INC             COMMON STOCKS   017361106          48         1800 SH
  ALLIANCE GROWTH                  MUTUAL FUNDS-EQ 01877F401         340         6031 PRN
  ALLSTATE CORPORATION             COMMON STOCKS   020002101          72         2996 SH
  ALLSTATE CORPORATION             COMMON STOCKS   020002101         143         5959 SH
  ALLTEL CORP                      COMMON STOCKS   020039103         256         3098 SH
  ALLTEL CORP                      COMMON STOCKS   020039103         223         2697 SH
  ALPHA INDS INC                   COMMON STOCKS   020753109         206         3600 SH
  ALTERA CORP                      COMMON STOCKS   021441100         164         3300 SH
  ALTERA CORP                      COMMON STOCKS   021441100         268         5400 SH
  AMERICAN CENTURY                 MUTUAL FUNDS-EQ 02507M600        3584       136653 PRN
  AMERICAN CENTURY                 MUTUAL FUNDS-EQ 02507M600           2           76 PRN
  AMERICAN ELEC PWR INC            COMMON STOCKS   025537101         149         4632 SH
  AMERICAN ELEC PWR INC            COMMON STOCKS   025537101          58         1818 SH
  AMERICAN EXPRESS CO              COMMON STOCKS   025816109         200         1200 SH
  AMERICAN EXPRESS CO              COMMON STOCKS   025816109          38          229 SH
  AMERICAN GEN CORP                COMMON STOCKS   026351106         386         5091 SH
  AMERICAN GEN CORP                COMMON STOCKS   026351106         453         5970 SH
  AMERICAN HOME PRODS CORP         COMMON STOCKS   026609107        5617       143113 SH
  AMERICAN HOME PRODS CORP         COMMON STOCKS   026609107        1604        40875 SH
  AMERICAN INTL GROUP INC          COMMON STOCKS   026874107        2050        18963 SH
  AMERICAN INTL GROUP INC          COMMON STOCKS   026874107         111         1025 SH
  AMETEK INC                       COMMON STOCKS   031100100         927        48650 SH
  AMETEK INC                       COMMON STOCKS   031100100         140         7325 SH
  AMGEN INC                        COMMON STOCKS   031162100        2490        41450 SH
  AMGEN INC                        COMMON STOCKS   031162100          42          700 SH
  ANHEUSER BUSCH COMPANIES         COMMON STOCKS   035229103         801        11300 SH
  ANHEUSER BUSCH COMPANIES         COMMON STOCKS   035229103         780        11000 SH
  AON CORP                         COMMON STOCKS   037389103         315         7880 SH
  APPLIED MATERIALS INC            COMMON STOCKS   038222105        9040        71360 SH
  APPLIED MATERIALS INC            COMMON STOCKS   038222105          25          200 SH
  APPLIED MATERIALS INC            COMMON STOCKS   038222105        1615        12750 SH
  ARCADIA FINANCIAL CORP           COMMON STOCKS   039101100          68        15375 SH
  ATLANTIC RICHFIELD               COMMON STOCKS   048825103        1261        14580 SH
  ATLANTIC RICHFIELD               COMMON STOCKS   048825103         340         3930 SH
  AUTODESK INC.                    COMMON STOCKS   052769106        2876        85225 SH
  AUTODESK INC.                    COMMON STOCKS   052769106         287         8500 SH
  AUTOMATIC DATA PROCESSING INC    COMMON STOCKS   053015103        2208        40980 SH
  AUTOMATIC DATA PROCESSING INC    COMMON STOCKS   053015103          47          880 SH
  AVERY DENNISON CORP              COMMON STOCKS   053611109         292         4000 SH
  AVNET INC                        COMMON STOCKS   053807103         666        11000 SH
  BB & T CORPORATION               COMMON STOCKS   054937107        1352        49387 SH
  BP AMOCO PLC                     COMMON STOCKS   055622104        3694        62284 SH
  BP AMOCO PLC                     COMMON STOCKS   055622104         604        10178 SH
  BANK OF AMERICA CORP             COMMON STOCKS   060505104        1686        33595 SH
  BANK OF AMERICA CORP             COMMON STOCKS   060505104          26          516 SH
  BANK OF AMERICA CORP             COMMON STOCKS   060505104        1412        28126 SH
  BANK OF NEW YORK INC             COMMON STOCKS   064057102         196         4900 SH
  BANK OF NEW YORK INC             COMMON STOCKS   064057102         450        11250 SH
  BANK ONE CORP                    COMMON STOCKS   06423A103         437        13647 SH
  BANK ONE CORP                    COMMON STOCKS   06423A103          61         1903 SH
  BAXTER INTL INC                  COMMON STOCKS   071813109         242         3860 SH
  BAXTER INTL INC                  COMMON STOCKS   071813109           4           70 SH
  BECKMAN COULTER, INC.            COMMON STOCKS   075811109        1695        33325 SH
  BECKMAN COULTER, INC.            COMMON STOCKS   075811109         178         3500 SH
  BED BATH & BEYOND                COMMON STOCKS   075896100         499        14350 SH
  BED BATH & BEYOND                COMMON STOCKS   075896100          49         1400 SH
  BELL ATLANTIC CORP               COMMON STOCKS   077853109        1439        23376 SH
  BELL ATLANTIC CORP               COMMON STOCKS   077853109         864        14028 SH
  BELLSOUTH CORP                   COMMON STOCKS   079860102        2089        44620 SH
  BELLSOUTH CORP                   COMMON STOCKS   079860102          28          608 SH
  BELLSOUTH CORP                   COMMON STOCKS   079860102         802        17136 SH
  BERKSHIRE HATHAWAY INC           COMMON STOCKS   084670108          56            1 SH
  BERKSHIRE HATHAWAY INC           COMMON STOCKS   084670108       10098          180 SH
  BERKSHIRE HATHAWAY INC           COMMON STOCKS   084670207         481          263 SH
  BERKSHIRE HATHAWAY INC           COMMON STOCKS   084670207          40           22 SH
  BLOCK H & R INC                  COMMON STOCKS   093671105         406         9270 SH
  BOEING CO                        COMMON STOCKS   097023105         662        15974 SH
  BOEING CO                        COMMON STOCKS   097023105         562        13552 SH
  BRANDYWINE FD INC                MUTUAL FUNDS-EQ 10532D107         340         7928 PRN
  BRISTOL MYERS SQUIBB CO          COMMON STOCKS   110122108        3087        48101 SH
  BRISTOL MYERS SQUIBB CO          COMMON STOCKS   110122108         783        12200 SH
  CCB FINL CORP                    COMMON STOCKS   124875105       67921      1559162 SH
  CCB FINL CORP                    COMMON STOCKS   124875105         802        18400 SH
  CCB FINL CORP                    COMMON STOCKS   124875105        8117       186332 SH
  CBRL GROUP INC                   COMMON STOCKS   12489V106         602        62075 SH
  CBRL GROUP INC                   COMMON STOCKS   12489V106          28         2900 SH
  CBS CORP                         COMMON STOCKS   12490K107         339         5300 SH
  CBS CORP                         COMMON STOCKS   12490K107           6          100 SH
  CCB                              MUTUAL FUNDS-EQ 12500E307       67113      3280203 PRN
  CCB                              MUTUAL FUNDS-EQ 12500E307        6428       314185 PRN
  CMG INFORMATION SERVICES INC     COMMON STOCKS   125750109        3938        14224 SH
  CSX CORP                         COMMON STOCKS   126408103         282         8998 SH
  CSX CORP                         COMMON STOCKS   126408103         159         5066 SH
  CVS CORPORATION                  COMMON STOCKS   126650100         482        12100 SH
  CVS CORPORATION                  COMMON STOCKS   126650100          36          900 SH
  CAP ONE FINANCIAL CORP           COMMON STOCKS   14040H105        7299       151463 SH
  CAP ONE FINANCIAL CORP           COMMON STOCKS   14040H105         164         3400 SH
  CAROLINA PWR & LT CO             COMMON STOCKS   144141108        2217        72824 SH
  CAROLINA PWR & LT CO             COMMON STOCKS   144141108         102         3335 SH
  CATERPILLAR TRACTOR CO           COMMON STOCKS   149123101         212         4495 SH
  CATERPILLAR TRACTOR CO           COMMON STOCKS   149123101          38          800 SH
  CENTURA BKS INC                  COMMON STOCKS   15640T100         356         8060 SH
  CENTURA BKS INC                  COMMON STOCKS   15640T100        1631        36960 SH
  CHASE MANHATTAN CORP             COMMON STOCKS   16161A108         495         6376 SH
  CHASE MANHATTAN CORP             COMMON STOCKS   16161A108         273         3508 SH
  CHEVRON CORP                     COMMON STOCKS   166751107         994        11470 SH
  CHEVRON CORP                     COMMON STOCKS   166751107         244         2816 SH
  CISCO SYSTEMS                    COMMON STOCKS   17275R102       13573       126703 SH
  CISCO SYSTEMS                    COMMON STOCKS   17275R102        2425        22638 SH
  CISCO SYSTEMS                    COMMON STOCKS   17275R102         160         1498 SH
  CITIGROUP INC                    COMMON STOCKS   172967101        1851        33239 SH
  CITIGROUP INC                    COMMON STOCKS   172967101          22          400 SH
  CITIGROUP INC                    COMMON STOCKS   172967101        1463        26273 SH
  CLAYTON HOMES INC                COMMON STOCKS   184190106         257        27927 SH
  COCA COLA CO                     COMMON STOCKS   191216100        4803        82450 SH
  COCA COLA CO                     COMMON STOCKS   191216100         315         5400 SH
  COLGATE PALMOLIVE CO             COMMON STOCKS   194162103        1403        21592 SH
  COLGATE PALMOLIVE CO             COMMON STOCKS   194162103         286         4400 SH
  COMPAQ COMPUTER CORP             COMMON STOCKS   204493100        2054        75890 SH
  COMPAQ COMPUTER CORP             COMMON STOCKS   204493100          11          400 SH
  COMPAQ COMPUTER CORP             COMMON STOCKS   204493100         350        12918 SH
  COMPAQ COMPUTER CORP             COMMON STOCKS   204493100          14          500 SH
  COMPUTER ASSOC INT'L INC         COMMON STOCKS   204912109         439         6275 SH
  COMPUTER SCIENCES CORP           COMMON STOCKS   205363104         380         4020 SH
  COMPUTER SCIENCES CORP           COMMON STOCKS   205363104         364         3850 SH
  CONE MILLS CORP                  COMMON STOCKS   206814105          71        15800 SH
  CONE MILLS CORP                  COMMON STOCKS   206814105         256        56942 SH
  CONEXANT SYSTEMS INC             COMMON STOCKS   207142100          80         1200 SH
  CONEXANT SYSTEMS INC             COMMON STOCKS   207142100         133         2000 SH
  CONSOLIDTD STORES                COMMON STOCKS   210149100         143         8775 SH
  CONSOLIDTD STORES                COMMON STOCKS   210149100         117         7200 SH
  CORNING INC                      COMMON STOCKS   219350105         464         3600 SH
  DALLAS SEMICONDUCTOR CORP        COMMON STOCKS   235204104         110         1700 SH
  DALLAS SEMICONDUCTOR CORP        COMMON STOCKS   235204104         232         3600 SH
  DANAHER CORP                     COMMON STOCKS   235851102          70         1447 SH
  DANAHER CORP                     COMMON STOCKS   235851102         436         9041 SH
  DELHAIZE AMERICA                 COMMON STOCKS   246688204         525        25155 SH
  DELHAIZE AMERICA                 COMMON STOCKS   246688204         188         9000 SH
  DENTSPLY INTERNATIONAL INC       COMMON STOCKS   249030107         767        32450 SH
  DIEBOLD INC                      COMMON STOCKS   253651103        1294        55061 SH
  DIEBOLD INC                      COMMON STOCKS   253651103         134         5703 SH
  DISNEY WALT CO                   COMMON STOCKS   254687106        1155        39480 SH
  DISNEY WALT CO                   COMMON STOCKS   254687106         202         6900 SH
  DODGE & COX                      MUTUAL FUNDS-BA 256201104         242         3679 PRN
  DODGE & COX                      MUTUAL FUNDS-EQ 256219106         437         4344 PRN
  DOVER CORP                       COMMON STOCKS   260003108         990        21825 SH
  DOW CHEM CO                      COMMON STOCKS   260543103        1419        10621 SH
  DOW CHEM CO                      COMMON STOCKS   260543103          13          100 SH
  DOW CHEM CO                      COMMON STOCKS   260543103         225         1685 SH
  DREYFUS FD                       MUTUAL FUNDS-EQ 262003106         161        12123 PRN
  DU PONT E I DE NEMOURS & CO      COMMON STOCKS   263534109         848        12868 SH
  DU PONT E I DE NEMOURS & CO      COMMON STOCKS   263534109           8          125 SH
  DU PONT E I DE NEMOURS & CO      COMMON STOCKS   263534109        1154        17520 SH
  DU PONT E I DE NEMOURS & CO      COMMON STOCKS   263534109         198         3000 SH
  DUFF & PHELPS UTILS INCOME INC   CLOSED END FUND 264324104         152        18300 PRN
  DUKE ENERGY CORP                 COMMON STOCKS   264399106        2837        56590 SH
  DUKE ENERGY CORP                 COMMON STOCKS   264399106         593        11826 SH
  DUKE ENERGY CORP                 COMMON STOCKS   264399106          45          906 SH
  EMC CORP                         COMMON STOCKS   268648102       18005       164808 SH
  EMC CORP                         COMMON STOCKS   268648102          22          200 SH
  EMC CORP                         COMMON STOCKS   268648102        4851        44400 SH
  EASTMAN KODAK CO                 COMMON STOCKS   277461109         528         7964 SH
  EASTMAN KODAK CO                 COMMON STOCKS   277461109         328         4950 SH
  EATON CORP                       COMMON STOCKS   278058102        1024        14100 SH
  EATON CORP                       COMMON STOCKS   278058102         748        10300 SH
  EMERSON ELECTRIC CO              COMMON STOCKS   291011104         271         4720 SH
  EMERSON ELECTRIC CO              COMMON STOCKS   291011104         245         4276 SH
  ENRON CORP                       COMMON STOCKS   293561106        1326        29880 SH
  ENRON CORP                       COMMON STOCKS   293561106         356         8020 SH
  ENTREMED INC                     COMMON STOCKS   29382F103         238         9304 SH
  EQUITABLE RES INC                COMMON STOCKS   294549100         225         6750 SH
  EQUITY INCOME FD                 COMMON STOCKS   294700703        6332        31210 SH
  EQUITY INCOME FD                 COMMON STOCKS   294700703         771         3800 SH
  EXXON MOBIL CORP                 COMMON STOCKS   30231G102       18043       223964 SH
  EXXON MOBIL CORP                 COMMON STOCKS   30231G102        4557        56567 SH
  FAMILY DLR STORES INC            COMMON STOCKS   307000109         461        28250 SH
  FDX CORPORATION                  COMMON STOCKS   31304N107        1771        43266 SH
  FDX CORPORATION                  COMMON STOCKS   31304N107         573        14000 SH
  FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCKS   313400301         347         7377 SH
  FEDERAL HOME LOAN MORTGAGE CORP  COMMON STOCKS   313400301          24          500 SH
  FEDERAL NATIONAL MORTGAGE ASSN   COMMON STOCKS   313586109        3892        62327 SH
  FEDERAL NATIONAL MORTGAGE ASSN   COMMON STOCKS   313586109         291         4662 SH
  FEDERAL NATIONAL MORTGAGE ASSN   COMMON STOCKS   313586109          31          500 SH
  FEDERATED                        MUTUAL FUNDS-FI 314184102        1309       121571 PRN
  FEDERATED                        MUTUAL FUNDS-FI 314184102         240        22249 PRN
  FEDERATED INCOME TRUST           MUTUAL FUNDS-FI 314199100         454        46000 PRN
  FEDERATED INCOME TRUST           MUTUAL FUNDS-FI 314199100          34         3485 PRN
  FEDERATED                        MUTUAL FUNDS-FI 31420C209          93        10921 PRN
  FEDERATED                        MUTUAL FUNDS-FI 31420C407       60676      6360171 PRN
  FEDERATED                        MUTUAL FUNDS-FI 31420C407         182        19068 PRN
  FEDERATED                        MUTUAL FUNDS-FI 31420C407        3562       373350 PRN
  FEDERATED SHORT INTER MUN TR SH  MUTUAL FUNDS-FI 314280108          29         2829 PRN
  FEDERATED SHORT INTER MUN TR SH  MUTUAL FUNDS-FI 314280108         161        15973 PRN
  FEDERATED US GOVT SEC            MUTUAL FUNDS-FI 31428P103         194        18728 PRN
  FIDELITY ADV INST EQUITY GROWTH  MUTUAL FUNDS-EQ 315805101        2215        30331 PRN
  FIDELITY ADV INST EQUITY GROWTH  MUTUAL FUNDS-EQ 315805101          76         1044 PRN
  FIDELITY MID-CAP STOCK FD        MUTUAL FUNDS-EQ 316128404         216         9859 PRN
  FIDELITY                         MUTUAL FUNDS-IN 316145101          80         2919 PRN
  FIDELITY                         MUTUAL FUNDS-IN 316145101         147         5363 PRN
  FIRST CITIZENS BCSHS             COMMON STOCKS   31946M103         354         5070 SH
  FIRST UNION CORP                 COMMON STOCKS   337358105        1666        50588 SH
  FIRST UNION CORP                 COMMON STOCKS   337358105         145         4393 SH
  FIRST UNION CORP                 COMMON STOCKS   337358105          13          400 SH
  FLOWERS INDS INC                 COMMON STOCKS   343496105        1434        89975 SH
  FLOWERS INDS INC                 COMMON STOCKS   343496105         303        19000 SH
  FORD MTR CO                      COMMON STOCKS   345370100        1623        30437 SH
  FORD MTR CO                      COMMON STOCKS   345370100           6          108 SH
  FORD MTR CO                      COMMON STOCKS   345370100         252         4726 SH
  FORTUNE BRANDS INC               COMMON STOCKS   349631101         846        25600 SH
  FRANKLIN                         MUTUAL FUNDS-EQ 35251D103        1652        34934 PRN
  FRANKLIN                         MUTUAL FUNDS-EQ 35251D103          65         1383 PRN
  FRANKLIN                         MUTUAL FUNDS-EQ 354713109        1978        44822 PRN
  FRANKLIN                         MUTUAL FUNDS-EQ 354713109         182         4128 PRN
  FRANKLIN                         MUTUAL FUNDS-FI 354723793         548        49339 PRN
  FRANKLIN                         MUTUAL FUNDS-FI 354723793          40         3647 PRN
  GTE CORP                         COMMON STOCKS   362320103        1476        20920 SH
  GTE CORP                         COMMON STOCKS   362320103         516         7316 SH
  GALLAHER GROUP PLC ADR           COMMON STOCKS   363595109         385        25072 SH
  GANNETT INC                      COMMON STOCKS   364730101         175         2150 SH
  GANNETT INC                      COMMON STOCKS   364730101          90         1100 SH
  GAP INC                          COMMON STOCKS   364760108          46         1000 SH
  GAP INC                          COMMON STOCKS   364760108         155         3376 SH
  GATEWAY INC                      COMMON STOCKS   367626108        2551        35400 SH
  GATEWAY INC                      COMMON STOCKS   367626108         605         8400 SH
  GENERAL ELEC CO                  COMMON STOCKS   369604103       27470       177512 SH
  GENERAL ELEC CO                  COMMON STOCKS   369604103        6534        42220 SH
  GENERAL ELEC CO                  COMMON STOCKS   369604103         124          800 SH
  GENERAL MILLS INC                COMMON STOCKS   370334104         291         8134 SH
  GENERAL MILLS INC                COMMON STOCKS   370334104         179         5000 SH
  GENERAL MTRS CORP                COMMON STOCKS   370442105         821        11291 SH
  GENERAL MTRS CORP                COMMON STOCKS   370442105           4           60 SH
  GENERAL MTRS CORP                COMMON STOCKS   370442105          86         1190 SH
  GENERAL MTRS CORP                COMMON STOCKS   370442832         117         1214 SH
  GENERAL MTRS CORP                COMMON STOCKS   370442832         667         6950 SH
  GENTEX CORP                      COMMON STOCKS   371901109        3297       118795 SH
  GENTEX CORP                      COMMON STOCKS   371901109         167         6000 SH
  GENLYTE GROUP INC                COMMON STOCKS   372302109         580        27135 SH
  GENLYTE GROUP INC                COMMON STOCKS   372302109         242        11300 SH
  GENUINE PARTS CO                 COMMON STOCKS   372460105         244         9814 SH
  GEORGIA PAC CORP                 COMMON STOCKS   373298108         225         4428 SH
  GEORGIA PAC CORP                 COMMON STOCKS   373298108         152         3000 SH
  GERBER SCIENTIFIC INC            COMMON STOCKS   373730100         171         7775 SH
  GERBER SCIENTIFIC INC            COMMON STOCKS   373730100         249        11350 SH
  GILLETTE CO                      COMMON STOCKS   375766102        1781        43231 SH
  GILLETTE CO                      COMMON STOCKS   375766102         136         3300 SH
  GLAXO PLC SPONSORED ADR          COMMON STOCKS   37733W105         658        11781 SH
  GLAXO PLC SPONSORED ADR          COMMON STOCKS   37733W105         112         2000 SH
  GLOBAL MARINE INC                COMMON STOCKS   379352404         292        17575 SH
  GLOBAL MARINE INC                COMMON STOCKS   379352404           8          500 SH
  GOLDMAN SACHS                    MUTUAL FUNDS-FI 38141W208         674        70066 PRN
  GOLDMAN SACHS                    MUTUAL FUNDS-FI 38141W208          58         6062 PRN
  GOLDMAN SACHS                    MUTUAL FUNDS-FI 38141W307        1315       138734 PRN
  GOLDMAN SACHS                    MUTUAL FUNDS-FI 38141W307         162        17141 PRN
  GOODYEAR TIRE & RUBR CO          COMMON STOCKS   382550101         338        12050 SH
  GOODYEAR TIRE & RUBR CO          COMMON STOCKS   382550101         118         4200 SH
  GREY ADVERTISING INC             COMMON STOCKS   397838103        1511         3777 SH
  GREY ADVERTISING INC             COMMON STOCKS   397838103         430         1075 SH
  HARBOR                           MUTUAL FUNDS-EQ 411511504        4309        85083 PRN
  HARBOR                           MUTUAL FUNDS-EQ 411511504         146         2892 PRN
  HARRIS CORP                      COMMON STOCKS   413875105        2190        82050 SH
  HARRIS CORP                      COMMON STOCKS   413875105         285        10675 SH
  HEINZ H J CO                     COMMON STOCKS   423074103        1907        47906 SH
  HEINZ H J CO                     COMMON STOCKS   423074103         275         6900 SH
  HEINZ H J CO                     COMMON STOCKS   423074103          18          450 SH
  HEWLETT PACKARD CO               COMMON STOCKS   428236103        3542        31142 SH
  HEWLETT PACKARD CO               COMMON STOCKS   428236103          17          150 SH
  HEWLETT PACKARD CO               COMMON STOCKS   428236103        1445        12700 SH
  HEWLETT PACKARD CO               COMMON STOCKS   428236103          57          500 SH
  HOME DEPOT INC                   COMMON STOCKS   437076102        2057        29925 SH
  HOME DEPOT INC                   COMMON STOCKS   437076102         286         4167 SH
  HONEYWELL INTERNATIONAL (NEW)    COMMON STOCKS   438516106        3668        63585 SH
  HONEYWELL INTERNATIONAL (NEW)    COMMON STOCKS   438516106         925        16036 SH
  HOUSEHOLD INTL INC               COMMON STOCKS   441815107        2139        57420 SH
  HOUSEHOLD INTL INC               COMMON STOCKS   441815107          30          800 SH
  HUBBELL HARVEY INC               COMMON STOCKS   443510201         826        30329 SH
  HUBBELL HARVEY INC               COMMON STOCKS   443510201          70         2552 SH
  HUTTON TEL TR UNIT 1ST TAX FREE  MUTUAL FUNDS-FI 447900101         194        31855 PRN
  IDG BOOKS WORLDWIDE INC          COMMON STOCKS   449384106         867        75000 SH
  IHOP CORP                        COMMON STOCKS   449623107        1434        85950 SH
  IHOP CORP                        COMMON STOCKS   449623107         229        13750 SH
  INGERSOLL RAND CO                COMMON STOCKS   456866102         850        15432 SH
  INGERSOLL RAND CO                COMMON STOCKS   456866102         657        11925 SH
  INTEL CORP                       COMMON STOCKS   458140100       13731       166813 SH
  INTEL CORP                       COMMON STOCKS   458140100        7850        95374 SH
  IBM CORP                         COMMON STOCKS   459200101        3165        29336 SH
  IBM CORP                         COMMON STOCKS   459200101        1947        18052 SH
  INTERNATIONAL PAPER CO           COMMON STOCKS   460146103         412         7296 SH
  INTERNATIONAL PAPER CO           COMMON STOCKS   460146103         238         4220 SH
  INTERPUBLIC GROUP                COMMON STOCKS   460690100        1344        23290 SH
  INTERPUBLIC GROUP                COMMON STOCKS   460690100          23          400 SH
  SCUDDER                          MUTUAL FUNDS-EQ 460965882        1173        43950 PRN
  SCUDDER                          MUTUAL FUNDS-EQ 460965882          65         2429 PRN
  INTIMATE BRANDS                  COMMON STOCKS   461156101        1154        26766 SH
  INTIMATE BRANDS                  COMMON STOCKS   461156101         142         3300 SH
  INVESTORS TITLE INS CO           COMMON STOCKS   461804106         277        15624 SH
  INVESTORS TITLE INS CO           COMMON STOCKS   461804106         139         7812 SH
  JANUS                            MUTUAL FUNDS-EQ 471023101         313         7103 PRN
  JANUS                            MUTUAL FUNDS-EQ 471023101         443        10054 PRN
  JANUS                            MUTUAL FUNDS-IN 471023309         806        10546 PRN
  JANUS                            MUTUAL FUNDS-IN 471023309         619         8097 PRN
  JEFFERSON PILOT CORP             COMMON STOCKS   475070108        5317        77899 SH
  JEFFERSON PILOT CORP             COMMON STOCKS   475070108        2921        42802 SH
  JOHNSON & JOHNSON                COMMON STOCKS   478160104        4188        44912 SH
  JOHNSON & JOHNSON                COMMON STOCKS   478160104        1403        15050 SH
  JOHNSON & JOHNSON                COMMON STOCKS   478160104          37          400 SH
  JOHNSON CONTROLS                 COMMON STOCKS   478366107           7          115 SH
  JOHNSON CONTROLS                 COMMON STOCKS   478366107         218         3840 SH
  KANSAS CITY SOUTHN INDS INC      COMMON STOCKS   485170104         381         5100 SH
  KANSAS CITY SOUTHN INDS INC      COMMON STOCKS   485170104        1470        19700 SH
  KELLOGG CO                       COMMON STOCKS   487836108         348        11292 SH
  KENAN TRANS CO                   COMMON STOCKS   488539107         368        11620 SH
  KEYCORP NEW                      COMMON STOCKS   493267108         491        22210 SH
  KEYCORP NEW                      COMMON STOCKS   493267108         135         6124 SH
  KIMBERLY CLARK CORP              COMMON STOCKS   494368103         382         5845 SH
  KIMBERLY CLARK CORP              COMMON STOCKS   494368103          98         1500 SH
  KOHLS CORP                       COMMON STOCKS   500255104         231         3200 SH
  KOHLS CORP                       COMMON STOCKS   500255104           7          100 SH
  KOHLS CORP                       COMMON STOCKS   500255104          36          500 SH
  KROGER CO                        COMMON STOCKS   501044101         562        29750 SH
  LANIER WORLDWIDE                 COMMON STOCKS   51589L105         366        94550 SH
  LANIER WORLDWIDE                 COMMON STOCKS   51589L105          86        22175 SH
  LEXMARK INTL GROUP INC CL A      COMMON STOCKS   529771107        3567        39410 SH
  LEXMARK INTL GROUP INC CL A      COMMON STOCKS   529771107         195         2150 SH
  ELI LILLY                        COMMON STOCKS   532457108        1565        23531 SH
  ELI LILLY                        COMMON STOCKS   532457108          17          250 SH
  LINCARE HLD INC                  COMMON STOCKS   532791100         409        11800 SH
  LINCARE HLD INC                  COMMON STOCKS   532791100          31          900 SH
  LINCOLN ELECTRIC HOLDINGS        COMMON STOCKS   533900106         815        39525 SH
  LINCOLN ELECTRIC HOLDINGS        COMMON STOCKS   533900106         234        11325 SH
  LOCKHEED MARTIN CORP             COMMON STOCKS   539830109         345        15764 SH
  LOOMIS SAYLES                    MUTUAL FUNDS-FI 543487607        4963       430857 PRN
  LOOMIS SAYLES                    MUTUAL FUNDS-FI 543487607           3          260 PRN
  LOWES COS INC                    COMMON STOCKS   548661107        4624        77382 SH
  LOWES COS INC                    COMMON STOCKS   548661107           6          100 SH
  LOWES COS INC                    COMMON STOCKS   548661107         125         2100 SH
  LUCENT TECHNOLOGIES INC          COMMON STOCKS   549463107        6488        86513 SH
  LUCENT TECHNOLOGIES INC          COMMON STOCKS   549463107          28          376 SH
  LUCENT TECHNOLOGIES INC          COMMON STOCKS   549463107        1198        15968 SH
  LUCENT TECHNOLOGIES INC          COMMON STOCKS   549463107          60          800 SH
  MCI WORLDCOM                     COMMON STOCKS   55268B106        5813       109547 SH
  MCI WORLDCOM                     COMMON STOCKS   55268B106          24          450 SH
  MCI WORLDCOM                     COMMON STOCKS   55268B106         688        12962 SH
  MFS                              CLOSED END FUND 55273C107        3590       592153 PRN
  MFS SER TR III HIGH INCOME FD    MUTUAL FUNDS-FI 552984601        5331      1070385 PRN
  MFS SER TR III HIGH INCOME FD    MUTUAL FUNDS-FI 552984601         612       122819 PRN
  MMC NETWORKS INC                 COMMON STOCKS   55308N102         234         6800 SH
  MTS SYS CORP                     COMMON STOCKS   553777103          35         4500 SH
  MTS SYS CORP                     COMMON STOCKS   553777103          70         9000 SH
  MACROMEDIA INC                   COMMON STOCKS   556100105          15          200 SH
  MACROMEDIA INC                   COMMON STOCKS   556100105         389         5326 SH
  MANULIFE FINANCIAL CORP          COMMON STOCKS   56501R106         279        22001 SH
  MARSH & MCLENNAN COS INC         COMMON STOCKS   571748102        1171        12242 SH
  MARSH & MCLENNAN COS INC         COMMON STOCKS   571748102         277         2900 SH
  MARTIN MARIETTA MATERIALS, INC.  COMMON STOCKS   573284106        1706        41608 SH
  MARTIN MARIETTA MATERIALS, INC.  COMMON STOCKS   573284106         238         5800 SH
  MFS                              MUTUAL FUNDS-EQ 575719406        3844       188518 PRN
  MFS                              MUTUAL FUNDS-EQ 575719406           2          103 PRN
  MCDONALDS CORP                   COMMON STOCKS   580135101        1317        32660 SH
  MCDONALDS CORP                   COMMON STOCKS   580135101         181         4500 SH
  MCGRAW HILL INC                  COMMON STOCKS   580645109        1327        21535 SH
  MCGRAW HILL INC                  COMMON STOCKS   580645109          12          200 SH
  MCGRAW HILL INC                  COMMON STOCKS   580645109          43          700 SH
  MEDIAONE GROUP INC               COMMON STOCKS   58440J104         347         4516 SH
  MEDIAONE GROUP INC               COMMON STOCKS   58440J104         119         1546 SH
  MEDTRONIC INC                    COMMON STOCKS   585055106        3779       103706 SH
  MEDTRONIC INC                    COMMON STOCKS   585055106          11          300 SH
  MEDTRONIC INC                    COMMON STOCKS   585055106        5019       137734 SH
  MERCK & CO INC                   COMMON STOCKS   589331107        9434       140412 SH
  MERCK & CO INC                   COMMON STOCKS   589331107        2802        41709 SH
  MERCK & CO INC                   COMMON STOCKS   589331107          34          500 SH
  MICROSOFT CORP                   COMMON STOCKS   594918104        8410        72037 SH
  MICROSOFT CORP                   COMMON STOCKS   594918104        2697        23100 SH
  MIDAMERICAN ENERGY HLDGS CO      COMMON STOCKS   59562V107          78         2325 SH
  MIDAMERICAN ENERGY HLDGS CO      COMMON STOCKS   59562V107         367        10900 SH
  MILACRON, INC.                   COMMON STOCKS   598709103         157        10200 SH
  MILACRON, INC.                   COMMON STOCKS   598709103         112         7300 SH
  MINNESOTA MNG & MFG CO           COMMON STOCKS   604059105         666         6800 SH
  MINNESOTA MNG & MFG CO           COMMON STOCKS   604059105         436         4450 SH
  MODINE MFG                       COMMON STOCKS   607828100         524        20950 SH
  MODINE MFG                       COMMON STOCKS   607828100         123         4900 SH
  MOLEX INC                        COMMON STOCKS   608554101         248         4375 SH
  MONSANTO CO                      COMMON STOCKS   611662107        1458        41155 SH
  MONSANTO CO                      COMMON STOCKS   611662107          32          900 SH
  MORGAN J P & CO INC              COMMON STOCKS   616880100         613         4840 SH
  MORGAN J P & CO INC              COMMON STOCKS   616880100          25          200 SH
  MORGAN J P & CO INC              COMMON STOCKS   616880100          25          200 SH
  MORGAN ST DEAN WITTER            COMMON STOCKS   617446448        1401         9814 SH
  MORGAN ST DEAN WITTER            COMMON STOCKS   617446448         346         2425 SH
  MORGAN STANLEY INSTITUTIONAL FD  MUTUAL FUNDS-IN 61744J408        9594       488754 PRN
  MORGAN STANLEY INSTITUTIONAL FD  MUTUAL FUNDS-IN 61744J408        1520        77423 PRN
  MORGAN STANLEY DEAN WITTER       CLOSED END FUND 61745P106         202        25000 PRN
  MOTOROLA INC                     COMMON STOCKS   620076109        2400        16300 SH
  MOTOROLA INC                     COMMON STOCKS   620076109        1490        10118 SH
  FEDERATED                        MUTUAL FUNDS-FI 625922810       29669      2928800 PRN
  FEDERATED                        MUTUAL FUNDS-FI 625922810        2470       243781 PRN
  MUTUAL RISK MANAGEMENT LTD       COMMON STOCKS   628351108          33         1934 SH
  MUTUAL RISK MANAGEMENT LTD       COMMON STOCKS   628351108         169        10064 SH
  FRANKLIN                         MUTUAL FUNDS-EQ 628380206         250        14785 PRN
  NACCO INDUSTRIES                 COMMON STOCKS   629579103        1468        26425 SH
  NACCO INDUSTRIES                 COMMON STOCKS   629579103         214         3850 SH
  NEXTEL COMMUNICATIONS            COMMON STOCKS   65332V103        1124        10900 SH
  NORFOLK SOUTHERN CORP            COMMON STOCKS   655844108        1300        63400 SH
  NORFOLK SOUTHERN CORP            COMMON STOCKS   655844108         160         7782 SH
  NORTEL NETWORKS CORP             COMMON STOCKS   656569100        2888        28595 SH
  NORTEL NETWORKS CORP             COMMON STOCKS   656569100          40          400 SH
  OAKWOOD HOMES CORP               COMMON STOCKS   674098108           8         2500 SH
  OAKWOOD HOMES CORP               COMMON STOCKS   674098108          42        13200 SH
  OFFICE DEPOT INC                 COMMON STOCKS   676220106         835        75933 SH
  OFFICEMAX INC                    COMMON STOCKS   67622M108         756       139000 SH
  OFFICEMAX INC                    COMMON STOCKS   67622M108         224        41250 SH
  OLD REP INTL CORP                COMMON STOCKS   680223104         264        19348 SH
  OMNICOM GROUP INC COM            COMMON STOCKS   681919106         250         2500 SH
  OPTICAL COATING LABS INC         COMMON STOCKS   683829105        2398         8100 SH
  ORACLE SYSTEMS                   COMMON STOCKS   68389X105        7913        70612 SH
  ORACLE SYSTEMS                   COMMON STOCKS   68389X105          22          200 SH
  ORACLE SYSTEMS                   COMMON STOCKS   68389X105        1402        12512 SH
  ORACLE SYSTEMS                   COMMON STOCKS   68389X105          84          750 SH
  PIMCO                            MUTUAL FUNDS-FI 693390700        4636       468255 PRN
  PIMCO                            MUTUAL FUNDS-FI 693390700           3          308 PRN
  PNC BANK CORP                    COMMON STOCKS   693475105         638        14346 SH
  PNC BANK CORP                    COMMON STOCKS   693475105         147         3300 SH
  PACIFIC CAPITAL                  MUTUAL FUNDS-FI 694048208         570        56751 PRN
  PACIFIC CAPITAL                  MUTUAL FUNDS-EQ 694048505        1377        75969 PRN
  INVESTMENT GRADE MUNI INCOME FD  CLOSED END FUND 695931204         850           17 PRN
  PALM BEACH CNTY FLA HEALTH FACS  MUNICIPAL BONDS 696507MH2         317       300000 PRN
  PEOPLES BANK                     COMMON STOCKS   710198102        1933        91525 SH
  PEOPLES BANK                     COMMON STOCKS   710198102         124         5875 SH
  PEOPLES BANK                     COMMON STOCKS   710198102          11          500 SH
  PEPSICO INC                      COMMON STOCKS   713448108        3110        88234 SH
  PEPSICO INC                      COMMON STOCKS   713448108        1635        46370 SH
  PEREGRINE SYSTEMS INC            COMMON STOCKS   71366Q101         261         3100 SH
  PERKINELMER INC                  COMMON STOCKS   714046109         534        12800 SH
  PERKINELMER INC                  COMMON STOCKS   714046109         375         9000 SH
  PETROLEUM & RES CORP             COMMON STOCKS   716549100        1866        57865 SH
  PETROLEUM & RES CORP             COMMON STOCKS   716549100         890        27599 SH
  PFIZER INC                       COMMON STOCKS   717081103        8561       263923 SH
  PFIZER INC                       COMMON STOCKS   717081103        2844        87690 SH
  PFIZER INC                       COMMON STOCKS   717081103          29          900 SH
  PHARMANETICS INC                 COMMON STOCKS   71713J107         154        16608 SH
  PHILADELPHIA SUBN CORP           COMMON STOCKS   718009608         252        12165 SH
  PHILADELPHIA SUBN CORP           COMMON STOCKS   718009608          83         4000 SH
  PHILIP MORRIS COS INC            COMMON STOCKS   718154107        1509        65616 SH
  PHILIP MORRIS COS INC            COMMON STOCKS   718154107         465        20200 SH
  PIEDMONT NAT GAS INC             COMMON STOCKS   720186105         551        18305 SH
  PIEDMONT NAT GAS INC             COMMON STOCKS   720186105         107         3554 SH
  PITNEY-BOWES INC                 COMMON STOCKS   724479100        2145        44397 SH
  PITNEY-BOWES INC                 COMMON STOCKS   724479100         336         6950 SH
  PLANTRONICS INC                  COMMON STOCKS   727493108          72         1000 SH
  PLANTRONICS INC                  COMMON STOCKS   727493108         601         8400 SH
  PRECISION CASTPARTS CORP         COMMON STOCKS   740189105         337        12850 SH
  PRECISION CASTPARTS CORP         COMMON STOCKS   740189105          45         1700 SH
  PRICE (T.ROWE) ASSOCIATES        COMMON STOCKS   741477103       19575       529949 SH
  PRICE (T.ROWE) ASSOCIATES        COMMON STOCKS   741477103         628        17000 SH
  PROCTER & GAMBLE CO              COMMON STOCKS   742718109        3905        35643 SH
  PROCTER & GAMBLE CO              COMMON STOCKS   742718109         285         2600 SH
  PROVIDIAN FINANCIAL CORP         COMMON STOCKS   74406A102       15969       175363 SH
  PROVIDIAN FINANCIAL CORP         COMMON STOCKS   74406A102        2914        31996 SH
  PRUDENTIAL MUNICIPAL BOND FD     MUTUAL FUNDS-FI 74435L103         220        21198 PRN
  PUBLIC SVC CO N C INC            COMMON STOCKS   744516105         419        12954 SH
  PUTNAM                           CLOSED END FUND 746909100         160        26930 PRN
  QUINTILES TRANSNATIONAL CORP     COMMON STOCKS   748767100         634        33921 SH
  QWEST COMMUNICATIONS INTL        COMMON STOCKS   749121109         697        16200 SH
  QWEST COMMUNICATIONS INTL        COMMON STOCKS   749121109           4          100 SH
  RF MICRO DEVICES                 COMMON STOCKS   749941100         821        12000 SH
  RAYTHEON CO                      COMMON STOCKS   755111408         152         5715 SH
  RAYTHEON CO                      COMMON STOCKS   755111408         168         6320 SH
  RELIASTAR FINL CORP              COMMON STOCKS   75952U103         764        19485 SH
  RELIASTAR FINL CORP              COMMON STOCKS   75952U103         180         4600 SH
  ROCKWELL INTL CORP NEW           COMMON STOCKS   773903109         116         2425 SH
  ROCKWELL INTL CORP NEW           COMMON STOCKS   773903109         346         7232 SH
  T ROWE PRICE                     MUTUAL FUNDS-EQ 779556109        2708        67476 PRN
  T ROWE PRICE                     MUTUAL FUNDS-EQ 779556109          77         1926 PRN
  T ROWE PRICE                     MUTUAL FUNDS-FI 779570100          82        10064 PRN
  T ROWE PRICE                     MUTUAL FUNDS-FI 779570100          30         3683 PRN
  T. ROWE PRICE                    MUTUAL FUNDS-EQ 779572106        1262        55330 PRN
  T. ROWE PRICE                    MUTUAL FUNDS-EQ 779572106           0           28 PRN
  T ROWE PRICE SMALL-CAP VALUE     MUTUAL FUNDS-EQ 77957Q103        1268        71959 PRN
  T ROWE PRICE SMALL-CAP VALUE     MUTUAL FUNDS-EQ 77957Q103          34         1956 PRN
  ROYAL DUTCH PETE CO              COMMON STOCKS   780257804        1726        28505 SH
  ROYAL DUTCH PETE CO              COMMON STOCKS   780257804         236         3900 SH
  RUDDICK CORP                     COMMON STOCKS   781258108         839        54100 SH
  RUDDICK CORP                     COMMON STOCKS   781258108         243        15650 SH
  RYANS FAMILY STEAK HOUSES INC    COMMON STOCKS   783519101        1093       128600 SH
  RYANS FAMILY STEAK HOUSES INC    COMMON STOCKS   783519101         304        35750 SH
  SBC COMMUNICATIONS INC           COMMON STOCKS   78387G103        3620        74258 SH
  SBC COMMUNICATIONS INC           COMMON STOCKS   78387G103        1448        29712 SH
  SBC COMMUNICATIONS INC           COMMON STOCKS   78387G103          38          782 SH
  S&P 500 DEPOSITORY RECEIPT       COMMON STOCKS   78462F103        3121        21247 SH
  ST PAUL COS INC                  COMMON STOCKS   792860108         706        20971 SH
  ST PAUL COS INC                  COMMON STOCKS   792860108          34         1000 SH
  SARA LEE CORP                    COMMON STOCKS   803111103         181         8200 SH
  SARA LEE CORP                    COMMON STOCKS   803111103         124         5600 SH
  SCHERING PLOUGH CORP             COMMON STOCKS   806605101         772        18224 SH
  SCHERING PLOUGH CORP             COMMON STOCKS   806605101         142         3352 SH
  SCHLUMBERGER LTD                 COMMON STOCKS   806857108        2753        49054 SH
  SCHLUMBERGER LTD                 COMMON STOCKS   806857108         401         7150 SH
  SCUDDER                          MUTUAL FUNDS-FI 811236207         117        10952 PRN
  SELIGMAN                         MUTUAL FUNDS-EQ 816332100         200        13402 PRN
  SEQUOIA                          MUTUAL FUNDS-EQ 817418106        3122        24527 PRN
  SMITHKLINE BEECHAM PLC ADR       COMMON STOCKS   832378301         167         2600 SH
  SMITHKLINE BEECHAM PLC ADR       COMMON STOCKS   832378301          51          800 SH
  SONOCO PRODS CO                  COMMON STOCKS   835495102        1115        48989 SH
  SONOCO PRODS CO                  COMMON STOCKS   835495102         181         7940 SH
  SOUTHERN CAPITAL TRUST I         PREFERRED STOCK 842542201          86        10000 SH
  SOUTHERN CO                      COMMON STOCKS   842587107         281        11950 SH
  SOUTHERN CO                      COMMON STOCKS   842587107          22          920 SH
  SOUTHERN CO                      COMMON STOCKS   842587107          20          832 SH
  SPRINT CORP                      COMMON STOCKS   852061100        2891        42955 SH
  SPRINT CORP                      COMMON STOCKS   852061100        1168        17352 SH
  SPRINT CORP                      COMMON STOCKS   852061506         492         4803 SH
  SPRINT CORP                      COMMON STOCKS   852061506         439         4287 SH
  STAPLES INC                      COMMON STOCKS   855030102        1495        72062 SH
  STAPLES INC                      COMMON STOCKS   855030102           6          300 SH
  STAPLES INC                      COMMON STOCKS   855030102         280        13475 SH
  STARWOOD HOTELS & RESORTS        COMMON STOCKS   85590A203         110         4674 SH
  STARWOOD HOTELS & RESORTS        COMMON STOCKS   85590A203         113         4800 SH
  STATE STREET CORP                COMMON STOCKS   857477103         438         6000 SH
  STRONG                           MUTUAL FUNDS-FI 863344107         498        49376 PRN
  STRYKER CORP                     COMMON STOCKS   863667101         756        10860 SH
  STRYKER CORP                     COMMON STOCKS   863667101        3068        44070 SH
  SUN MICROSYSTEMS INC             COMMON STOCKS   866810104        2721        35140 SH
  SUN MICROSYSTEMS INC             COMMON STOCKS   866810104          83         1076 SH
  SUNGARD DATA SYSTEMS INC         COMMON STOCKS   867363103        1669        70271 SH
  SUNGARD DATA SYSTEMS INC         COMMON STOCKS   867363103          83         3500 SH
  SUNTRUST BANKS INC               COMMON STOCKS   867914103        1067        15504 SH
  SUNTRUST BANKS INC               COMMON STOCKS   867914103         401         5822 SH
  SYMANTEC CORP                    COMMON STOCKS   871503108        2903        49525 SH
  SYMANTEC CORP                    COMMON STOCKS   871503108         635        10825 SH
  SYNOVUS FINL CORP                COMMON STOCKS   87161C105        2849       143325 SH
  SYNOVUS FINL CORP                COMMON STOCKS   87161C105         977        49177 SH
  SYSTEMAX INC                     COMMON STOCKS   871851101         962       113225 SH
  SYSTEMAX INC                     COMMON STOCKS   871851101         312        36675 SH
  TECO ENERGY INC                  COMMON STOCKS   872375100         582        31361 SH
  TECO ENERGY INC                  COMMON STOCKS   872375100         177         9535 SH
  TELLABS, INC                     COMMON STOCKS   879664100         992        15450 SH
  TELLABS, INC                     COMMON STOCKS   879664100         315         4900 SH
  TENN VALLEY AUTHORITY            PREFERRED STOCK 880591300        1811        83750 SH
  TEXACO INC                       COMMON STOCKS   881694103         420         7738 SH
  TEXACO INC                       COMMON STOCKS   881694103         244         4500 SH
  TEXACO INC                       COMMON STOCKS   881694103          11          203 SH
  TEXAS INSTRUMENT INC             COMMON STOCKS   882508104         232         2400 SH
  THOMAS & BETTS CORP              COMMON STOCKS   884315102          13          400 SH
  THOMAS & BETTS CORP              COMMON STOCKS   884315102         230         7200 SH
  3COM CORP                        COMMON STOCKS   885535104         190         4048 SH
  3COM CORP                        COMMON STOCKS   885535104        1128        24000 SH
  TOSCO CORP                       COMMON STOCKS   891490302        1718        63205 SH
  TOSCO CORP                       COMMON STOCKS   891490302          11          400 SH
  TOWER AUTOMOTIVE INC             COMMON STOCKS   891707101        1826       118259 SH
  TOWER AUTOMOTIVE INC             COMMON STOCKS   891707101         145         9400 SH
  TRANSWITCH CORP                  COMMON STOCKS   894065101         283         3900 SH
  TRI CONTL CORP                   CLOSED END FUND 895436103       11823       424161 PRN
  TRI CONTL CORP                   CLOSED END FUND 895436103         493        17702 PRN
  TRIANGLE BANCORP INC             COMMON STOCKS   895835106         726        37449 SH
  TRIANGLE BANCORP INC             COMMON STOCKS   895835106          25         1312 SH
  TRICON GLOBAL RESTAURANTS        COMMON STOCKS   895953107         188         4864 SH
  TRICON GLOBAL RESTAURANTS        COMMON STOCKS   895953107         146         3780 SH
  OAK VALUE FD                     MUTUAL FUNDS-EQ 900733106         475        18626 PRN
  TYCO INTERNATIONAL LTD           COMMON STOCKS   902124106        5044       129344 SH
  TYCO INTERNATIONAL LTD           COMMON STOCKS   902124106          12          300 SH
  TYCO INTERNATIONAL LTD           COMMON STOCKS   902124106         421        10790 SH
  UST INC                          COMMON STOCKS   902911106         585        23225 SH
  UNILEVER N V NEW YORK SHS        COMMON STOCKS   904784709          27          490 SH
  UNILEVER N V NEW YORK SHS        COMMON STOCKS   904784709         272         5000 SH
  U S WEST INC                     COMMON STOCKS   91273H101        1851        25715 SH
  U S WEST INC                     COMMON STOCKS   91273H101         403         5601 SH
  UNITED STATES TREASURY           U.S. OBLIGATION 912827X23         532       535000 PRN
  U.S. TRUST CORP                  COMMON STOCKS   91288L105         151         1881 SH
  U.S. TRUST CORP                  COMMON STOCKS   91288L105         302         3763 SH
  UNITED TECHNOLOGIES CORP         COMMON STOCKS   913017109        2567        39489 SH
  UNITED TECHNOLOGIES CORP         COMMON STOCKS   913017109         156         2400 SH
  UNIVERSAL HEALTH SVCS INC        COMMON STOCKS   913903100          22          600 SH
  UNIVERSAL HEALTH SVCS INC        COMMON STOCKS   913903100         655        18200 SH
  UNUMPROVIDENT CORP               COMMON STOCKS   91529Y106        1030        32127 SH
  VAN KAMP MUNI INC TR             AUCTION RATE PR 920909405        1500            3 PRN
  VANGUARD                         MUTUAL FUNDS-EQ 921910105        4880       112115 PRN
  VANGUARD                         MUTUAL FUNDS-EQ 921910105         141         3232 PRN
  VANGUARD                         MUTUAL FUNDS-EQ 922018205         226         9068 PRN
  VANGUARD                         MUTUAL FUNDS-EQ 922018205          76         3044 PRN
  VANGUARD                         MUTUAL FUNDS-FI 922031208         575        77810 PRN
  VANGUARD                         MUTUAL FUNDS-FI 922031307        4796       486432 PRN
  VANGUARD                         MUTUAL FUNDS-FI 922031307           3          311 PRN
  VANGUARD                         MUTUAL FUNDS-FI 922031604         249        25183 PRN
  VANGUARD                         MUTUAL FUNDS-FI 922907209          71         5580 PRN
  VANGUARD                         MUTUAL FUNDS-FI 922907209         170        13298 PRN
  VANGUARD                         MUTUAL FUNDS-EQ 922908108        3909        28888 PRN
  VANGUARD                         MUTUAL FUNDS-EQ 922908108        2670        19731 PRN
  VIACOM INC                       COMMON STOCKS   925524308         215         3562 SH
  VODAFONE GROUP PLC-SPONS ADR     COMMON STOCKS   92857T107         438         8855 SH
  VODAFONE GROUP PLC-SPONS ADR     COMMON STOCKS   92857T107         259         5240 SH
  VODAFONE GROUP PLC-SPONS ADR     COMMON STOCKS   92857T107          31          635 SH
  WACHOVIA CORP                    COMMON STOCKS   929771103         808        11883 SH
  WACHOVIA CORP                    COMMON STOCKS   929771103        1328        19536 SH
  WAL-MART STORES                  COMMON STOCKS   931142103         366         5300 SH
  WAL-MART STORES                  COMMON STOCKS   931142103         111         1600 SH
  WALGREEN CO                      COMMON STOCKS   931422109         608        20790 SH
  WALGREEN CO                      COMMON STOCKS   931422109         205         7000 SH
  WALLACE COMPUTER SERVICES INC    COMMON STOCKS   932270101         182        10925 SH
  WARNER LAMBERT CO                COMMON STOCKS   934488107        5389        65773 SH
  WARNER LAMBERT CO                COMMON STOCKS   934488107          27          325 SH
  WASHINGTON MUTUAL INC            COMMON STOCKS   939322103        1926        74438 SH
  WASHINGTON MUTUAL INC            COMMON STOCKS   939322103          92         3560 SH
  WASHINGTON POST CO               COMMON STOCKS   939640108         667         1200 SH
  WATSON PHARMACEUTICAL INC        COMMON STOCKS   942683103        2227        62180 SH
  WATSON PHARMACEUTICAL INC        COMMON STOCKS   942683103         100         2800 SH
  WELLS FARGO COMPANY              COMMON STOCKS   949746101         859        21250 SH
  WELLS FARGO COMPANY              COMMON STOCKS   949746101         226         5600 SH
  WEST MARINE INC                  COMMON STOCKS   954235107         539        65350 SH
  WEST MARINE INC                  COMMON STOCKS   954235107          88        10675 SH
  WHIRLPOOL CORP                   COMMON STOCKS   963320106         628         9650 SH
  WINN DIXIE STORES INC            COMMON STOCKS   974280109         166         6942 SH
  WINN DIXIE STORES INC            COMMON STOCKS   974280109         120         5000 SH
  WRIGLEY (WM) JR CO               COMMON STOCKS   982526105         352         4250 SH
  WRIGLEY (WM) JR CO               COMMON STOCKS   982526105         141         1700 SH
  XILINX INC                       COMMON STOCKS   983919101          55         1200 SH
  XILINX INC                       COMMON STOCKS   983919101         600        13200 SH
  XEROX CORP                       COMMON STOCKS   984121103         499        21974 SH
  XEROX CORP                       COMMON STOCKS   984121103         204         9000 SH
  SAP AG PREF SHS VORZUG           PREFERRED STOCK D48468686         125          200 SH
  SAP AG PREF SHS VORZUG           PREFERRED STOCK D48468686        1409         2250 SH
  ROCHE HOLDING                    COMMON STOCKS   H47457728        3401          280 SH
  GILAT SATELLITE NETWORKS LTD     COMMON STOCKS   M51474100          71          600 SH
  GILAT SATELLITE NETWORKS LTD     COMMON STOCKS   M51474100         487         4100 SH
  MEDICAL PRODUCTS SEARCH, INC.    CLOSELY HELD CO SU0776009           0        15000 SH
  ELECTRIC SUPPLY CO. OF NC, INC.  CLOSELY HELD CO SU0789002        3136        37228 SH
  PETERSBURG MOTOR COMPANY, INC.   CLOSELY HELD CO SU1241003        1935         4590 SH

  NAME OF ISSUER                  INVSTMT OTHER         VOTING AUTHORITY
  SECURITY NAME                   DISCRTN MANAGERS      SOLE         SHARED       NONE

  AFLAC INC                       SOLE                  41122
  AFLAC INC                       OTHER                 9200
  AT&T CORP                       SOLE                  93005
  AT&T CORP                       DEFINED               435
  AT&T CORP                       OTHER                 11392
  AT&T CORP                       DEF/OTH               749
  AXA FINANCIAL INC               SOLE                  7800
  ABBOTT LABS                     SOLE                  108066
  ABBOTT LABS                     OTHER                 30375
  ROWE CORP                       SOLE                  20000
  AEGON N V                       SOLE                  100329
  AEGON N V                       OTHER                 16822
  ROSEMYR CORP                    SOLE                  6898
  ROSEMYR CORP                    OTHER                 6745
  ALBERTSONS INC                  SOLE                  2300
  ALBERTSONS INC                  OTHER                 23184
  ALLEGHANY CORP                  OTHER                 1317
  ALLEGHENY ENERGY INC            SOLE                  6846
  ALLEGHENY ENERGY INC            OTHER                 1800
  ALLIANCE GROWTH                 SOLE                  6031
  ALLSTATE CORPORATION            SOLE                  2996
  ALLSTATE CORPORATION            OTHER                 5959
  ALLTEL CORP                     SOLE                  3098
  ALLTEL CORP                     OTHER                 2697
  ALPHA INDS INC                  OTHER                 3600
  ALTERA CORP                     SOLE                  3300
  ALTERA CORP                     OTHER                 5400
  AMERICAN CENTURY                SOLE                  136653
  AMERICAN CENTURY                OTHER                 76
  AMERICAN ELEC PWR INC           SOLE                  4532
  AMERICAN ELEC PWR INC           SOLE                                            100
  AMERICAN ELEC PWR INC           OTHER                 1818
  AMERICAN EXPRESS CO             SOLE                  1200
  AMERICAN EXPRESS CO             OTHER                 229
  AMERICAN GEN CORP               SOLE                  5091
  AMERICAN GEN CORP               OTHER                 5970
  AMERICAN HOME PRODS CORP        SOLE                  142938
  AMERICAN HOME PRODS CORP        SOLE                               175
  AMERICAN HOME PRODS CORP        OTHER                 40875
  AMERICAN INTL GROUP INC         SOLE                  18932
  AMERICAN INTL GROUP INC         SOLE                                            31
  AMERICAN INTL GROUP INC         OTHER                 1025
  AMETEK INC                      SOLE                  48650
  AMETEK INC                      OTHER                 7325
  AMGEN INC                       SOLE                  41400
  AMGEN INC                       SOLE                                            50
  AMGEN INC                       OTHER                 700
  ANHEUSER BUSCH COMPANIES        SOLE                  11300
  ANHEUSER BUSCH COMPANIES        OTHER                 11000
  AON CORP                        SOLE                  7880
  APPLIED MATERIALS INC           SOLE                  71010
  APPLIED MATERIALS INC           SOLE                                            350
  APPLIED MATERIALS INC           DEFINED               200
  APPLIED MATERIALS INC           OTHER                 12750
  ARCADIA FINANCIAL CORP          SOLE                  15375
  ATLANTIC RICHFIELD              SOLE                  14556
  ATLANTIC RICHFIELD              SOLE                                            24
  ATLANTIC RICHFIELD              OTHER                 3930
  AUTODESK INC.                   SOLE                  85225
  AUTODESK INC.                   OTHER                 8500
  AUTOMATIC DATA PROCESSING INC   SOLE                  40930
  AUTOMATIC DATA PROCESSING INC   SOLE                                            50
  AUTOMATIC DATA PROCESSING INC   OTHER                 880
  AVERY DENNISON CORP             OTHER                 4000
  AVNET INC                       SOLE                  11000
  BB & T CORPORATION              SOLE                  49387
  BP AMOCO PLC                    SOLE                  62284
  BP AMOCO PLC                    OTHER                 10178
  BANK OF AMERICA CORP            SOLE                  33595
  BANK OF AMERICA CORP            DEFINED               516
  BANK OF AMERICA CORP            OTHER                 28126
  BANK OF NEW YORK INC            SOLE                  4900
  BANK OF NEW YORK INC            OTHER                 11250
  BANK ONE CORP                   SOLE                  13647
  BANK ONE CORP                   OTHER                 1903
  BAXTER INTL INC                 SOLE                  3860
  BAXTER INTL INC                 OTHER                 70
  BECKMAN COULTER, INC.           SOLE                  33325
  BECKMAN COULTER, INC.           OTHER                 3500
  BED BATH & BEYOND               SOLE                  14350
  BED BATH & BEYOND               OTHER                 1400
  BELL ATLANTIC CORP              SOLE                  23226
  BELL ATLANTIC CORP              SOLE                               150
  BELL ATLANTIC CORP              OTHER                 14028
  BELLSOUTH CORP                  SOLE                  43820
  BELLSOUTH CORP                  SOLE                               800
  BELLSOUTH CORP                  DEFINED               608
  BELLSOUTH CORP                  OTHER                 17136
  BERKSHIRE HATHAWAY INC          SOLE                  1
  BERKSHIRE HATHAWAY INC          OTHER                                           180
  BERKSHIRE HATHAWAY INC          SOLE                  263
  BERKSHIRE HATHAWAY INC          OTHER                 22
  BLOCK H & R INC                 SOLE                  9270
  BOEING CO                       SOLE                  15974
  BOEING CO                       OTHER                 13552
  BRANDYWINE FD INC               OTHER                 7928
  BRISTOL MYERS SQUIBB CO         SOLE                  48101
  BRISTOL MYERS SQUIBB CO         OTHER                 12200
  CCB FINL CORP                   SOLE                  1558621
  CCB FINL CORP                   SOLE                                            541
  CCB FINL CORP                   DEFINED               18400
  CCB FINL CORP                   OTHER                 151886
  CCB FINL CORP                   OTHER                                           34446
  CBRL GROUP INC                  SOLE                  61875
  CBRL GROUP INC                  SOLE                                            200
  CBRL GROUP INC                  OTHER                 2900
  CBS CORP                        SOLE                  5300
  CBS CORP                        OTHER                 100
  CCB                             SOLE                  3280203
  CCB                             OTHER                 305948
  CCB                             OTHER                              19
  CCB                             OTHER                                           8218
  CMG INFORMATION SERVICES INC    SOLE                  14224
  CSX CORP                        SOLE                  8998
  CSX CORP                        OTHER                 5066
  CVS CORPORATION                 SOLE                  12100
  CVS CORPORATION                 OTHER                 900
  CAP ONE FINANCIAL CORP          SOLE                  151463
  CAP ONE FINANCIAL CORP          OTHER                 3400
  CAROLINA PWR & LT CO            SOLE                  72824
  CAROLINA PWR & LT CO            OTHER                 3335
  CATERPILLAR TRACTOR CO          SOLE                  4495
  CATERPILLAR TRACTOR CO          OTHER                 800
  CENTURA BKS INC                 SOLE                  8060
  CENTURA BKS INC                 OTHER                 36960
  CHASE MANHATTAN CORP            SOLE                  5976
  CHASE MANHATTAN CORP            SOLE                                            400
  CHASE MANHATTAN CORP            OTHER                 3508
  CHEVRON CORP                    SOLE                  11470
  CHEVRON CORP                    OTHER                 2816
  CISCO SYSTEMS                   SOLE                  126303
  CISCO SYSTEMS                   SOLE                                            400
  CISCO SYSTEMS                   OTHER                 22638
  CISCO SYSTEMS                   DEF/OTH               1498
  CITIGROUP INC                   SOLE                  33239
  CITIGROUP INC                   DEFINED               400
  CITIGROUP INC                   OTHER                 26123
  CITIGROUP INC                   OTHER                              150
  CLAYTON HOMES INC               SOLE                  27927
  COCA COLA CO                    SOLE                  82450
  COCA COLA CO                    OTHER                 5400
  COLGATE PALMOLIVE CO            SOLE                  21592
  COLGATE PALMOLIVE CO            OTHER                 4400
  COMPAQ COMPUTER CORP            SOLE                  75590
  COMPAQ COMPUTER CORP            SOLE                                            300
  COMPAQ COMPUTER CORP            DEFINED               400
  COMPAQ COMPUTER CORP            OTHER                 12918
  COMPAQ COMPUTER CORP            DEF/OTH               500
  COMPUTER ASSOC INT'L INC        SOLE                  6275
  COMPUTER SCIENCES CORP          SOLE                  4020
  COMPUTER SCIENCES CORP          OTHER                 3850
  CONE MILLS CORP                 SOLE                  15800
  CONE MILLS CORP                 OTHER                 56942
  CONEXANT SYSTEMS INC            SOLE                  1200
  CONEXANT SYSTEMS INC            OTHER                 2000
  CONSOLIDTD STORES               SOLE                  8775
  CONSOLIDTD STORES               OTHER                 7200
  CORNING INC                     SOLE                  3600
  DALLAS SEMICONDUCTOR CORP       SOLE                  1700
  DALLAS SEMICONDUCTOR CORP       OTHER                 3600
  DANAHER CORP                    SOLE                  1447
  DANAHER CORP                    OTHER                 9041
  DELHAIZE AMERICA                SOLE                  8356
  DELHAIZE AMERICA                SOLE                                            16799
  DELHAIZE AMERICA                OTHER                                           9000
  DENTSPLY INTERNATIONAL INC      SOLE                  32450
  DIEBOLD INC                     SOLE                  55061
  DIEBOLD INC                     OTHER                 5703
  DISNEY WALT CO                  SOLE                  39480
  DISNEY WALT CO                  OTHER                 6900
  DODGE & COX                     SOLE                  3679
  DODGE & COX                     SOLE                  3449
  DODGE & COX                     SOLE                                            895
  DOVER CORP                      SOLE                  21825
  DOW CHEM CO                     SOLE                  10621
  DOW CHEM CO                     DEFINED               100
  DOW CHEM CO                     OTHER                 1685
  DREYFUS FD                      OTHER                 12123
  DU PONT E I DE NEMOURS & CO     SOLE                  12868
  DU PONT E I DE NEMOURS & CO     DEFINED               125
  DU PONT E I DE NEMOURS & CO     OTHER                 17520
  DU PONT E I DE NEMOURS & CO     DEF/OTH               3000
  DUFF & PHELPS UTILS INCOME INC  SOLE                  18300
  DUKE ENERGY CORP                SOLE                  55842
  DUKE ENERGY CORP                SOLE                                            748
  DUKE ENERGY CORP                OTHER                 11826
  DUKE ENERGY CORP                DEF/OTH               906
  EMC CORP                        SOLE                  164708
  EMC CORP                        SOLE                               100
  EMC CORP                        DEFINED               200
  EMC CORP                        OTHER                 44400
  EASTMAN KODAK CO                SOLE                  7964
  EASTMAN KODAK CO                OTHER                 4950
  EATON CORP                      SOLE                  14100
  EATON CORP                      OTHER                 10300
  EMERSON ELECTRIC CO             SOLE                  2400
  EMERSON ELECTRIC CO             SOLE                                            2320
  EMERSON ELECTRIC CO             OTHER                 4276
  ENRON CORP                      SOLE                  19880
  ENRON CORP                      SOLE                                            10000
  ENRON CORP                      OTHER                 8020
  ENTREMED INC                    SOLE                  9000
  ENTREMED INC                    SOLE                                            304
  EQUITABLE RES INC               OTHER                 6750
  EQUITY INCOME FD                SOLE                  31210
  EQUITY INCOME FD                OTHER                 3800
  EXXON MOBIL CORP                SOLE                  220004
  EXXON MOBIL CORP                SOLE                                            3960
  EXXON MOBIL CORP                OTHER                 56567
  FAMILY DLR STORES INC           SOLE                  20900
  FAMILY DLR STORES INC           SOLE                                            7350
  FDX CORPORATION                 SOLE                  43266
  FDX CORPORATION                 OTHER                 14000
  FEDERAL HOME LOAN MORTGAGE CORP SOLE                  7377
  FEDERAL HOME LOAN MORTGAGE CORP DEF/OTH               500
  FEDERAL NATIONAL MORTGAGE ASSN  SOLE                  62302
  FEDERAL NATIONAL MORTGAGE ASSN  SOLE                                            25
  FEDERAL NATIONAL MORTGAGE ASSN  OTHER                 4662
  FEDERAL NATIONAL MORTGAGE ASSN  DEF/OTH               500
  FEDERATED                       SOLE                  121571
  FEDERATED                       OTHER                 22249
  FEDERATED INCOME TRUST          SOLE                  46000
  FEDERATED INCOME TRUST          OTHER                 3485
  FEDERATED                       SOLE                  10921
  FEDERATED                       SOLE                  6350005
  FEDERATED                       SOLE                               2081
  FEDERATED                       SOLE                                            8085
  FEDERATED                       DEFINED               19068
  FEDERATED                       OTHER                 363360
  FEDERATED                       OTHER                              5081
  FEDERATED                       OTHER                                           4909
  FEDERATED SHORT INTER MUN TR SH SOLE                  2829
  FEDERATED SHORT INTER MUN TR SH OTHER                 15973
  FEDERATED US GOVT SEC           SOLE                  18728
  FIDELITY ADV INST EQUITY GROWTH SOLE                  28973
  FIDELITY ADV INST EQUITY GROWTH SOLE                                            1358
  FIDELITY ADV INST EQUITY GROWTH OTHER                 1044
  FIDELITY MID-CAP STOCK FD       OTHER                 9859
  FIDELITY                        SOLE                  2919
  FIDELITY                        OTHER                 5363
  FIRST CITIZENS BCSHS            SOLE                  5070
  FIRST UNION CORP                SOLE                  49088
  FIRST UNION CORP                SOLE                                            1500
  FIRST UNION CORP                OTHER                 4393
  FIRST UNION CORP                DEF/OTH               400
  FLOWERS INDS INC                SOLE                  89975
  FLOWERS INDS INC                OTHER                 19000
  FORD MTR CO                     SOLE                  30337
  FORD MTR CO                     SOLE                                            100
  FORD MTR CO                     DEFINED               108
  FORD MTR CO                     OTHER                 4726
  FORTUNE BRANDS INC              SOLE                  25600
  FRANKLIN                        SOLE                  34934
  FRANKLIN                        OTHER                 1383
  FRANKLIN                        SOLE                  44822
  FRANKLIN                        OTHER                 4128
  FRANKLIN                        SOLE                  49339
  FRANKLIN                        OTHER                 3647
  GTE CORP                        SOLE                  20920
  GTE CORP                        OTHER                 7316
  GALLAHER GROUP PLC ADR          SOLE                  25072
  GANNETT INC                     SOLE                  2150
  GANNETT INC                     OTHER                 1100
  GAP INC                         SOLE                  1000
  GAP INC                         OTHER                 3376
  GATEWAY INC                     SOLE                  35400
  GATEWAY INC                     OTHER                 8400
  GENERAL ELEC CO                 SOLE                  177487
  GENERAL ELEC CO                 SOLE                                            25
  GENERAL ELEC CO                 OTHER                 42120
  GENERAL ELEC CO                 OTHER                                           100
  GENERAL ELEC CO                 DEF/OTH               800
  GENERAL MILLS INC               SOLE                  8134
  GENERAL MILLS INC               OTHER                 5000
  GENERAL MTRS CORP               SOLE                  11291
  GENERAL MTRS CORP               DEFINED               60
  GENERAL MTRS CORP               OTHER                 1190
  GENERAL MTRS CORP               SOLE                  1214
  GENERAL MTRS CORP               OTHER                 6950
  GENTEX CORP                     SOLE                  118645
  GENTEX CORP                     SOLE                                            150
  GENTEX CORP                     OTHER                 6000
  GENLYTE GROUP INC               SOLE                  27135
  GENLYTE GROUP INC               OTHER                 11300
  GENUINE PARTS CO                SOLE                  9814
  GEORGIA PAC CORP                SOLE                  4428
  GEORGIA PAC CORP                OTHER                 3000
  GERBER SCIENTIFIC INC           SOLE                  7775
  GERBER SCIENTIFIC INC           OTHER                 11350
  GILLETTE CO                     SOLE                  38347
  GILLETTE CO                     SOLE                                            4884
  GILLETTE CO                     OTHER                 3300
  GLAXO PLC SPONSORED ADR         SOLE                  11781
  GLAXO PLC SPONSORED ADR         OTHER                 2000
  GLOBAL MARINE INC               SOLE                  17575
  GLOBAL MARINE INC               OTHER                 500
  GOLDMAN SACHS                   SOLE                  70066
  GOLDMAN SACHS                   OTHER                 6062
  GOLDMAN SACHS                   SOLE                  138734
  GOLDMAN SACHS                   OTHER                 17141
  GOODYEAR TIRE & RUBR CO         SOLE                  12050
  GOODYEAR TIRE & RUBR CO         OTHER                 4200
  GREY ADVERTISING INC            SOLE                  3777
  GREY ADVERTISING INC            OTHER                 1075
  HARBOR                          SOLE                  85083
  HARBOR                          OTHER                 2892
  HARRIS CORP                     SOLE                  82050
  HARRIS CORP                     OTHER                 10675
  HEINZ H J CO                    SOLE                  47906
  HEINZ H J CO                    OTHER                 6900
  HEINZ H J CO                    DEF/OTH               450
  HEWLETT PACKARD CO              SOLE                  31142
  HEWLETT PACKARD CO              DEFINED               150
  HEWLETT PACKARD CO              OTHER                 12700
  HEWLETT PACKARD CO              DEF/OTH               500
  HOME DEPOT INC                  SOLE                  29925
  HOME DEPOT INC                  OTHER                 4167
  HONEYWELL INTERNATIONAL (NEW)   SOLE                  63585
  HONEYWELL INTERNATIONAL (NEW)   OTHER                 16036
  HOUSEHOLD INTL INC              SOLE                  56870
  HOUSEHOLD INTL INC              SOLE                                            550
  HOUSEHOLD INTL INC              OTHER                 800
  HUBBELL HARVEY INC              SOLE                  25629
  HUBBELL HARVEY INC              SOLE                                            4700
  HUBBELL HARVEY INC              OTHER                 2552
  HUTTON TEL TR UNIT 1ST TAX FREE SOLE                  31855
  IDG BOOKS WORLDWIDE INC         SOLE                  75000
  IHOP CORP                       SOLE                  85950
  IHOP CORP                       OTHER                 13750
  INGERSOLL RAND CO               SOLE                  15332
  INGERSOLL RAND CO               SOLE                                            100
  INGERSOLL RAND CO               OTHER                 11925
  INTEL CORP                      SOLE                  166813
  INTEL CORP                      OTHER                 95374
  IBM CORP                        SOLE                  28936
  IBM CORP                        SOLE                                            400
  IBM CORP                        OTHER                 17852
  IBM CORP                        OTHER                                           200
  INTERNATIONAL PAPER CO          SOLE                  7296
  INTERNATIONAL PAPER CO          OTHER                 4220
  INTERPUBLIC GROUP               SOLE                  23290
  INTERPUBLIC GROUP               OTHER                 400
  SCUDDER                         SOLE                  43950
  SCUDDER                         OTHER                 2423
  SCUDDER                         OTHER                              6
  INTIMATE BRANDS                 SOLE                  26766
  INTIMATE BRANDS                 OTHER                 3300
  INVESTORS TITLE INS CO          SOLE                  15624
  INVESTORS TITLE INS CO          OTHER                 7812
  JANUS                           SOLE                  7103
  JANUS                           OTHER                 10054
  JANUS                           SOLE                  9122
  JANUS                           SOLE                                            1424
  JANUS                           OTHER                 8097
  JEFFERSON PILOT CORP            SOLE                  77899
  JEFFERSON PILOT CORP            OTHER                 42802
  JOHNSON & JOHNSON               SOLE                  41412
  JOHNSON & JOHNSON               SOLE                                            3500
  JOHNSON & JOHNSON               OTHER                 15050
  JOHNSON & JOHNSON               DEF/OTH               400
  JOHNSON CONTROLS                SOLE                  115
  JOHNSON CONTROLS                DEFINED               3840
  KANSAS CITY SOUTHN INDS INC     SOLE                  5100
  KANSAS CITY SOUTHN INDS INC     OTHER                 19700
  KELLOGG CO                      SOLE                  11292
  KENAN TRANS CO                  SOLE                  11620
  KEYCORP NEW                     SOLE                  22210
  KEYCORP NEW                     OTHER                 6124
  KIMBERLY CLARK CORP             SOLE                  5745
  KIMBERLY CLARK CORP             SOLE                                            100
  KIMBERLY CLARK CORP             OTHER                 1500
  KOHLS CORP                      SOLE                  3200
  KOHLS CORP                      DEFINED               100
  KOHLS CORP                      OTHER                 500
  KROGER CO                       SOLE                  29750
  LANIER WORLDWIDE                SOLE                  94550
  LANIER WORLDWIDE                OTHER                 22175
  LEXMARK INTL GROUP INC CL A     SOLE                  39360
  LEXMARK INTL GROUP INC CL A     SOLE                                            50
  LEXMARK INTL GROUP INC CL A     OTHER                 2150
  ELI LILLY                       SOLE                  23506
  ELI LILLY                       SOLE                                            25
  ELI LILLY                       OTHER                 250
  LINCARE HLD INC                 SOLE                  11800
  LINCARE HLD INC                 OTHER                 900
  LINCOLN ELECTRIC HOLDINGS       SOLE                  39525
  LINCOLN ELECTRIC HOLDINGS       OTHER                 11325
  LOCKHEED MARTIN CORP            SOLE                  15764
  LOOMIS SAYLES                   SOLE                  427130
  LOOMIS SAYLES                   SOLE                                            3727
  LOOMIS SAYLES                   OTHER                 260
  LOWES COS INC                   SOLE                  77132
  LOWES COS INC                   SOLE                                            250
  LOWES COS INC                   DEFINED               100
  LOWES COS INC                   OTHER                 2100
  LUCENT TECHNOLOGIES INC         SOLE                  86513
  LUCENT TECHNOLOGIES INC         DEFINED               376
  LUCENT TECHNOLOGIES INC         OTHER                 15968
  LUCENT TECHNOLOGIES INC         DEF/OTH               800
  MCI WORLDCOM                    SOLE                  109322
  MCI WORLDCOM                    SOLE                               150
  MCI WORLDCOM                    SOLE                                            75
  MCI WORLDCOM                    DEFINED               450
  MCI WORLDCOM                    OTHER                 12962
  MFS                             SOLE                  592153
  MFS SER TR III HIGH INCOME FD   SOLE                  1070385
  MFS SER TR III HIGH INCOME FD   OTHER                 122819
  MMC NETWORKS INC                OTHER                 6800
  MTS SYS CORP                    SOLE                  4500
  MTS SYS CORP                    OTHER                 9000
  MACROMEDIA INC                  SOLE                  200
  MACROMEDIA INC                  OTHER                 5326
  MANULIFE FINANCIAL CORP         SOLE                  22001
  MARSH & MCLENNAN COS INC        SOLE                  12242
  MARSH & MCLENNAN COS INC        OTHER                 2900
  MARTIN MARIETTA MATERIALS, INC. SOLE                  41548
  MARTIN MARIETTA MATERIALS, INC. SOLE                                            60
  MARTIN MARIETTA MATERIALS, INC. OTHER                 5800
  MFS                             SOLE                  188518
  MFS                             OTHER                 103
  MCDONALDS CORP                  SOLE                  32660
  MCDONALDS CORP                  OTHER                 4500
  MCGRAW HILL INC                 SOLE                  21485
  MCGRAW HILL INC                 SOLE                                            50
  MCGRAW HILL INC                 DEFINED               200
  MCGRAW HILL INC                 OTHER                 700
  MEDIAONE GROUP INC              SOLE                  4516
  MEDIAONE GROUP INC              OTHER                 1546
  MEDTRONIC INC                   SOLE                  103706
  MEDTRONIC INC                   DEFINED               300
  MEDTRONIC INC                   OTHER                 137734
  MERCK & CO INC                  SOLE                  135212
  MERCK & CO INC                  SOLE                                            5200
  MERCK & CO INC                  OTHER                 41709
  MERCK & CO INC                  DEF/OTH               500
  MICROSOFT CORP                  SOLE                  72037
  MICROSOFT CORP                  OTHER                 22900
  MICROSOFT CORP                  OTHER                                           200
  MIDAMERICAN ENERGY HLDGS CO     SOLE                  2325
  MIDAMERICAN ENERGY HLDGS CO     OTHER                 10900
  MILACRON, INC.                  SOLE                  10000
  MILACRON, INC.                  SOLE                                            200
  MILACRON, INC.                  OTHER                 7300
  MINNESOTA MNG & MFG CO          SOLE                  6800
  MINNESOTA MNG & MFG CO          OTHER                 4450
  MODINE MFG                      SOLE                  20950
  MODINE MFG                      OTHER                 4900
  MOLEX INC                       SOLE                                            4375
  MONSANTO CO                     SOLE                  41080
  MONSANTO CO                     SOLE                                            75
  MONSANTO CO                     OTHER                 900
  MORGAN J P & CO INC             SOLE                  4840
  MORGAN J P & CO INC             OTHER                 200
  MORGAN J P & CO INC             DEF/OTH               200
  MORGAN ST DEAN WITTER           SOLE                  9814
  MORGAN ST DEAN WITTER           OTHER                 2425
  MORGAN STANLEY INSTITUTIONAL FD SOLE                  487252
  MORGAN STANLEY INSTITUTIONAL FD SOLE                               481
  MORGAN STANLEY INSTITUTIONAL FD SOLE                                            1021
  MORGAN STANLEY INSTITUTIONAL FD OTHER                 77423
  MORGAN STANLEY DEAN WITTER      SOLE                  25000
  MOTOROLA INC                    SOLE                  16300
  MOTOROLA INC                    OTHER                 10118
  FEDERATED                       SOLE                  2920321
  FEDERATED                       SOLE                                            8479
  FEDERATED                       OTHER                 243781
  MUTUAL RISK MANAGEMENT LTD      SOLE                  1934
  MUTUAL RISK MANAGEMENT LTD      OTHER                 10064
  FRANKLIN                        SOLE                  12025
  FRANKLIN                        SOLE                                            2760
  NACCO INDUSTRIES                SOLE                  26425
  NACCO INDUSTRIES                OTHER                 3850
  NEXTEL COMMUNICATIONS           SOLE                  10900
  NORFOLK SOUTHERN CORP           SOLE                  63400
  NORFOLK SOUTHERN CORP           OTHER                 7782
  NORTEL NETWORKS CORP            SOLE                  28495
  NORTEL NETWORKS CORP            SOLE                                            100
  NORTEL NETWORKS CORP            OTHER                 400
  OAKWOOD HOMES CORP              SOLE                  2500
  OAKWOOD HOMES CORP              OTHER                 13200
  OFFICE DEPOT INC                SOLE                  75821
  OFFICE DEPOT INC                SOLE                                            112
  OFFICEMAX INC                   SOLE                  139000
  OFFICEMAX INC                   OTHER                 41250
  OLD REP INTL CORP               SOLE                  19348
  OMNICOM GROUP INC COM           SOLE                                            2500
  OPTICAL COATING LABS INC        OTHER                 8100
  ORACLE SYSTEMS                  SOLE                  70162
  ORACLE SYSTEMS                  SOLE                                            450
  ORACLE SYSTEMS                  DEFINED               200
  ORACLE SYSTEMS                  OTHER                 12512
  ORACLE SYSTEMS                  DEF/OTH               750
  PIMCO                           SOLE                  464043
  PIMCO                           SOLE                                            4212
  PIMCO                           OTHER                 308
  PNC BANK CORP                   SOLE                  14346
  PNC BANK CORP                   OTHER                 3300
  PACIFIC CAPITAL                 SOLE                  56751
  PACIFIC CAPITAL                 SOLE                  75969
  INVESTMENT GRADE MUNI INCOME FD SOLE                  17
  PALM BEACH CNTY FLA HEALTH FACS SOLE                  300000
  PEOPLES BANK                    SOLE                  91525
  PEOPLES BANK                    OTHER                 5875
  PEOPLES BANK                    DEF/OTH               500
  PEPSICO INC                     SOLE                  82234
  PEPSICO INC                     SOLE                                            6000
  PEPSICO INC                     OTHER                 46370
  PEREGRINE SYSTEMS INC           OTHER                 3100
  PERKINELMER INC                 SOLE                  12800
  PERKINELMER INC                 OTHER                 9000
  PETROLEUM & RES CORP            SOLE                  57865
  PETROLEUM & RES CORP            OTHER                 27599
  PFIZER INC                      SOLE                  263848
  PFIZER INC                      SOLE                                            75
  PFIZER INC                      OTHER                 87690
  PFIZER INC                      DEF/OTH               900
  PHARMANETICS INC                SOLE                  16608
  PHILADELPHIA SUBN CORP          SOLE                  12165
  PHILADELPHIA SUBN CORP          OTHER                 4000
  PHILIP MORRIS COS INC           SOLE                  65616
  PHILIP MORRIS COS INC           OTHER                 20200
  PIEDMONT NAT GAS INC            SOLE                  18305
  PIEDMONT NAT GAS INC            OTHER                 3554
  PITNEY-BOWES INC                SOLE                  44297
  PITNEY-BOWES INC                SOLE                                            100
  PITNEY-BOWES INC                OTHER                 6950
  PLANTRONICS INC                 SOLE                  1000
  PLANTRONICS INC                 OTHER                 8400
  PRECISION CASTPARTS CORP        SOLE                  12850
  PRECISION CASTPARTS CORP        OTHER                 1700
  PRICE (T.ROWE) ASSOCIATES       SOLE                  529949
  PRICE (T.ROWE) ASSOCIATES       OTHER                 17000
  PROCTER & GAMBLE CO             SOLE                  35643
  PROCTER & GAMBLE CO             OTHER                 2600
  PROVIDIAN FINANCIAL CORP        SOLE                  175363
  PROVIDIAN FINANCIAL CORP        OTHER                 31996
  PRUDENTIAL MUNICIPAL BOND FD    DEFINED               21198
  PUBLIC SVC CO N C INC           SOLE                  12954
  PUTNAM                          SOLE                  26930
  QUINTILES TRANSNATIONAL CORP    SOLE                  33921
  QWEST COMMUNICATIONS INTL       SOLE                  16200
  QWEST COMMUNICATIONS INTL       OTHER                 100
  RF MICRO DEVICES                OTHER                 12000
  RAYTHEON CO                     SOLE                  5715
  RAYTHEON CO                     OTHER                 6320
  RELIASTAR FINL CORP             SOLE                  19485
  RELIASTAR FINL CORP             OTHER                 4600
  ROCKWELL INTL CORP NEW          SOLE                  2425
  ROCKWELL INTL CORP NEW          OTHER                 7232
  T ROWE PRICE                    SOLE                  64988
  T ROWE PRICE                    SOLE                                            2488
  T ROWE PRICE                    OTHER                 1926
  T ROWE PRICE                    SOLE                  10064
  T ROWE PRICE                    OTHER                 3683
  T. ROWE PRICE                   SOLE                  55330
  T. ROWE PRICE                   OTHER                 28
  T ROWE PRICE SMALL-CAP VALUE    SOLE                  69339
  T ROWE PRICE SMALL-CAP VALUE    SOLE                                            2620
  T ROWE PRICE SMALL-CAP VALUE    OTHER                 1956
  ROYAL DUTCH PETE CO             SOLE                  28455
  ROYAL DUTCH PETE CO             SOLE                                            50
  ROYAL DUTCH PETE CO             OTHER                 3900
  RUDDICK CORP                    SOLE                  54100
  RUDDICK CORP                    OTHER                 15650
  RYANS FAMILY STEAK HOUSES INC   SOLE                  128600
  RYANS FAMILY STEAK HOUSES INC   OTHER                 35750
  SBC COMMUNICATIONS INC          SOLE                  74258
  SBC COMMUNICATIONS INC          OTHER                 29712
  SBC COMMUNICATIONS INC          DEF/OTH               782
  S&P 500 DEPOSITORY RECEIPT      SOLE                  21247
  ST PAUL COS INC                 SOLE                  20971
  ST PAUL COS INC                 OTHER                 1000
  SARA LEE CORP                   SOLE                  8200
  SARA LEE CORP                   OTHER                 5600
  SCHERING PLOUGH CORP            SOLE                  18224
  SCHERING PLOUGH CORP            OTHER                 3352
  SCHLUMBERGER LTD                SOLE                  44929
  SCHLUMBERGER LTD                SOLE                                            4125
  SCHLUMBERGER LTD                OTHER                 7150
  SCUDDER                         SOLE                  10952
  SELIGMAN                        SOLE                  13402
  SEQUOIA                         OTHER                                           24527
  SMITHKLINE BEECHAM PLC ADR      SOLE                  2600
  SMITHKLINE BEECHAM PLC ADR      OTHER                 800
  SONOCO PRODS CO                 SOLE                  48989
  SONOCO PRODS CO                 OTHER                 7940
  SOUTHERN CAPITAL TRUST I        OTHER                 10000
  SOUTHERN CO                     SOLE                  11950
  SOUTHERN CO                     OTHER                 920
  SOUTHERN CO                     DEF/OTH               832
  SPRINT CORP                     SOLE                  42855
  SPRINT CORP                     SOLE                                            100
  SPRINT CORP                     OTHER                 17352
  SPRINT CORP                     SOLE                  4803
  SPRINT CORP                     OTHER                 4287
  STAPLES INC                     SOLE                  71962
  STAPLES INC                     SOLE                                            100
  STAPLES INC                     DEFINED               300
  STAPLES INC                     OTHER                 13475
  STARWOOD HOTELS & RESORTS       SOLE                  4674
  STARWOOD HOTELS & RESORTS       OTHER                 4800
  STATE STREET CORP               OTHER                 6000
  STRONG                          SOLE                  41064
  STRONG                          SOLE                                            8312
  STRYKER CORP                    SOLE                  10860
  STRYKER CORP                    OTHER                 44070
  SUN MICROSYSTEMS INC            SOLE                  35140
  SUN MICROSYSTEMS INC            OTHER                 1076
  SUNGARD DATA SYSTEMS INC        SOLE                  70121
  SUNGARD DATA SYSTEMS INC        SOLE                                            150
  SUNGARD DATA SYSTEMS INC        OTHER                 3500
  SUNTRUST BANKS INC              SOLE                  15504
  SUNTRUST BANKS INC              OTHER                 5822
  SYMANTEC CORP                   SOLE                  49525
  SYMANTEC CORP                   OTHER                 10825
  SYNOVUS FINL CORP               SOLE                  143325
  SYNOVUS FINL CORP               OTHER                 49177
  SYSTEMAX INC                    SOLE                  113225
  SYSTEMAX INC                    OTHER                 36675
  TECO ENERGY INC                 SOLE                  31361
  TECO ENERGY INC                 OTHER                 9535
  TELLABS, INC                    SOLE                  15450
  TELLABS, INC                    OTHER                 4900
  TENN VALLEY AUTHORITY           SOLE                  83750
  TEXACO INC                      SOLE                  7738
  TEXACO INC                      OTHER                 4500
  TEXACO INC                      DEF/OTH               203
  TEXAS INSTRUMENT INC            OTHER                 2400
  THOMAS & BETTS CORP             SOLE                  400
  THOMAS & BETTS CORP             OTHER                 7200
  3COM CORP                       SOLE                  4048
  3COM CORP                       OTHER                 24000
  TOSCO CORP                      SOLE                  63005
  TOSCO CORP                      SOLE                                            200
  TOSCO CORP                      OTHER                 400
  TOWER AUTOMOTIVE INC            SOLE                  118159
  TOWER AUTOMOTIVE INC            SOLE                                            100
  TOWER AUTOMOTIVE INC            OTHER                 9400
  TRANSWITCH CORP                 OTHER                 3900
  TRI CONTL CORP                  SOLE                  424161
  TRI CONTL CORP                  OTHER                 17702
  TRIANGLE BANCORP INC            SOLE                  37449
  TRIANGLE BANCORP INC            OTHER                 1312
  TRICON GLOBAL RESTAURANTS       SOLE                  4864
  TRICON GLOBAL RESTAURANTS       OTHER                 3780
  OAK VALUE FD                    OTHER                                           18626
  TYCO INTERNATIONAL LTD          SOLE                  129170
  TYCO INTERNATIONAL LTD          SOLE                               100
  TYCO INTERNATIONAL LTD          SOLE                                            74
  TYCO INTERNATIONAL LTD          DEFINED               300
  TYCO INTERNATIONAL LTD          OTHER                 10790
  UST INC                         SOLE                  23225
  UNILEVER N V NEW YORK SHS       SOLE                  490
  UNILEVER N V NEW YORK SHS       OTHER                 5000
  U S WEST INC                    SOLE                  25715
  U S WEST INC                    OTHER                 5601
  UNITED STATES TREASURY          SOLE                  535000
  U.S. TRUST CORP                 SOLE                  1881
  U.S. TRUST CORP                 OTHER                 3763
  UNITED TECHNOLOGIES CORP        SOLE                  39439
  UNITED TECHNOLOGIES CORP        SOLE                                            50
  UNITED TECHNOLOGIES CORP        OTHER                 2400
  UNIVERSAL HEALTH SVCS INC       SOLE                  600
  UNIVERSAL HEALTH SVCS INC       OTHER                 18200
  UNUMPROVIDENT CORP              SOLE                  32073
  UNUMPROVIDENT CORP              SOLE                                            54
  VAN KAMP MUNI INC TR            SOLE                  3
  VANGUARD                        SOLE                  111023
  VANGUARD                        SOLE                                            1092
  VANGUARD                        OTHER                 3232
  VANGUARD                        SOLE                  9068
  VANGUARD                        DEF/OTH               3044
  VANGUARD                        OTHER                 77810
  VANGUARD                        SOLE                  482180
  VANGUARD                        SOLE                                            4252
  VANGUARD                        OTHER                 311
  VANGUARD                        SOLE                  25183
  VANGUARD                        DEFINED               5580
  VANGUARD                        OTHER                 13298
  VANGUARD                        SOLE                  28545
  VANGUARD                        SOLE                                            343
  VANGUARD                        OTHER                 3494
  VANGUARD                        OTHER                                           16237
  VIACOM INC                      SOLE                  3562
  VODAFONE GROUP PLC-SPONS ADR    SOLE                  8855
  VODAFONE GROUP PLC-SPONS ADR    OTHER                 5240
  VODAFONE GROUP PLC-SPONS ADR    DEF/OTH               635
  WACHOVIA CORP                   SOLE                  11883
  WACHOVIA CORP                   OTHER                 19536
  WAL-MART STORES                 SOLE                  5300
  WAL-MART STORES                 OTHER                 1600
  WALGREEN CO                     SOLE                  20690
  WALGREEN CO                     SOLE                                            100
  WALGREEN CO                     OTHER                 7000
  WALLACE COMPUTER SERVICES INC   SOLE                  10925
  WARNER LAMBERT CO               SOLE                  65748
  WARNER LAMBERT CO               SOLE                                            25
  WARNER LAMBERT CO               OTHER                 325
  WASHINGTON MUTUAL INC           SOLE                  74338
  WASHINGTON MUTUAL INC           SOLE                                            100
  WASHINGTON MUTUAL INC           OTHER                 3560
  WASHINGTON POST CO              OTHER                                           1200
  WATSON PHARMACEUTICAL INC       SOLE                  62130
  WATSON PHARMACEUTICAL INC       SOLE                                            50
  WATSON PHARMACEUTICAL INC       OTHER                 2800
  WELLS FARGO COMPANY             DEFINED               21250
  WELLS FARGO COMPANY             OTHER                 5600
  WEST MARINE INC                 SOLE                  65350
  WEST MARINE INC                 OTHER                 10675
  WHIRLPOOL CORP                  SOLE                  9650
  WINN DIXIE STORES INC           SOLE                  6942
  WINN DIXIE STORES INC           OTHER                 5000
  WRIGLEY (WM) JR CO              SOLE                  4250
  WRIGLEY (WM) JR CO              OTHER                 1700
  XILINX INC                      SOLE                  1200
  XILINX INC                      OTHER                 13200
  XEROX CORP                      SOLE                  21974
  XEROX CORP                      OTHER                 9000
  SAP AG PREF SHS VORZUG          SOLE                  200
  SAP AG PREF SHS VORZUG          OTHER                 2250
  ROCHE HOLDING                   SOLE                  280
  GILAT SATELLITE NETWORKS LTD    SOLE                  600
  GILAT SATELLITE NETWORKS LTD    OTHER                 4100
  MEDICAL PRODUCTS SEARCH, INC.   SOLE                  15000
  ELECTRIC SUPPLY CO. OF NC, INC. OTHER                                           37228
  PETERSBURG MOTOR COMPANY, INC.  SOLE                  4590
</TABLE>


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