GARDNER INVESTMENTS
13F-HR/A, 2000-10-19
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<PAGE>


                         UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                      Washington, DC  20549


Report for the Quarter Ending:  June 30, 2000

Check here if Amendment [ X ]; Amendment Number: 1

This Amendment (Check only one.): [ X ]is a restatement.
                                  [   ]adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Gardner Investments
Address: 223 East Chestnut Street
         Lancaster, PA  17602

13F File Number:   28-2635


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:    Herbert W. Zimmerman
Title:   Trading Administrator
Phone:   (717) 299-1385

Signature,  Place, and Date of Signing:


/s/Herbert W. Zimmerman,  Lancaster, PA     October 19, 2000

Report Type

X   13F Holding 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:   387

FORM 13F INFORMATION TABLE VALUE TOTAL:   $1,391,429,515












































                                2



<PAGE>

<TABLE>
                                                            FORM 13-F
   COLUMN 1        COLUMN 2      COLUMN 3      COLUMN 4       COLUMN 5             COLUMN 6       COLUMN 7      COLUMN 8
   ---------       --------      --------      --------       --------             ---------      --------      --------
                                                                             INVESTMENT DISCRETION          VOTING AUTHORITY
                                                                                          (c)
                    TITLE        CUSIP         MARKET    SHRS OR  SH/  PUT/   (a)  (b)   SHARED   OTHER     (a)   (b)    (c)
NAME OF ISSUER     OF CLASS      NUMBER        VALUE     PRN AMT  PRN  CALL  SOLE SHARED OTHER   MANAGERS  SOLE  SHARED  NONE
--------------     --------      ------        ------    -------  ---  ----  ---- ------ ------  --------  ----  ------  ----
<S>                <C>           <C>         <C>         <C>       <C>  <C>  <C>  <C>    <C>     <C>       <C>   <C>     <C>
SANOMA-WSOY OYJ-A  COMMON                        93,146     5,704  X         0      0     5,704
LLOYDS TSB
  GROUP PLC        COMMON                       188,800    20,000  X         0      0     20,000
ALMA MEDIA CORP II COMMON                        17,055       500  X         0      0     500
CIE FINANC
  RICHEMONT A-SW   COMMON                    38,513,489    14,293  X         0      0     14,293
CORBY DISTILLERIES
   CL B            COMMON                     2,570,653    74,750  X         0      0     74,750
WEETABIX CL A ORD  COMMON                    50,565,185 1,364,046  X         0      0     1,364,046
READYMIX ORD       COMMON                     4,625,902 3,730,566  X         0      0     3,730,566
PARTRIDGE FINE
  ART ORD          COMMON                       952,687   972,130  X         0      0     972,130
FORTNUM MASON PLC
   ORD             COMMON                       558,966   113,611  X         0      0     113,611
WEGENER NV         COMMON                     4,434,236   344,273  X         0      0     344,273
CORBY DISTILLERIES
   CL A            COMMON                     3,197,631    84,504  X         0      0     84,504
FIRST CHILLICOTHE
   CORP            COMMON                        11,340        81  X         0      0     81
DAILY MAIL & GEN
   TST-A ORD       COMMON                     1,524,160    88,000  X         0      0     88,000
HSBC HLDGS PLC ORD COMMON                       137,040    12,000  X         0      0     12,000
TABAK KUTNA HORA
   AS              COMMON                     3,457,352    22,181  X         0      0     22,181
PICK SZEGED        COMMON                       185,250     5,000  X         0      0     5,000
COCA COLA AMATIL
   BNDLD DEF       COMMON       C5135 36         17,670     9,500  X         0      0     9,500
DAIMLERCHRYSLER
  AG ORD           COMMON      D1668R123         64,922     1,247  X         0      0     1,247
PERNOD RICARD
  S A ORD          COMMON      F72027109        285,495     5,250  X         0      0     5,250
CADBURY SCHWEPPES
   ORD             COMMON      G17444152         39,420     6,000  X         0      0     6,000
CARLTON COMMUNI-
  CATIONS PLC      COMMON      G19068108        578,700    45,000  X         0      0     45,000
COCA COLA BEV PLC
   UK ORD          COMMON      G2249L103         14,820     9,500  X         0      0     9,500
COOKSON GROUP PLC  COMMON      G24108105          6,660     2,000  X         0      0     2,000
PREMIER FARNELL
   PLC             COMMON      G33292106        367,500    50,000  X         0      0     50,000
FIRST PAC LTD ORD  COMMON      G34804107         37,654   110,747  X         0      0     110,747


                                3



<PAGE>

GREAT UNVL STORES
   PLC ORD         COMMON      G40768106         96,450    15,000  X         0      0     15,000
DIAGEO PLC         COMMON      G42089113     29,476,569 3,399,835  X         0      0     3,399,835
NESTLE REG         COMMON      H57312227      3,865,418     1,931  X         0      0     1,931
MILLICOM INTL
   CELLULAR        COMMON      L6388F102        861,490    24,614  X         0      0     24,614
SBS BROADCASTING
   ORD             COMMON      L8137F102         19,075       350  X         0      0     350
DAGBLADET NWKR     COMMON       MD027438      7,421,736   124,903  X         0      0     124,903
EUROMONEY
  PUBLICAT'NS PLC  COMMON       ME620000        183,450    20,000  X         0      0     20,000
ZUERCHER ZEITUNG   COMMON       MN152015        733,520         6  X         0      0     6
SCHIBSTED A/S      COMMON       MS164618      1,159,352    62,600  X         0      0     62,600
NORGES HANDELS
  OG SJOF          COMMON       M9758220      5,820,686    58,777  X         0      0     58,777
DAGBLADET PFD      PREFERR      M9758430        347,310     5,845  X         0      0     5,845
HEINEKEN HLDG
  N V ORD-A        COMMON      N39338137     91,485,157 2,350,595  X         0      0     2,350,595
TELEGRAAF HOLDING
   CVA             COMMON      N41207114     80,767,338 3,526,958  X         0      0     3,526,958
VAN MELLE          COMMON      N9146H103        870,080    32,000  X         0      0     32,000
PANAMERICAN
  BEVRGES CL A     COMMON      P74823108         22,406     1,500  X         0      0     1,500
INVIK CO A/B SER A COMMON      W4832D128         48,235       500  X         0      0     500
SANOMA-WSOY OYJ-B  COMMON                     1,414,717    84,968  X         0      0     84,968
HEINEKEN NV        COMMON                        38,012       625  X         0      0     625
AMERICAN LIFE
   INSURANCE       COMMON                        79,200   240,000  X         0      0     240,000
ARIEL CAPITAL
  MANAGEMENT       COMMON                        98,500        25  X         0      0     25
ACNB CORP          COMMON         868109         14,300       800  X         0      0     800
AFLAC INC          COMMON        1055102         11,025       240  X         0      0     240
ANZ EXCHANGEABLE
  PFD TR II        CONVERT       1824101          8,864       400  X         0      0     400
AT & T CORP        COMMON        1957109        736,491    23,151  X         0      0     23,151
AT&T CORP LBRTY
   MED A           COMMON        1957208         33,101     1,358  X         0      0     1,358
ABBOTT LABS        COMMON        2824100      1,249,978    28,050  X         0      0     28,050
ACETO CORP         COMMON        4446100         36,300     3,300  X         0      0     3,300
AC NIELSEN CORP    COMMON        4833109     11,707,740   532,170  X         0      0     532,170
AFFILIATED
  COMPUTER SV CL A COMMON        8190100        539,937    16,300  X         0      0     16,300
AGILENT TECH-
  NOLOGIES INC     COMMON      00846U101         22,494       305  X         0      0     305
AIR PRODS &
  CHEMS INC        COMMON        9158106         31,000     1,000  X         0      0     1,000
ALCOA INC          COMMON       13817101      2,049,198    70,662  X         0      0     70,662
ALICO INC          COMMON       16230104          6,350       400  X         0      0     400
ALLEGHANY CORP     COMMON       17175100         98,616       587  X         0      0     587
ALLIANCE CAPITAL
  UNIT             COMMON      01855A101        118,594     2,500  X         0      0     2,500


                                4



<PAGE>

ALLIED IRISH BKS
   ADR             COMMON       19228402         65,675     3,700  X         0      0     3,700
ALLSTATE CORP      COMMON       20002101         26,344     1,184  X         0      0     1,184
ALLTEL CORP        COMMON       20039103         30,969       500  X         0      0     500
AMERADA HESS CORP  COMMON       23551104      3,010,498    48,753  X         0      0     48,753
AMERICA ONLINE INC COMMON      02364J104         89,462     1,700  X         0      0     1,700
AMERICAN EXPRESS
  CO               COMMON       25816109      2,153,284    41,310  X         0      0     41,310
AMERICAN GEN CORP  COMMON       26351106     45,380,279   743,939  X         0      0     743,939
AMERICAN HOME
  PRODS CORP       COMMON       26609107        180,069     3,065  X         0      0     3,065
AMERICAN INTL
  GROUP INC        COMMON       26874107      4,179,710    35,572  X         0      0     35,572
AMERICAN SATELLITE
   NETWORK WTS     WARRANT     02937P116              0    43,927  X         0      0     43,927
AMERICAN TOWER
  CORP CL A        COMMON       29912201         50,025     1,200  X         0      0     1,200
AMERICAN WTR WKS
  INC              COMMON       30411102         25,000     1,000  X         0      0     1,000
AMERICAN WOODMARK
   CORP            COMMON       30506109         30,750     1,500  X         0      0     1,500
AMSOUTH BANCORPOR-
  ATION            COMMON       32165102         53,156     3,375  X         0      0     3,375
ANHEUSER-BUSCH
  COS INC          COMMON       35229103      5,559,364    74,435  X         0      0     74,435
APTARGROUP INC     COMMON       38336103        754,002    27,926  X         0      0     27,926
ARCHER DANIELS
  MIDLAND          COMMON       39483102         29,437     3,000  X         0      0     3,000
ARCHSTONE CMNTYS
   TR              COMMON       39581103          6,319       300  X         0      0     300
ARCTIC CAT INC     COMMON       39670104        176,938    14,900  X         0      0     14,900
ARMSTRONG HOLDINGS COMMON       42384107         57,008     3,723  X         0      0     3,723
ASSOC FIRST CAP
  CORP CL A        COMMON       46008108        334,687    15,000  X         0      0     15,000
AUTOMATIC DATA
  PROCESSING       COMMON       53015103      2,042,017    38,124  X         0      0     38,124
AVNET INC          COMMON       53807103         29,625       500  X         0      0     500
AVON PRODUCTS
  INC              COMMON       54303102         17,800       400  X         0      0     400
BP AMOCO ADR       COMMON       55622104        544,110     9,609  X         0      0     9,609
BNY CAP III PFD
  SECS SER D       PREFERR     05563W206         42,500     2,000  X         0      0     2,000
BANK AMER CORP     COMMON       60505104         69,400     1,600  X         0      0     1,600
BANK ONE CORP      COMMON      06423A103          8,500       320  X         0      0     320
BECTON DICKINSON
  & CO             COMMON       75887109         11,475       400  X         0      0     400
BELL ATLANTIC CORP COMMON       77853109        672,833    13,209  X         0      0     13,209
BELLSOUTH CORP     COMMON       79860102        153,450     3,600  X         0      0     3,600
BELO A H CORP      COMMON       80555105         86,562     5,000  X         0      0     5,000
BERKSHIRE HATHAWAY COMMON       84670108     84,573,600     1,572  X         0      0     1,572
BERKSHIRE HATHAWAY


                                5



<PAGE>

   CL B            COMMON       84670207      7,763,360     4,411  X         0      0     4,411
BOWATER INC        COMMON      102183100         52,950     1,200  X         0      0     1,200
BRISTOL MYERS
  SQUIBB CO        COMMON      110122108        742,454    12,746  X         0      0     12,746
BROWN-FORMAN CORP
   CL A            COMMON      115637100     18,388,597   348,599  X         0      0     348,599
BROWN-FORMAN CORP
  CL B             COMMON      115637209      6,743,744   125,465  X         0      0     125,465
CDI CORPORATION    COMMON      125071100        888,656    43,615  X         0      0     43,615
CALEDONIA FINANCIAL
   CORP            COMMON      129267100        102,900     2,800  X         0      0     2,800
CALIFORNIA MICRO
  DEV COR          COMMON      130439102             30         1  X         0      0     1
CALLAWAY GOLF CO   COMMON      131193104             82         5  X         0      0     5
CAMPBELL SOUP CO   COMMON      134429109         23,300       800  X         0      0     800
CAPITOL FED FINL   COMMON      14057C106        110,625    10,000  X         0      0     10,000
CARLISLE COMPANIES
   INC             COMMON      142339100      1,984,590    44,102  X         0      0     44,102
CENTRAL NEWSPAPERS
   INC             COMMON      154647101     90,159,586 1,425,448  X         0      0     1,425,448
CHASE MANHATTAN
  CORP             COMMON      16161A108         16,583       360  X         0      0     360
CHEVRON CORP       COMMON      166751107        320,554     3,774  X         0      0     3,774
CHOICEPOINT INC    COMMON      170388102         17,650       400  X         0      0     400
CHUBB CORP         COMMON      171232101        701,100    11,400  X         0      0     11,400
CINCINNATI FINL
  CORP             COMMON      172062101         31,437     1,000  X         0      0     1,000
CISCO SYS INC      COMMON      17275R102         82,631     1,300  X         0      0     1,300
CITIGROUP INC      COMMON      172967101     44,065,163   729,103  X         0      0     729,103
CLAYTON HOMES INC  COMMON      184190106        496,800    62,100  X         0      0     62,100
COCA-COLA CO       COMMON      191216100        413,378     7,197  X         0      0     7,197
COLGATE PALMOLIVE
  CO               COMMON      194162103         23,950       400  X         0      0     400
COMCAST CORP       COMMON      200300101         34,987       900  X         0      0     900
COMCAST CORP
  CL A SPL         COMMON      200300200     67,726,287 1,672,254  X         0      0     1,672,254
COMERICA INC       COMMON      200340107        302,233     6,735  X         0      0     6,735
COMMONWEALTH TEL
  ENTERPR          COMMON      203349105        101,655     2,160  X         0      0     2,160
COMMUNITY FIRST
  BANKSHARES       COMMON      203902101         74,874     4,590  X         0      0     4,590
CONOCO INC CL A    COMMON      208251306          1,100        50  X         0      0     50
CONOCO INC CL B    COMMON      208251405        689,494    28,071  X         0      0     28,071
CORNING INC        COMMON      219350105        107,950       400  X         0      0     400
COSTCO WHSL CORP
   NEW             COMMON      22160K105        330,000    10,000  X         0      0     10,000
COX COMMUNICATIONS
   CL A            COMMON      224044107         96,319     2,114  X         0      0     2,114
CRANE              COMMON      224399105      5,984,376   246,144  X         0      0     246,144
DAL-TILE INTL INC  COMMON      23426R108         33,000     4,000  X         0      0     4,000
DE BEERS CONS MINES


                                6



<PAGE>

   ADR             COMMON      240253302          7,294       300  X         0      0     300
DEAN FOODS CO      COMMON      242361103         17,016       537  X         0      0     537
DEERE & CO         COMMON      244199105      1,440,077    38,921  X         0      0     38,921
DELAWARE GROUP
   DEL FD INC      MUTUAL      246093108         35,257     1,912  X         0      0     1,912
DELPHI AUTOMOTIVE
   SYS CORP        COMMON      247126105         10,165       698  X         0      0     698
DIAGEO PLC
  SPONSORED ADR    COMMON      25243Q205      4,253,239   119,599  X         0      0     119,599
DIGENE CORP        COMMON      253752109        137,275     3,400  X         0      0     3,400
DIME BANCORP INC
   NEW             COMMON      25429Q102          5,575       354  X         0      0     354
DIMON INC          COMMON      254394109      1,338,641   611,950  X         0      0     611,950
DISNEY WALT
  PRODTNS          COMMON      254687106      2,415,496    62,235  X         0      0     62,235
DOLLAR GEN CORP    COMMON      256669102         14,859       762  X         0      0     762
DOVER CORP         COMMON      260003108      4,764,309   117,456  X         0      0     117,456
DOW CHEMICAL CORP  COMMON      260543103         13,781       450  X         0      0     450
DOW JONES & CO INC COMMON      260561105        312,631     4,268  X         0      0     4,268
DROVERS BANCSHARES
   PA              COMMON      262120108         13,315       866  X         0      0     866
DU ART FILM LABS
  INC              COMMON      262507106         40,300       310  X         0      0     310
DU PONT E I DE
  NEMOURS CO       COMMON      263534109        642,858    14,626  X         0      0     14,626
DUN & BRADSTREET
   CORP            COMMON      26483B106        286,250    10,000  X         0      0     10,000
ESCO ELECTRONICS
  COM              COMMON      269030102        153,000     9,000  X         0      0     9,000
ELECTRONIC DATA
  SYS CORP         COMMON      285661104         20,625       500  X         0      0     500
EMBOTELLADORA
  ANDINA ADR A     COMMON      29081P204         27,025     2,300  X         0      0     2,300
EMBOTELLADORA
  ANDINA ADR B     COMMON      29081P303         21,994     2,300  X         0      0     2,300
EMERSON ELEC CO    COMMON      291011104         78,487     1,300  X         0      0     1,300
ENCORE WIRE CORP   COMMON      292562105         69,875    13,000  X         0      0     13,000
EQUIFAX INC        COMMON      294429105        679,875    25,900  X         0      0     25,900
ERICSSON LM TEL
  ADR CL B         COMMON      294821400        530,000    26,500  X         0      0     26,500
EVERGREEN SEL
  PLUS FD-I        MUTUAL      299908301         45,856     8,652  X         0      0     8,652
EVERGREEN SEL
  LTD DUR-I        MUTUAL      299908608        243,714    24,202  X         0      0     24,202
EVERGREEN PA
  MUNI BD CL Y     MUTUAL      300326402      1,717,930   157,753  X         0      0     157,753
EXPEDITORS INTL
  WASH INC         COMMON      302130109      1,686,250    35,500  X         0      0     35,500
EXXON MOBIL
  CORPORATION      COMMON      30231G102      3,689,029    46,994  X         0      0     46,994
FEDDERS CORP CL A  COMMON      313135303         13,875     3,000  X         0      0     3,000


                                7



<PAGE>

FREDDIE MAC        COMMON      313400301     31,430,471   776,061  X         0      0     776,061
FEDERAL MOGUL CORP COMMON      313549107         28,687     3,000  X         0      0     3,000
FEDERAL NAT
  MORTGAGE ASSN    COMMON      313586109        240,637     4,600  X         0      0     4,600
FEDEX CORP         COMMON      31428X106        114,000     3,000  X         0      0     3,000
FIRST CHESTER
  CNTY CORP        COMMON      31947W100        701,688    51,500  X         0      0     51,500
FIRST DATA CORP    COMMON      319963104        104,213     2,100  X         0      0     2,100
FIRST MID-IL
  BANCSHARES       COMMON      320866106          2,900       100  X         0      0     100
FIRST UNION CORP   COMMON      337358105      5,998,000   241,733  X         0      0     241,733
FIRSTBANK CORP DEL COMMON      33762X106          9,200       800  X         0      0     800
FIRSTAR CORP NEW
  WIS              COMMON      33763V109        315,937    15,000  X         0      0     15,000
FIRSTSPARTAN FINL
   CORP            COMMON      337931109         18,044     1,046  X         0      0     1,046
FLEETBOSTON
  FINANCIAL CORP   COMMON      339030108         32,300       950  X         0      0     950
FORD MOTOR         COMMON      345370100        158,713     3,691  X         0      0     3,691
FORTUNE BRANDS INC COMMON      349631101          4,612       200  X         0      0     200
FRISBY TECH-
  NOLOGIES INC     COMMON      358743102         32,300     6,800  X         0      0     6,800
FRITZ COS INC      COMMON      358846103        413,531    40,100  X         0      0     40,100
FULTON FINL CORP   COMMON      360271100        787,235    44,508  X         0      0     44,508
GTE CORP           COMMON      362320103         93,375     1,500  X         0      0     1,500
GALLAHER GROUP
  PLC SPS ADR      COMMON      363595109          4,287       200  X         0      0     200
GANNETT INC DEL    COMMON      364730101      3,344,715    55,920  X         0      0     55,920
G A P INC          COMMON      364760108         62,500     2,000  X         0      0     2,000
GENERAL DYNAMICS
  CORP             COMMON      369550108         15,675       300  X         0      0     300
GENERAL ELEC CO    COMMON      369604103      7,087,490   135,322  X         0      0     135,322
GENERAL MTRS CORP  COMMON      370442105         92,800     1,600  X         0      0     1,600
GENERAL MTRS CORP
   NEW             COMMON      370442832          8,336       285  X         0      0     285
GENUINE PARTS CO   COMMON      372460105         15,000       750  X         0      0     750
GETTY PETE
  MARKETING INC    COMMON      374292100        100,538    23,656  X         0      0     23,656
GETTY RLTY CORP    COMMON      374297109        250,734    23,056  X         0      0     23,056
GETTY RLTY PFD
  CONV PART A      CONVERT     374297208        189,956    10,199  X         0      0     10,199
GILLETTE CO        COMMON      375766102         10,481       300  X         0      0     300
GLATFELTER P H CO  COMMON      377316104        120,722    11,850  X         0      0     11,850
GORMAN RUPP CO     COMMON      383082104          7,875       500  X         0      0     500
GRAINGER W W INC   COMMON      384802104        167,928     5,450  X         0      0     5,450
GREY ADVERTISING
  INC              COMMON      397838103        520,000     1,000  X         0      0     1,000
HAL INC            COMMON      404073108              0       656  X         0      0     656
HALLIBURTON
  COMPANY          COMMON      406216101         33,031       700  X         0      0     700
HARCOURT GEN INC   COMMON      41163G101        946,397    17,405  X         0      0     17,405


                                8



<PAGE>

HASBRO INC         COMMON      418056107     30,706,528 1,919,158  X         0      0     1,919,158
HEARTLAND EXPRESS
  INC              COMMON      422347104         48,160     2,886  X         0      0     2,886
HEINEKEN NV
  UNSPONS ADR      COMMON      423012202      5,347,064    87,499  X         0      0     87,499
HEINZ H J COMPANY  COMMON      423074103         37,187       850  X         0      0     850
HERSHEY FOODS CORP COMMON      427866108        107,185     2,210  X         0      0     2,210
HEWLETT PACKARD CO COMMON      428236103         99,900       800  X         0      0     800
HILLENBRAND INDS
  INC              COMMON      431573104      3,036,750    97,176  X         0      0     97,176
HITACHI LTD ADR    COMMON      433578507         14,413       100  X         0      0     100
HOLLINGER INTL
  INC CL A         COMMON      435569108      3,598,512   264,111  X         0      0     264,111
HOME DEPOT INC     COMMON      437076102      2,085,490    41,762  X         0      0     41,762
HOMEFED CORP       COMMON      43739D208          4,191     6,255  X         0      0     6,255
HORMEL FOODS CORP  COMMON      440452100      5,249,031   312,210  X         0      0     312,210
HOUSEHOLD INTL
  CORP             COMMON      441815107     19,235,582   462,811  X         0      0     462,811
HUTTIG BLDG
  PRODS INC        COMMON      448451104         69,123    16,757  X         0      0     16,757
ILLINOIS TOOL
  WORKS INC        COMMON      452308109         37,050       650  X         0      0     650
INDYMAC MTG
  HLDGS INC        COMMON      456607100         20,625     1,500  X         0      0     1,500
INTEL CORP         COMMON      458140100      3,444,325    25,764  X         0      0     25,764
INTERIM SVCS INC   COMMON      45868P100      7,215,126   406,486  X         0      0     406,486
I B M              COMMON      459200101      1,538,696    14,044  X         0      0     14,044
INT'L MULTIFOODS
   CRP             COMMON      460043102        302,969    17,500  X         0      0     17,500
INTERNAT'L
  SPEEDWAY CL B    COMMON      460335300     14,348,417   345,745  X         0      0     345,745
INTERPUBLIC GROUP
   COS INC         COMMON      460690100      1,937,193    45,051  X         0      0     45,051
IRVINE SENSORS
  CORP             COMMON      463664102         23,375     5,500  X         0      0     5,500
JEFFERSON PILOT
   CORP            COMMON      475070108         38,095       675  X         0      0     675
JOHNSON & JOHNSON  COMMON      478160104      2,816,844    27,650  X         0      0     27,650
KELLOGG CO         COMMON      487836108         35,105     1,180  X         0      0     1,180
KEYSTONE FINL INC  COMMON      493482103        321,916    15,149  X         0      0     15,149
KIMBALL INTL INC
  CL B             COMMON      494274103         61,950     4,200  X         0      0     4,200
KIMBERLY CLARK
  CORP             COMMON      494368103        426,985     7,442  X         0      0     7,442
KNIGHT RIDDER      COMMON      499040103         53,187     1,000  X         0      0     1,000
LG&E ENERGY CORP   COMMON      501917108         17,286       724  X         0      0     724
LANDSTAR SYS INC   COMMON      515098101        297,812     5,000  X         0      0     5,000
LEE ENTERPRISES
  INC              COMMON      523768109        349,687    15,000  X         0      0     15,000
LEGGETT & PLATT
  INC              COMMON      524660107      1,717,650   104,100  X         0      0     104,100


                                9



<PAGE>

LEUCADIA NATL CORP COMMON      527288104        868,289    38,062  X         0      0     38,062
LEVEL 3 COMMUNI-
  CATIONS INC      COMMON      52729N100          8,800       100  X         0      0     100
LEXINGTON CORP
  PPTYS TR         COMMON      529043101        648,875    58,000  X         0      0     58,000
LILLY, ELI AND
  COMPANY          COMMON      532457108        365,942     3,664  X         0      0     3,664
LIQUI BOX CORP     COMMON      536314107         74,250     1,500  X         0      0     1,500
LOEWS CORP         COMMON      540424108         24,000       400  X         0      0     400
LONGLEAF PARTNERS
   FUND            MUTUAL      543069108         20,789       989  X         0      0     989
M & T BK CORP      COMMON      55261F104         22,500        50  X         0      0     50
MGI PHARMA INC     COMMON      552880106        463,127    16,100  X         0      0     16,100
MANPOWER INC WIS   COMMON      56418H100        937,600    29,300  X         0      0     29,300
MARKEL CORP        COMMON      570535104        240,763     1,700  X         0      0     1,700
MARSHALL & ILSLEY
  CORP             COMMON      571834100         31,125       750  X         0      0     750
MARTIN MARIETTA
  MTLS INC         COMMON      573284106     50,945,103 1,259,848  X         0      0     1,259,848
MASTERS SELECT
  EQUITY FUND      MUTUAL      576417109         95,218     6,252  X         0      0     6,252
MASTERS SELECT
  INT'L FUND       MUTUAL      576417208         25,585     1,306  X         0      0     1,306
MATTEL INC         COMMON      577081102        313,203    23,750  X         0      0     23,750
MAY DEPT STORES CO COMMON      577778103        157,320     6,555  X         0      0     6,555
MCCLATCHY COMPANY
  CL A             COMMON      579489105     14,547,407   439,167  X         0      0     439,167
MCCORMICK & CO INC COMMON      579780206        505,375    15,550  X         0      0     15,550
MCDONALDS CORP     COMMON      580135101         53,359     1,620  X         0      0     1,620
MCGRAW HILL
  COMPANIES INC    COMMON      580645109        540,000    10,000  X         0      0     10,000
MCKESSON HBOC INC. COMMON      58155Q103         12,563       600  X         0      0     600
MEDTRONIC INC      COMMON      585055106          7,472       150  X         0      0     150
MELLON FINL CORP   COMMON      58551A108      8,542,080   234,431  X         0      0     234,431
MERCK & CO INC     COMMON      589331107      1,585,218    20,688  X         0      0     20,688
MERCURY GEN CORP
  NEW              COMMON      589400100         58,354     2,470  X         0      0     2,470
MERITOR SVGS BK PA COMMON      590007100          3,984     3,000  X         0      0     3,000
MERRILL LYNCH
  7.28% PFD CAP    PREFERR     59021K205          8,675       400  X         0      0     400
MICROS SYS INC     COMMON      594901100        238,528    12,850  X         0      0     12,850
MICROSOFT CORP     COMMON      594918104      4,672,320    58,404  X         0      0     58,404
HERMAN MILLER INC  COMMON      600544100     14,378,841   555,704  X         0      0     555,704
MILLICOM INC
  ESCROW RTS       WARRANT     600813794              0   175,740  X         0      0     175,740
MINNESOTA MNG &
  MFG CO           COMMON      604059105        100,465     1,215  X         0      0     1,215
MOLEX INC CL A     COMMON      608554200        164,045     4,687  X         0      0     4,687
MORGAN J P & CO
  INC              COMMON      616880100          8,259        75  X         0      0     75
MORGAN STANLEY


                               10



<PAGE>

  DEAN WITTER      COMMON      617446448     46,007,280   552,640  X         0      0     552,640
MOTOROLA INC       COMMON      620076109         16,860       562  X         0      0     562
NATIONAL CITY CORP COMMON      635405103      1,806,236   105,860  X         0      0     105,860
NESTLE REG ADR     COMMON      641069406     52,940,165   527,345  X         0      0     527,345
N & B GENESIS FUND MUTUAL      641224100         27,474     1,602  X         0      0     1,602
N & B GUARDIAN
  FUND             MUTUAL      641224209         19,709     1,050  X         0      0     1,050
N & B PARTNERS
  FUND             MUTUAL      641224407         23,687       994  X         0      0     994
N & B FOCUS FUND   MUTUAL      641224506         31,105       730  X         0      0     730
NOKIA CORP SPONS
  ADR              COMMON      654902204        610,763    12,200  X         0      0     12,200
NORFOLK SOUTHN
  CORP             COMMON      655844108         25,287     1,700  X         0      0     1,700
NORTHERN TRUST
  CORP             COMMON      665859104        972,424    14,946  X         0      0     14,946
NUVEEN PA INVT
  QUAL MUN FD      COMMON      670972108         23,431     1,630  X         0      0     1,630
OHIO CASUALTY CORP COMMON      677240103        205,062    19,300  X         0      0     19,300
ORACLE CORP        COMMON      68389X105         84,062     1,000  X         0      0     1,000
OSHKOSH TRUCK
  CORP CL B        COMMON      688239201            536        15  X         0      0     15
OWENS CORNING      COMMON      69073F103          2,775       300  X         0      0     300
PE CORP CLRA
  GENOMC           COMMON      69332S201         55,800       600  X         0      0     600
PIMCO FDS PAC
  INVT MGMT SER TO MUTUAL      693390437        189,719    19,029  X         0      0     19,029
PNC BANK CORP      COMMON      693475105      2,196,750    46,864  X         0      0     46,864
PAINE WEBBER INC   COMMON      695629105         34,125       750  X         0      0     750
PENNROCK FINAN'L
  SVCS CORP        COMMON      708352109         15,931     1,071  X         0      0     1,071
PEPSICO INC        COMMON      713448108        180,861     4,070  X         0      0     4,070
PFIZER INC         COMMON      717081103      1,960,896    40,852  X         0      0     40,852
PHILIP MORRIS
  COS INC          COMMON      718154107     46,343,062 1,744,680  X         0      0     1,744,680
PITNEY BOWES INC   COMMON      724479100         48,000     1,200  X         0      0     1,200
PLUG PWR INC       COMMON      72919P103          4,687        75  X         0      0     75
PONTIAC BANCORP
  INC              COMMON      732490107          6,215        55  X         0      0     55
PORT FINL CORP     COMMON      734119100        138,750    10,000  X         0      0     10,000
PRE PAID LEGAL
  SVCS INC         COMMON      740065107         61,991     2,075  X         0      0     2,075
PROCTER & GAMBLE
  CO               COMMON      742718109        604,102    10,552  X         0      0     10,552
PROGRESSIVE CORP
  OHIO             COMMON      743315103      8,890,928   120,965  X         0      0     120,965
PROTECTIVE LIFE
  CORP             COMMON      743674103         17,040       640  X         0      0     640
QUAKER OATS CO     COMMON      747402105      4,428,919    58,954  X         0      0     58,954
QUALCOMM INC       COMMON      747525103          3,000        50  X         0      0     50
QUILMES INDL


                               11



<PAGE>

  QUINSA SOC ADR   COMMON      74838Y108         11,125     1,000  X         0      0     1,000
RCN CORP           COMMON      749361101        137,025     5,400  X         0      0     5,400
RED HAT INC        COMMON      756577102          5,412       200  X         0      0     200
RELIANT ENERGY
  INC              COMMON      75952J108        243,000     8,100  X         0      0     8,100
REPTRON ELEC-
  TRONICS INC      COMMON      76026W109         52,594     4,500  X         0      0     4,500
RITE AID CORP      COMMON      767754104        177,031    27,500  X         0      0     27,500
ROTHMANS INC       COMMON      77869J106      2,211,604   177,354  X         0      0     177,354
ROYAL DUTCH
  PETRO-NY SHRS    COMMON      780257804        127,373     2,069  X         0      0     2,069
SBC COMMUNICATIONS,
   INC             COMMON      78387G103      1,303,641    30,142  X         0      0     30,142
INTERMEDIATE GOVT
   TRUST           MUTUAL      783965742            791        81  X         0      0     81
SAFEWAY INC COM
  NEW              COMMON      786514208         11,281       250  X         0      0     250
ST PAUL COS INC    COMMON      792860108         68,250     2,000  X         0      0     2,000
SCHERING PLOUGH
  CORP             COMMON      806605101        997,375    19,750  X         0      0     19,750
SCHLUMBERGER       COMMON      806857108        337,678     4,525  X         0      0     4,525
SCHULMAN A INC     COMMON      808194104        550,279    45,619  X         0      0     45,619
SCHWEITZER-MAUDUIT
   INTL            COMMON      808541106     13,569,250 1,085,540  X         0      0     1,085,540
E W SCRIPPS CO
  CL A             COMMON      811054204     51,082,740 1,037,213  X         0      0     1,037,213
SEALED AIR CORP
  NEW              COMMON      81211K100         39,281       750  X         0      0     750
SECTY CAP GRP
  INC CL B         COMMON      81413P204         34,000     2,000  X         0      0     2,000
SEC CAP U S RLTY
  ADR SPONS        COMMON      814136206         36,000     2,000  X         0      0     2,000
SENECA FOODS CORP
   CL B            COMMON      817070105         52,875     4,500  X         0      0     4,500
SENECA FOODS CORP
   CL A            COMMON      817070501         51,188     4,500  X         0      0     4,500
SEQUA CORP $5 CM
  CV PFD           CONVERT     817320302         31,400       400  X         0      0     400
SERVICEMASTER
  COMPANY          COMMON      81760N109        406,190    35,709  X         0      0     35,709
SHAW INDS INC      COMMON      820286102        325,000    25,000  X         0      0     25,000
SHELL TRANS &
  TRAD PLC NY      COMMON      822703609          4,994       100  X         0      0     100
SHERWIN WILLIAMS
   CO              COMMON      824348106         63,563     3,000  X         0      0     3,000
SMITHKLINE
  BEECHAM-SP ADR   COMMON      832378301        260,750     4,000  X         0      0     4,000
SMUCKER J M CO
  CL B NON VTG     COMMON      832696207         86,250     4,600  X         0      0     4,600
SOUTHERN UNION CO  COMMON      844030106         80,644     5,100  X         0      0     5,100
STARBUCKS CORP     COMMON      855244109         38,187     1,000  X         0      0     1,000


                               12



<PAGE>

STERLING FINL CORP COMMON      859317109         65,005     3,281  X         0      0     3,281
STURM RUGER &
  CO INC           COMMON      864159108         67,450     7,600  X         0      0     7,600
SUIZA FOODS CORP   COMMON      865077101         62,316     1,275  X         0      0     1,275
SUMMIT BANCORP     COMMON      866005101         26,767     1,087  X         0      0     1,087
SUNGARD DATA SYS
   INC             COMMON      867363103          7,750       250  X         0      0     250
SUSQUEHANNA
  BANCSHRS INC     COMMON      869099101        105,949     7,435  X         0      0     7,435
SYMBOL TECH INC    COMMON      871508107         21,600       400  X         0      0     400
SYSCO CORPORATION  COMMON      871829107         21,063       500  X         0      0     500
TELLABS INC        COMMON      879664100          8,555       125  X         0      0     125
TEMPLETON GLOBAL
   INCOME FD       COMMON      880198106          4,344       702  X         0      0     702
TEXACO INC         COMMON      881694103        314,117     5,892  X         0      0     5,892
TIME WARNER INC    COMMON      887315109        872,784    11,484  X         0      0     11,484
TOKHEIM CORP       COMMON      889073102            325       200  X         0      0     200
TOOTSIE ROLL
  INDS INC         COMMON      890516107         43,435     1,241  X         0      0     1,241
TORCHMARK CORP     COMMON      891027104        225,891     9,150  X         0      0     9,150
TOYS R US INC      COMMON      892335100         27,922     1,893  X         0      0     1,893
TRIBUNE CO         COMMON      896047107          7,000       200  X         0      0     200
TYCO INTL LTD      COMMON      902124106          2,748        58  X         0      0     58
UST INC            COMMON      902911106        211,500    14,400  X         0      0     14,400
U S GLOBAL INVS
  INC CL A         PREFERR     902952100          7,000     4,000  X         0      0     4,000
US BANCORP         COMMON      902973106          6,545       340  X         0      0     340
UNB CORP PA        COMMON      903057107         17,325       105  X         0      0     105
UNIFI INC          COMMON      904677101      1,197,751    96,788  X         0      0     96,788
UNION PAC CORP     COMMON      907818108         18,750       500  X         0      0     500
UNION PAC RES
  GROUP INC        COMMON      907834105         17,600       800  X         0      0     800
UNISYS CORP        COMMON      909214108          5,825       400  X         0      0     400
UNITED PARCEL SVC
   INC CL B        COMMON      911312106         11,800       200  X         0      0     200
U S WEST INC       COMMON      91273H101          6,946        81  X         0      0     81
UNIVERSAL CORP VA  COMMON      913456109      2,526,867   119,615  X         0      0     119,615
UNUMPROVIDENT CORP COMMON      91529Y106         92,287     4,600  X         0      0     4,600
V F CORP           COMMON      918204108      1,037,225    43,558  X         0      0     43,558
VANG STAR FD SH
   BEN INT         MUTUAL      921909107        249,428    14,164  X         0      0     14,164
VANG EQUITY INC FD MUTUAL      921921102        114,108     5,058  X         0      0     5,058
VANG/WELLINGTON
  FD INC           MUTUAL      921935102          7,431       274  X         0      0     274
VANGUARD HORIZON
  FD INC CAP OP    MUTUAL      922038302        981,159    31,377  X         0      0     31,377
VANG PA INS TX-FR
   BEN INT         MUTUAL      92204L104        262,644    24,432  X         0      0     24,432
VECTREN CORP       COMMON      92240G101        255,455    14,809  X         0      0     14,809
VANG MUNI BOND FD
   INTER           MUTUAL      922907209        132,020    10,250  X         0      0     10,250


                               13



<PAGE>

VANG MUNI BOND FD
   LONG            MUTUAL      922907308        122,317    11,605  X         0      0     11,605
VANG INDEX TR 500  MUTUAL      922908108         93,234       695  X         0      0     695
VISTEON CORP       COMMON      92839U107          5,832       481  X         0      0     481
VODAFONE GROUP
  PLC ADR          COMMON      92857T107         10,438       250  X         0      0     250
VORNADO OPER CO    COMMON      92904N103          8,525     1,100  X         0      0     1,100
VORNADO RLTY TR    COMMON      929042109        764,500    22,000  X         0      0     22,000
VULCAN MATERIALS
  CO               COMMON      929160109      3,306,147    77,450  X         0      0     77,450
WPP GROUP PLC ADR
   SPONSORED       COMMON      929309300        653,625     9,000  X         0      0     9,000
WACHOVIA CORP      COMMON      929771103      3,243,119    59,781  X         0      0     59,781
WAL MART STORES
   INC             COMMON      931142103        500,381     8,769  X         0      0     8,769
WALGREEN COMPANY   COMMON      931422109        316,431     9,850  X         0      0     9,850
WALLACE COMPUTER
   SERVICES        COMMON      932270101      5,766,546   583,954  X         0      0     583,954
WASHINGTON POST
   CO CL B         COMMON      939640108     42,304,434    88,503  X         0      0     88,503
WELLS FARGO NEW    COMMON      949746101     46,792,673 1,192,170  X         0      0     1,192,170
WESCO FINL CORP    COMMON      950817106      1,562,100     7,620  X         0      0     7,620
WORLDCOM INC GA
   NEW             COMMON      98157D106          9,175       200  X         0      0     200
WRIGLEY WM JR CO   COMMON      982526105         66,155       825  X         0      0     825
XEROX CORP         COMMON      984121103          6,094       300  X         0      0     300

TOTAL                                     1,391,429,515
</TABLE>
























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