UNITED NATIONAL BANK /NJ/
13F-HR, 2001-01-08
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                      UNITED STATES
                  SECURITIES AND EXCHANGE COMMISSION
                        Washington, D.C.  20549

                              FORM 13F

                        FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/00

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

Institutional Investment Manager Filing this Report:

Name:    UNITED NATIONAL BANK /NJ/
Address: 1130 RT 22 EAST    P O BOX 6000

         BRIDGEWATER, NJ 08807-0010

13F File Number:

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 integral parts of
this form.


Person Signing this Report on Behalf of Reporting Manager:

Name:     WILLIAM M. PETERS
Title:    VP & CHIEF INV. OFFICER
Phone:    (908) 429-2304
Signature, Place, and Date of Signing:

    UNITED NATIONAL BANK /NJ/  BRIDGEWATER, NJ


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:      352

Form 13F Information Table Entry Total:       $671,531



List of Other Included Managers:

NONE


<PAGE>
<TABLE>                        <C>                                            <C>
                                                                FORM 13F INFORMATION TABLE
                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (x$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
------------------------------ ---------------- --------- -------- --- ---  --- ---- ------- ------------- ------- --------- ------
AES CORPORATION                COM              00130H105     4249    85100 SH       SOLE                    84100              1000
AES CORPORATION                COM              00130H105      202     4050 SH       DEFINED                  2750     1100      200
AT&T CORP                      COM              001957109      288    14323 SH       SOLE                    14323
AT&T CORP                      COM              001957109      363    18082 SH       DEFINED                 18082
AT&T CORP NT                   CONV DEB         001957AP4      201   200000 PRN      DEFINED                200000
AT&T CORP                      CONV DEB         001957AU3      707   740000 PRN      SOLE                   740000
AT&T CORP                      CONV DEB         001957AV1      494   550000 PRN      SOLE                   550000
ABBOTT LABS                    COM              002824100     1157    24600 SH       SOLE                    24600
ABBOTT LABS                    COM              002824100       65     1400 SH       DEFINED                  1000      400
AETNA INC                      CONV DEB         008117AC7      102   100000 PRN      SOLE                   100000
AETNA INC                      CONV DEB         008117AC7      102   100000 PRN      DEFINED                         100000
ALLSTATE CORP                  CONV DEB         020002AL5      687   650000 PRN      SOLE                   650000
ALLSTATE CORP                  CONV DEB         020002AL5       26    25000 PRN      DEFINED                 25000
AMERICAN EXPRESS CO            COM              025816109     1055    18864 SH       SOLE                    18864
AMERICAN EXPRESS CO CAP TRUST  CONV PFD         02583Y205      615    25000 SH       SOLE                    25000
AMERICAN HOME PRODS CORP       COM              026609107     6271   106379 SH       SOLE                   106379
AMERICAN HOME PRODS CORP       COM              026609107     5470    92803 SH       DEFINED                 89303     3500
AMERICAN INTL GROUP INC        COM              026874107    13390   139570 SH       SOLE                   138720               850
AMERICAN INTL GROUP INC        COM              026874107     1842    19203 SH       DEFINED                 17503     1700
APPLE COMPUTER INC NTS         CONV DEB         037833AA8      455   500000 PRN      SOLE                   500000
AUTOMATIC DATA PROCESSING      COM              053015103     1099    18100 SH       SOLE                    18100
AUTOMATIC DATA PROCESSING      COM              053015103      722    11900 SH       DEFINED                 10100     1800
AVNET INCORPORATED             CONV DEB         053807AF0      276   280000 PRN      SOLE                   280000
AVNET INCORPORATED             CONV DEB         053807AF0       98   100000 PRN      DEFINED                         100000
BP AMOCO PLC                   COM              055622104     1071    22380 SH       SOLE                    22380
BP AMOCO PLC                   COM              055622104     1915    40012 SH       DEFINED                 38612     1400
BP AMER INC GEN TERM NTS SR NT CONV DEB         055625AN7       25    25000 PRN      SOLE                    25000
BP AMER INC GEN TERM NTS SR NT CONV DEB         055625AN7      257   250000 PRN      DEFINED                250000
BANC ONE CORP                  CONV DEB         059438AF8      314   310000 PRN      SOLE                   310000
BANC ONE CORP                  CONV DEB         059438AF8      101   100000 PRN      DEFINED                100000
BANK OF AMERICA CORPORATION    COM              060505104       54     1100 SH       SOLE                     1100
BANK OF AMERICA CORPORATION    COM              060505104      186     3737 SH       DEFINED                  3737
BANK OF BOSTON CORP            CONV DEB         060716AX5      504   500000 PRN      SOLE                   500000
BANK OF BOSTON CORP            CONV DEB         060716AX5      100   100000 PRN      DEFINED                100000
BANK OF BOSTON CORP            CONV DEB         060716BR7      411   410000 PRN      SOLE                   410000
BANK NEW YORK INC              COM              064057102     1093    19534 SH       SOLE                    19534
BANK OF NEW YORK               CONV DEB         06406JAG0      488   500000 PRN      SOLE                   500000
BANK AMERICA CORP SUB NT       CONV DEB         066050BP9      926   910000 PRN      SOLE                   910000
BANK AMERICA CORP              CONV DEB         066050BQ7      511   500000 PRN      SOLE                   500000
BANK AMERICA CORP              CONV DEB         066050BS3       71    70000 PRN      SOLE                    70000
BANK AMERICA CORP              CONV DEB         066050BS3      229   225000 PRN      DEFINED                225000
BANKAMERICA CORP               CONV DEB         066050BV6      405   400000 PRN      SOLE                   400000
BANK AMERICA CORP              CONV DEB         066050BW4      219   215000 PRN      SOLE                   215000
BANKAMERICA CORP NOTE          CONV DEB         066050BY0      257   255000 PRN      SOLE                   255000
BANK AMERICA CORP NTS          CONV DEB         066050CB9      883   860000 PRN      SOLE                   860000
BANKERS TR NY CORP             CONV DEB         066365BD8      253   250000 PRN      SOLE                   250000
BANKERS TRUST NY CORP          CONV DEB         066365BF3      515   510000 PRN      SOLE                   510000
BANKERS TRUST                  CONV DEB         066365BW6      499   500000 PRN      SOLE                   500000
BANKERS TRUST                  CONV DEB         066365BY2      254   250000 PRN      SOLE                   250000
BANKERS TRUST                  CONV DEB         066365BY2      101   100000 PRN      DEFINED                         100000
BEAR STEARNS COS INC           CONV DEB         073902AM0      596   600000 PRN      SOLE                   600000
BEAR STEARNS COS INC           CONV DEB         073902AM0      198   200000 PRN      DEFINED                200000
BEAR STEARNS CO                CONV DEB         073902AZ1      496   500000 PRN      SOLE                   500000
BEAR STEARNS CO                CONV DEB         073902AZ1       99   100000 PRN      DEFINED                         100000
BEAR STEARNS COS INC           CONV DEB         073902BM9      259   265000 PRN      SOLE                   265000
BELLSOUTH CORPORATION          COM              079860102     2251    52350 SH       SOLE                    50350              2000
BELLSOUTH CORPORATION          COM              079860102      825    19208 SH       DEFINED                 16860     2348
BOSTON EDISON COMPANY          CONV DEB         100599BJ7      503   500000 PRN      SOLE                   500000
BOSTON SCIENTIFIC CORP         COM              101137107      184    13660 SH       DEFINED                 13660
BRISTOL MYERS SQUIBB CO.       COM              110122108     5448    81542 SH       SOLE                    81542
BRISTOL MYERS SQUIBB CO.       COM              110122108     7933   118735 SH       DEFINED                106655    12080
BROADCOM CORP                  COM              111320107     3066    28675 SH       SOLE                    28675
BROADCOM CORP                  COM              111320107       32      300 SH       DEFINED                            200      100
BURLINGTON NORTHERN SANTA FE C COM              12189T104      193     6720 SH       SOLE                     6720
BURLINGTON NORTHERN SANTA FE C COM              12189T104      137     4755 SH       DEFINED                  4755
CIGNA                          CONV DEB         125509AF6      304   300000 PRN      SOLE                   300000
CIGNA CORPORATION              CONV DEB         125509BA6      202   200000 PRN      SOLE                   200000
CITIGROUP INCORPORATED         CONV DEB         125569DQ3      210   210000 PRN      SOLE                   210000
CITIGROUP INCORPORATED         CONV DEB         125569DQ3      100   100000 PRN      DEFINED                         100000
CIT GROUP INC                  CONV DEB         125577AD8      600   600000 PRN      SOLE                   600000
CIT GROUP INC                  CONV DEB         125577AD8      100   100000 PRN      DEFINED                100000
CNA FINANCIAL CORP             CONV DEB         126117AK6     1101  1235000 PRN      SOLE                  1235000
CHASE MANHATTAN CORP           COM              16161A108    10492   238473 SH       SOLE                   236723              1750
CHASE MANHATTAN CORP           COM              16161A108     2059    46799 SH       DEFINED                 42654     4145
CHASE MANHATTAN COR            CONV DEB         16161AAP3      706   700000 PRN      SOLE                   700000
CHASE MANHATTAN COR            CONV DEB         16161ABJ6      525   500000 PRN      SOLE                   500000
CHASE MANHATTAN COR            CONV DEB         16161ABJ6      105   100000 PRN      DEFINED                100000
CHASE MANHATTAN CORP           CONV DEB         16161NBF6      718   700000 PRN      SOLE                   700000
CHASE MANHATTAN CORPORATION    CONV DEB         16161NBJ8      307   300000 PRN      SOLE                   300000
CHASE MANHATTAN CORPORATION    CONV DEB         16161NBJ8      102   100000 PRN      DEFINED                100000
CHEVRON CORP                   COM              166751107     1335    16164 SH       SOLE                    16164
CHEVRON CORP                   COM              166751107      339     4108 SH       DEFINED                  4108
CISCO SYSTEMS                  COM              17275R102    22776   551305 SH       SOLE                   549505              1800
CISCO SYSTEMS                  COM              17275R102     3267    79100 SH       DEFINED                 71600     7000      500
CITIGROUP INC                  COM              172967101    17117   311583 SH       SOLE                   310317              1266
CITIGROUP INC                  COM              172967101     3159    57512 SH       DEFINED                 46054    11458
CITICORP                       CONV DEB         173034GK9      512   500000 PRN      SOLE                   500000
CITICORP 7.5% DUE 8/25/10      CONV DEB         17303MDL0      399   400000 PRN      SOLE                   400000
CITICORP SUB MED TERM NOTES    CONV DEB         17303MDS5      491   500000 PRN      SOLE                   500000
CITICORP MED TERM NOTE         CONV DEB         17303MFD6      648   650000 PRN      SOLE                   650000
CITIGROUP CAPITAL V PREFERRED  CONV PFD         17306K209      248    10000 SH       SOLE                    10000
CITIZENS UTILITIES CO          CONV DEB         177342AJ1      290   300000 PRN      SOLE                   300000
CITIZENS UTILITIES CO          CONV DEB         177342AJ1       48    50000 PRN      DEFINED                 50000
COCA COLA CO                   COM              191216100      586     9900 SH       SOLE                     9900
COCA COLA CO                   COM              191216100      266     4500 SH       DEFINED                  4500
COCA COLA ENTERPRISES INC NT   CONV DEB         191219AM6      406   400000 PRN      SOLE                   400000
COCA COLA ENTERPRISES          CONV DEB         191219BB9      244   245000 PRN      SOLE                   245000
COCA-COLA ENTERPRISES          CONV DEB         191219BF0      287   300000 PRN      SOLE                   300000
COLGATE PALMOLIVE CO           COM              194162103     1810    30120 SH       SOLE                    30120
COLGATE PALMOLIVE CO           COM              194162103      414     6900 SH       DEFINED                  5100     1800
COLGATE-PALMOLIVE CO           CONV DEB         19416QCQ1      651   650000 PRN      SOLE                   650000
COMPAQ COMPUTER CORP.          CONV DEB         204493AF7      398   400000 PRN      SOLE                   400000
CONSOLIDATED NATURAL GAS CO    CONV DEB         209615BM4      246   250000 PRN      SOLE                   250000
CORESTATES CAPITAL CORP        CONV DEB         218693AH2      221   225000 PRN      SOLE                   225000
DEAN WITTER DISCOVER & CO.     CONV DEB         24240VAC5      252   250000 PRN      SOLE                   250000
DEERE & COMPANY                CONV DEB         244199AY1      430   400000 PRN      SOLE                   400000
DELL COMPUTER CO.              COM              247025109     1217    60850 SH       SOLE                    59250              1600
DELL COMPUTER CO.              COM              247025109      278    13900 SH       DEFINED                 12200     1700
DEVEL. DIVERSIFIED REALTY      CONV PFD         251591509      242    11000 SH       SOLE                    11000
WALT DISNEY PRODTNS            COM              254687106      181     5850 SH       SOLE                     5850
WALT DISNEY PRODTNS            COM              254687106       46     1500 SH       DEFINED                  1500
DOLE FOOD INC.                 CONV DEB         256605AB2      283   300000 PRN      SOLE                   300000
DOW CHEM CO                    COM              260543103      272     7750 SH       SOLE                     7750
DOW CHEM CO                    COM              260543103       42     1200 SH       DEFINED                  1200
DU PONT E I DE NEMOURS & CO    COM              263534109      462     9653 SH       SOLE                     9653
DU PONT E I DE NEMOURS & CO    COM              263534109      459     9586 SH       DEFINED                  9586
DU PONT E I DE NEMOURS & CO    CONV DEB         263534AY5      211   200000 PRN      SOLE                   200000
EMC CORP                       COM              268648102    34189   504177 SH       SOLE                   502577              1600
EMC CORP                       COM              268648102     2912    42950 SH       DEFINED                 39500     3050      400
EASTMAN KODAK CO               COM              277461109      233     5771 SH       DEFINED                  5771
ENRON CORP                     COM              293561106    10426   138900 SH       SOLE                   138000               900
ENRON CORP                     COM              293561106     1223    16300 SH       DEFINED                 13950     2150      200
ENTERGY LOUISIANA, INC.        CONV DEB         29364MAA8      493   500000 PRN      SOLE                   500000
EXXON MOBIL CORP               COM              30231G102    19991   234510 SH       SOLE                   234410               100
EXXON MOBIL CORP               COM              30231G102    15098   177103 SH       DEFINED                171223     5880
FIFTH THIRD BANCORP            COM              316773100     1200    20100 SH       SOLE                    20100
FIFTH THIRD BANCORP            COM              316773100      316     5300 SH       DEFINED                  5300
FIRST DATA CORPORATION         CONV DEB         32006YAG7      399   400000 PRN      SOLE                   400000
FIRST UNION CORPORATION        CONV DEB         337358DQ5      335   325000 PRN      SOLE                   325000
FLEET/NORSTAR FINL             CONV DEB         339018AF0      319   295000 PRN      SOLE                   295000
FLEET NATIONAL BANK            CONV DEB         33901LAA2      278   300000 PRN      SOLE                   300000
FLEET-BOSTON FINANCIAL CORPORA CONV DEB         339030AB4      258   250000 PRN      SOLE                   250000
FORD MOTOR COMPANY             COM              345370860     1784    71029 SH       SOLE                    69131              1898
FORD MOTOR COMPANY             COM              345370860      608    24202 SH       DEFINED                 21792     2410
FORD MOTOR CREDIT CO           CONV DEB         345397GN7      766   750000 PRN      SOLE                   750000
FORD MOTOR CREDIT              CONV DEB         345397GS6      508   500000 PRN      SOLE                   500000
FORD MOTOR CREDIT              CONV DEB         345397GV9      546   550000 PRN      SOLE                   550000
FORD MOTOR CREDIT CO           CONV DEB         345397RR6      449   450000 PRN      SOLE                   450000
FORD MOTOR CREDIT CO           CONV DEB         345397RR6       99   100000 PRN      DEFINED                100000
FORD MOTOR CREDIT CO           CONV DEB         345397SD6      451   455000 PRN      SOLE                   455000
FORD MOTOR CREDIT CO           CONV DEB         345402YC9      502   500000 PRN      SOLE                   500000
GTE HAWAIIAN TELEPHONE         CONV DEB         362335AD3      516   500000 PRN      SOLE                   500000
GTE NORTH INC.                 CONV DEB         362337AM9      297   320000 PRN      SOLE                   320000
GTE SOUTH INC.                 CONV DEB         36233TAH2      339   350000 PRN      SOLE                   350000
GANNETT CO, INC                COM              364730101      276     4300 SH       SOLE                     4300
GAP INC                        COM              364760108      913    30127 SH       SOLE                    29127              1000
GAP INC                        COM              364760108      130     4300 SH       DEFINED                  3900      200      200
GAP INCORPORATED               CONV DEB         364760AA6      669   700000 PRN      SOLE                   700000
GENERAL ELEC CO                COM              369604103    44219   924852 SH       SOLE                   922302              2550
GENERAL ELEC CO                COM              369604103    28048   586634 SH       DEFINED                559234    27400
GENERAL ELECTRIC CAP GE        CONV DEB         36962GSX3      497   500000 PRN      SOLE                   500000
GENERAL ELECTRIC CAP CORP      CONV DEB         36962GTH7     1113  1100000 PRN      SOLE                  1100000
GENERAL ELECTRIC CAP CORP      CONV DEB         36962GUK8      303   300000 PRN      SOLE                   300000
GENERAL ELECTRIC CAP CORP      CONV DEB         36962GUL6      216   200000 PRN      SOLE                   200000
GENERAL ELECTRIC CAPITAL CORP  CONV DEB         36962GUP7      304   300000 PRN      SOLE                   300000
GENERAL ELECTRIC CAPITAL CORPO CONV DEB         36962GVE1      201   200000 PRN      SOLE                   200000
GENERAL ELECTRIC CAPITAL CORP  CONV DEB         36962GVF8      409   400000 PRN      SOLE                   400000
GENERAL ELECTRIC CAP CORP      CONV DEB         36962GVK7      406   400000 PRN      SOLE                   400000
GENERAL MOTORS ACCEPTANCE CORP CONV DEB         370424CK7      298   300000 PRN      SOLE                   300000
GENERAL MTRS ACCEPT CORP       CONV DEB         370424GL1      212   210000 PRN      SOLE                   210000
GENERAL MOTORS ACCEP CORP      CONV DEB         370424GR8      519   500000 PRN      SOLE                   500000
GENERAL MOTORS ACCEPT CORP     CONV DEB         370425RG7      285   300000 PRN      SOLE                   300000
GENERAL MOTORS ACCEPTANCE CORP CONV DEB         370425RP7      328   320000 PRN      SOLE                   320000
GENERAL MOTORS ACCEPTANCE CORP CONV DEB         37042FVZ8      266   275000 PRN      SOLE                   275000
GENERAL MOTORS ACCEPTANCE CORP CONV DEB         37042GGL4      399   400000 PRN      SOLE                   400000
GENERAL MOTORS                 COM              370442105      443     8097 SH       SOLE                     8097
GENERAL MOTORS                 COM              370442105      277     5070 SH       DEFINED                  5070
GREAT WESTERN FIN'L TR. I      CONV PFD         39141F203      250    10000 SH       SOLE                    10000
ITT HARTFORD CAPITAL PFD       CONV PFD         416315208      337    13600 SH       SOLE                    13600
HELLER FINANCIAL NOTES         CONV DEB         423328BG7      299   300000 PRN      SOLE                   300000
HEWLETT-PACKARD                COM              428236103      579    17000 SH       SOLE                    17000
HEWLETT-PACKARD                COM              428236103      286     8400 SH       DEFINED                  8400
HOME DEPOT INC                 COM              437076102     9921   192880 SH       SOLE                   191980               900
HOME DEPOT INC                 COM              437076102     1779    34600 SH       DEFINED                 29300     4900      400
HONEYWELL INTL INC             COM              438516106      705    14662 SH       SOLE                    14662
HONEYWELL INTL INC             COM              438516106      346     7200 SH       DEFINED                  6700      500
HOUSEHOLD FINANCE              CONV DEB         441812FT6      625   615000 PRN      SOLE                   615000
HOUSEHOLD FINANCE CORP         CONV DEB         441812GJ7      506   500000 PRN      SOLE                   500000
I.E.S. UTLITIES INC.           CONV PFD         44949R508      243    10000 SH       SOLE                    10000
INGERSOLL-RAND                 CONV DEB         45686XCG6      101   100000 PRN      SOLE                   100000
INGERSOLL-RAND                 CONV DEB         45686XCG6      101   100000 PRN      DEFINED                         100000
INTEL CORP                     COM              458140100     7005   204634 SH       SOLE                   202434              2200
INTEL CORP                     COM              458140100     2580    75380 SH       DEFINED                 66380     8400      600
IBM                            COM              459200101      760     8038 SH       SOLE                     8038
IBM                            COM              459200101      739     7818 SH       DEFINED                  6518     1300
INTERNATIONAL BUSINESS MACHINE CONV DEB         459200AJ0      511   500000 PRN      SOLE                   500000
IBM CORPORATION                CONV DEB         45920QBM5      278   300000 PRN      SOLE                   300000
J P MORGAN CHASE & CO COM      COM              46625H100      237    19925 SH       SOLE                    19925
J P MORGAN CHASE & CO COM      COM              46625H100      204    19341 SH       DEFINED                 17313     2028
JOHNSON & JOHNSON              COM              478160104    27846   281985 SH       SOLE                    77385            204600
JOHNSON & JOHNSON              COM              478160104    23487   237847 SH       DEFINED                174560    63287
LEHMAN BROS HOLDINGS INC       CONV DEB         524908CK4      629   600000 PRN      SOLE                   600000
LEHMAN BROTHERS INC            CONV DEB         524909BB3      303   300000 PRN      SOLE                   300000
LEHMAN BROTHERS HOLDINGS       CONV DEB         52517PPZ8      301   300000 PRN      SOLE                   300000
LEHMAN BROTHERS HOLDINGS       CONV DEB         52517PQT1      506   500000 PRN      SOLE                   500000
LILY ELI & CO                  COM              532457108       86     1000 SH       SOLE                     1000
LILY ELI & CO                  COM              532457108     1084    12560 SH       DEFINED                 12560
LIMITED INC NT                 CONV DEB         532716AE7      505   500000 PRN      SOLE                   500000
LIMITED INC NT                 CONV DEB         532716AE7      252   250000 PRN      DEFINED                250000
LUCENT TECHNOLOGIES            COM              549463107     1604   105633 SH       SOLE                   103369              2264
LUCENT TECHNOLOGIES            COM              549463107      599    39468 SH       DEFINED                 35040     4428
LUCENT TECHNOLOGIES            CONV DEB         549463AB3      326   350000 PRN      SOLE                   350000
LUCENT TECHNOLOGIES            CONV DEB         54946EAD5      287   300000 PRN      SOLE                   300000
MBNA CORP                      COM              55262L100     6255   164608 SH       SOLE                   163308              1300
MBNA CORP                      COM              55262L100     1356    35700 SH       DEFINED                 31900     3800
MCI CORP 8.0% PFD.             CONV PFD         55267Y206      351    14600 SH       SOLE                    14600
MCCORMICK SUB NT               CONV DEB         579780AB3      252   250000 PRN      SOLE                   250000
MCGRAW-HILL COMPANIES          COM              580645109      458     8000 SH       SOLE                     8000
MCGRAW-HILL COMPANIES          COM              580645109      372     6500 SH       DEFINED                  5200     1300
MEDTRONIC, INC                 COM              585055106     8382   142373 SH       SOLE                   140973              1400
MEDTRONIC, INC                 COM              585055106      986    16750 SH       DEFINED                 14250     2100      400
MELLON BANK SUB NOTES          CONV DEB         585907AF5      277   275000 PRN      SOLE                   275000
MELLON BANK SUB NOTES          CONV DEB         585907AF5      100   100000 PRN      DEFINED                100000
MERCK & CO INC                 COM              589331107    52657   590830 SH       SOLE                   236161            354669
MERCK & CO INC                 COM              589331107     9480   106378 SH       DEFINED                100950     4600      828
MERRILL LYNCH & CO INC         CONV DEB         590188DY1      310   300000 PRN      SOLE                   300000
MERRILL LYNCH                  CONV DEB         590188ES3      655   650000 PRN      SOLE                   650000
MERRILL LYNCH & CO             CONV DEB         590188JP4      283   300000 PRN      SOLE                   300000
MERRILL LYNCH                  CONV DEB         59018S5X8      504   500000 PRN      SOLE                   500000
MERRILL LYNCH                  CONV DEB         59018SY24      437   445000 PRN      SOLE                   445000
MICROSOFT CORP                 COM              594918104     3191    66583 SH       SOLE                    65683               900
MICROSOFT CORP                 COM              594918104     1546    32250 SH       DEFINED                 28100     3250      900
MIDDLESEX WTR CO               COM              596680108      330    10560 SH       SOLE                    10560
MIDDLESEX WTR CO               COM              596680108        4      154 SH       DEFINED                   154
MINNESOTA MNG & MFG CO         COM              604059105      537     4566 SH       SOLE                     4566
MINNESOTA MNG & MFG CO         COM              604059105      412     3500 SH       DEFINED                  3300      200
J P MORGAN & CO SUB NTS        CONV DEB         616880BG4      266   275000 PRN      SOLE                   275000
MORGAN JP & CO INC             CONV DEB         616880BT6      294   300000 PRN      SOLE                   300000
MORGAN STANLEY DEAN WITTER     COM              617446448      814     9732 SH       SOLE                     9732
MORGAN STANLEY DEAN WITTER     COM              617446448       33      400 SH       DEFINED                   400
NABISCO INCORPORATED           CONV DEB         629527AS1      688   700000 PRN      SOLE                   700000
NABISCO INCORPORATED           CONV DEB         629527AS1      147   150000 PRN      DEFINED                100000    50000
NATIONAL FUEL & GAS COMPANY    CONV DEB         63618EAZ4      511   500000 PRN      SOLE                   500000
NATIONS BANK CORP SUB NOTES    CONV DEB         638585AJ8      259   250000 PRN      SOLE                   250000
NETWORK APPLIANCE INC          COM              64120L104    21333   333333 SH       SOLE                   332433               900
NETWORK APPLIANCE INC          COM              64120L104      518     8100 SH       DEFINED                  7500      300      300
NEW SKY COMMUNICATIONS         COM              648726107        1   100000 SH       SOLE                   100000
NEW YORK TIMES CO. NTS         CONV DEB         650111AA5     1054  1000000 PRN      SOLE                  1000000
NOKIA CORPORATION - SPON ADR   COM              654902204    10586   236901 SH       SOLE                   235601              1300
NOKIA CORPORATION - SPON ADR   COM              654902204     1291    28900 SH       DEFINED                 27700      800      400
NORTEL NETWORKS CORPORATION    COM              656568102     4998   143325 SH       SOLE                   142725               600
NORTEL NETWORKS CORPORATION    COM              656568102      540    15500 SH       DEFINED                 12700     2500      300
NORTHERN STATE PWR CO          CONV DEB         665772BM0      302   300000 PRN      SOLE                   300000
ORACLE SYSTEMS CORP.           COM              68389X105     1147    35858 SH       SOLE                    35558               300
ORACLE SYSTEMS CORP.           COM              68389X105      252     7900 SH       DEFINED                  4300     3600
ORANGE & ROCKLAND UTILITIES    CONV DEB         684065AZ8      521   500000 PRN      SOLE                   500000
ORANGE & ROCKLAND UTILITIES    CONV DEB         684065AZ8      104   100000 PRN      DEFINED                100000
PACIFIC GAS & ELEC NTS         CONV DEB         694308EA1      193   210000 PRN      SOLE                   210000
PACIFIC GAS & ELEC CO          CONV DEB         694308EW3      230   300000 PRN      SOLE                   300000
PACIFIC TELEPHONE & TELEGRAPH  CONV DEB         694886AR3      536   540000 PRN      SOLE                   540000
PACIFIC TELESIS FINANCING      CONV PFD         694887209      293    12000 SH       SOLE                    12000
PACIFICORP 8.25% PFD           CONV PFD         695115204      270    11000 SH       SOLE                    11000
PEPSICO INC                    COM              713448108      274     5900 SH       SOLE                     5900
PEPSICO INC                    COM              713448108      199     4300 SH       DEFINED                  4300
PFIZER INC                     COM              717081103    13647   313291 SH       SOLE                   312091              1200
PFIZER INC                     COM              717081103     1824    41887 SH       DEFINED                 39187     2700
PHARMACIA CORP COM             COM              71713U102     2119    37188 SH       SOLE                    37188
PHARMACIA CORP COM             COM              71713U102      433     7600 SH       DEFINED                  7100      500
PHILIP MORRIS COMPANIES        COM              718154107      326     7733 SH       SOLE                     7733
PHILIP MORRIS CO INC NTS       CONV DEB         718154BQ9      525   525000 PRN      SOLE                   525000
PHILIP MORRIS                  CONV DEB         718154BU0      331   330000 PRN      SOLE                   330000
PHILIP MORRIS CO.              CONV DEB         718154BV8      550   550000 PRN      SOLE                   550000
PHILIP MORRIS                  CONV DEB         718154BW6      160   160000 PRN      SOLE                   160000
PHILIP MORRIS                  CONV DEB         718154BW6       65    65000 PRN      DEFINED                  5000    50000    10000
PHILLIPS PETE CO               COM              718507106       97     1750 SH       SOLE                     1750
PHILLIPS PETE CO               COM              718507106      138     2500 SH       DEFINED                  2500
POTOMAC ELECTRIC POWER         CONV DEB         737679CM0      399   400000 PRN      SOLE                   400000
PRESIDENTIAL RLTY CORP CLASS B COM              741004204      146    26100 SH       DEFINED                          26100
PROCTER & GAMBLE CO            COM              742718109     1020    13680 SH       SOLE                    13680
PROCTER & GAMBLE CO            COM              742718109     2182    29244 SH       DEFINED                 28844      400
PROVIDIAN FINL CORP COM        COM              74406A102      215     3600 SH       SOLE                     3600
PROVIDIAN FINL CORP COM        COM              74406A102       35      600 SH       DEFINED                   200      400
PUBLIC SERVICE ELECTRIC & GAS  CONV DEB         74456QAH9     1020  1000000 PRN      SOLE                  1000000
QUALCOMM INC                   COM              747525103      336     4000 SH       DEFINED                  4000
QWEST COMMUNICATIONS           COM              749121109      511    11755 SH       SOLE                    11755
QWEST COMMUNICATIONS           COM              749121109      143     3304 SH       DEFINED                  3304
REPUBLIC NEW YORK CORP SUB NT  CONV DEB         760719AT1      253   250000 PRN      SOLE                   250000
SBC COMMUNICATION              COM              78387G103     1512    29653 SH       SOLE                    29368               285
SBC COMMUNICATION              COM              78387G103     1259    24690 SH       DEFINED                 20544     4146
SALOMON SMITH BARNEY HLD       CONV DEB         79548GAH0      254   250000 PRN      SOLE                   250000
SALOMON SMITH BARNEY HOLDINGS  CONV DEB         79548GAM9      619   600000 PRN      SOLE                   600000
SALOMON INC NTS                CONV DEB         79549BCF2      507   500000 PRN      SOLE                   500000
SCHERING PLOUGH CORP           COM              806605101     1210    23738 SH       SOLE                    23338               400
SCHERING PLOUGH CORP           COM              806605101      117     2300 SH       DEFINED                  1800      500
SCHLUMBERGER LTD               COM              806857108      615     7723 SH       SOLE                     7323               400
SCHLUMBERGER LTD               COM              806857108      414     5200 SH       DEFINED                  4700      500
SEAGRAM COMPANY                CONV DEB         811850AE6      569   525000 PRN      SOLE                   525000
SEAGRAMS                       CONV DEB         811850AH9      150   150000 PRN      SOLE                   150000
SEAGRAMS                       CONV DEB         811850AH9       50    50000 PRN      DEFINED                 50000
SEARS ROEBUCK ACCEPTANCE       CONV DEB         812404AH4      100   100000 PRN      SOLE                   100000
SEARS ROEBUCK ACCEPTANCE       CONV DEB         812404AH4      200   200000 PRN      DEFINED                         200000
SOLECTRON CORP                 COM              834182107     3937   111540 SH       SOLE                   109740              1800
SOLECTRON CORP                 COM              834182107      525    14900 SH       DEFINED                 12800     1700      400
SOUTHERN CALIF EDISON CO       CONV DEB         842400DH3      235   300000 PRN      SOLE                   300000
SOUTHERN CO                    COM              842587107       15      480 SH       SOLE                      480
SOUTHERN CO                    COM              842587107      185     5936 SH       DEFINED                  5536      400
SOUTHERN NEW ENGLAND TELECOM N CONV DEB         84348QAH0      490   475000 PRN      SOLE                   475000
SOUTHWESTERN BELL TEL CO       CONV DEB         845335AG3      246   260000 PRN      SOLE                   260000
SPRINT CORP                    COM              852061100      384    15658 SH       SOLE                    15658
SPRINT CORP NOTES              CONV DEB         852061AC4      507   500000 PRN      SOLE                   500000
STANDARD FEDERAL BANCORP       CONV DEB         85338QAA4      320   300000 PRN      SOLE                   300000
STAPLES, INC.                  COM              855030102      166    11400 SH       SOLE                     9900              1500
STAPLES, INC.                  COM              855030102       65     4500 SH       DEFINED                  4500
SUMMIT BANCORP                 COM              866005101      280     6958 SH       SOLE                     6958
SUN MICROSYSTEM INC            COM              866810104     3263    98894 SH       SOLE                    97694              1200
SUN MICROSYSTEM INC            COM              866810104      425    12900 SH       DEFINED                 11400     1500
TARGET CORP                    COM              87612E106     6584   181654 SH       SOLE                   181654
TARGET CORP                    COM              87612E106      953    26300 SH       DEFINED                 22900     3400
TELE COMMUNICATIONS INC.       CONV DEB         879240AW9      406   400000 PRN      SOLE                   400000
TENET HEALTHCARE CORP          COM              88033G100      393     9500 SH       SOLE                     9500
TENET HEALTHCARE CORP          COM              88033G100        8      200 SH       DEFINED                            200
TEXACO INC                     COM              881694103     1149    19004 SH       SOLE                    19004
TEXACO INC                     COM              881694103      470     7782 SH       DEFINED                  5782     2000
TEXAS INSTRS INC               COM              882508104     2114    42085 SH       SOLE                    40885              1200
TEXAS INSTRS INC               COM              882508104      552    11000 SH       DEFINED                  8600     2000      400
ALLTEL CORP                    CONV DEB         885571AB5      254   250000 PRN      SOLE                   250000
TRANSAMERICA FINANCIAL CORP    CONV DEB         89350LJR4      498   500000 PRN      SOLE                   500000
TRUST CO OF NEW JERSEY         COM              898304100      266    22600 SH       DEFINED                          22600
TYCO INTERNATIONAL LTD         COM              902124106    12627   223500 SH       SOLE                   222200              1300
TYCO INTERNATIONAL LTD         COM              902124106     1550    27450 SH       DEFINED                 26500      750      200
UNION PAC RR CO                CONV DEB         907821N57      251   255000 PRN      SOLE                   255000
UNITED NATIONAL BANCORP        COM              910909100    14070   740534 SH       SOLE                   737675              2859
UNITED NATIONAL BANCORP        COM              910909100    15260   803201 SH       DEFINED                577803   225398
US CELLULAR CORP               CONV DEB         911684AB4      405   400000 PRN      SOLE                   400000
US CELLULAR CORP               CONV DEB         911684AB4      202   200000 PRN      DEFINED                200000
US LEASING INTERNATIONAL INC   CONV DEB         912129AE3      275   275000 PRN      SOLE                   275000
US LEASING INTERNATIONAL INC   CONV DEB         912129AE3       50    50000 PRN      DEFINED                 50000
US LEASING                     CONV DEB         912129AF0      295   300000 PRN      SOLE                   300000
UNITED TECHNOLOGIES CORP       COM              913017109     2851    37956 SH       SOLE                    37956
UNITED TECHNOLOGIES CORP       COM              913017109      826    11000 SH       DEFINED                 10800      200
UNITED HEALTH GROUP INC COM    COM              91324P102      428     7500 SH       SOLE                     7500
UNITED HEALTH GROUP INC COM    COM              91324P102       34      600 SH       DEFINED                            600
VALLEY NATL BANCORP            COM              919794107      829    25727 SH       SOLE                    25727
VERITAS SOFTWARE CORPORATION   COM              923436109     5260    60900 SH       SOLE                    60800               100
VERITAS SOFTWARE CORPORATION   COM              923436109      146     1700 SH       DEFINED                  1400      300
VERIZON COMMUNICATIONS COM     COM              92343V104     1885    35497 SH       SOLE                    34263              1234
VERIZON COMMUNICATIONS COM     COM              92343V104     1416    26660 SH       DEFINED                 25850      500      310
VITESSE SEMICONDUCTOR          COM              928497106      334     6050 SH       SOLE                     6050
VITESSE SEMICONDUCTOR          COM              928497106       16      300 SH       DEFINED                            300
VODAFONE GROUP PLC ADR         COM              92857W100       83     2265 SH       SOLE                     2265
VODAFONE GROUP PLC ADR         COM              92857W100      195     5340 SH       DEFINED                  5340
WACHOVIA CORPORATION           CONV DEB         929771AR4      202   200000 PRN      SOLE                   200000
WALMART                        COM              931142103      506     8675 SH       SOLE                     8675
WEST PENN POWER                CONV DEB         95527PAC2      403   400000 PRN      SOLE                   400000
WISCONSON POWER AND LIGHT      CONV DEB         976826BA4      509   500000 PRN      SOLE                   500000
WORLDCOM INC                   COM              98157D106      145     7275 SH       SOLE                     7275
WORLDCOM INC                   COM              98157D106       59     2980 SH       DEFINED                  2980
WORLDCOM INC                   CONV DEB         98157DAC0      406   400000 PRN      SOLE                   400000
XEROX CORP                     CONV DEB         984121AT0      170   250000 PRN      SOLE                   250000
XEROX CORP                     CONV DEB         98412JBK9      120   250000 PRN      SOLE                   250000
ROYAL BK SCOTLAND GRP          COM              EX0676406        0    33594 SH       SOLE                    33594
ROYAL BANK OF SCOTLAND GRP ORD COM              EX0754781      758    33836 SH       SOLE                    33836
</TABLE>


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