TRUSTMARK NATIONAL BANK TRUST DEPARTMENT
13F-HR, 2000-11-13
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<PAGE>
                                  UNITED STATES

                      SECURITIES AND EXCHANGE COMMISSION

                                Washington, D.C.

                                    FORM 13F

                               FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended:       09/30/00

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:     Trustmark National Bank - Trust Department
Address:  248 E. Capitol Street
          Jackson, MS  39201

13F File Number:  028-02681

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,  statement,
schedules, lists and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:     Zach Wasson
Title:    Executive Vice President and CFO
Phone:    601-949-6816

Signature, Place and Date of Signing:

/s/ Zach Wasson
Jackson, Mississippi
11/09/00

Report Type (Check only one):
     [X]  13F Holdings Report
     [ ]  13F Notice
     [ ]  13F Combination Report

List Other Managers Reporting for this Manager:

None

<PAGE>

REPORT SUMMARY:

Number of Other Included Managers:           None

Form 13F Information Table Entry Total:      491

Form 13F Information Table Value Total:      $1,446,017,000

List of Other Included Managers:             None

<PAGE>
<TABLE>
<CAPTION>
                                                                                                          VOTING AUTHORITY
                                                        VALUE    SHARES/SH/ PUT   INVSTMT             -------------------------
NAME OF ISSUER-TITLE OF CLASS-              CUSIP     (X$1000)  PRN AMT PRN CALL  DSCRETN               SOLE    SHARED    NONE
---------------------------------           ---------  -------  ----------------  -------             -------   -------  ------
<S>                                         <C>        <C>     <C>               <C>                 <C>       <C>      <C>
D AT&T CORP                                 001957109     3871   131765 SH       SHARED                30276      500   100989
D AT&T CORP                                 001957109      252     8570 SH       SHARED                 3291     5279
D ABBOTT LABORATORIES                       002824100     6956   146245 SH       SHARED                75865      200    70180
D ABBOTT LABORATORIES                       002824100      381     8000 SH       SHARED                 4000     4000
D ACTEL CORPORATION                         004934105      216     6000 SH       SHARED                                   6000
D ADTRAN INC                                00738A106      255     6000 SH       SHARED                                   6000
D AGILENT TECHNOLOGIES INC                  00846U101      876    17891 SH       SHARED                  882             17009
D AIM INTERNATIONAL EQUITY FUND             008882102      389    16791 SH       SHARED                16791
D ALCOA INC                                 013817101     1329    52484 SH       SHARED                  484             52000
D ALCOA INC                                 013817101       56     2220 SH       SHARED                          2220
D ALLEGHENY ENERGY INC                      017361106     1718    45000 SH       SHARED                 2000             43000
D ALLERGAN INC                              018490102      251     2970 SH       SHARED                 2970
D ALLETE                                    018522102      620    28000 SH       SHARED                                  28000
D ALLIANCE QUASAR FUND CLASS A              01877E107      406    13203 SH       SHARED                13203
D ALLIANCE TECHNOLOGY FD CLASS A            018780106     1185     8885 SH       SHARED                 8627               257
D ALLIANCE TECHNOLOGY FD CLASS A            018780106       24      180 SH       SHARED                            66      114
D ALLSTATE CORP                             020002101     2304    66300 SH       SHARED                 7000      300    59000
D ALLSTATE CORP                             020002101       55     1578 SH       SHARED                          1578
D ALPHA INDUSTRIES INC                      020753109      204     6000 SH       SHARED                                   6000
D ALPHARMA INC                              020813101      245     4000 SH       SHARED                                   4000
D ALTERA CORP                               021441100      296     6200 SH       SHARED                                   6200
D AMERADA HESS CORP                         023551104      334     4994 SH       SHARED                 4744      200       50
D AMERICA ONLINE                            02364J104     4557    84780 SH       SHARED                11980     2200    70600
D AMERICA ONLINE                            02364J104       54     1000 SH       SHARED                 1000
D AMERICAN CENTURY INTL GROWTH -            025086109      452    33954 SH       SHARED                33954
D AMERICAN ELEC PWR INC COM                 025537101      352     9002 SH       SHARED                 5162              3840
D AMERICAN EXPRESS CO.                      025816109     4529    74545 SH       SHARED                 7645             66900
D AMERICAN HOME PROD CORP COM               026609107     4072    71986 SH       SHARED                20286             51700
D AMERICAN HOME PROD CORP COM               026609107     1697    30000 SH       SHARED                30000
D AMERICAN INTERNATIONAL GROUP              026874107     8997    94026 SH       SHARED                 5808             88218
D AMER PWR CONVERS                          029066107     1206    62850 SH       SHARED                 2300      200    60350
D AMERICREDIT CORP                          03060R101      288    10000 SH       SHARED                                  10000
D AMGEN INC                                 031162100     1054    15095 SH       SHARED                14895      200
D AMGEN INC                                 031162100       42      600 SH       SHARED                           600
D AMSOUTH BANCORPORATION                    032165102    10530   842436 SH       SHARED               513644            328792
D AMSOUTH BANCORPORATION                    032165102       20     1604 SH       SHARED                          1604
D AMSOUTH MUT FDS                           032168262      792    29688 SH       SHARED                29688
D AMSOUTH MUT FDS                           032168288     1028    38552 SH       SHARED                38552
D AMSOUTH MUT FDS                           032168692      182    18635 SH       SHARED                18635
D AMSOUTH MUT FDS                           032168726      305    31451 SH       SHARED                31451
D ANDREW CORP                               034425108      345    13161 SH       SHARED                13161
D ANHEUSER BUSCH COS INC.                   035229103     2482    58650 SH       SHARED                 5950      200    52500
D ARKANSAS BEST CORP DEL                    040790107      308    20000 SH       SHARED                                  20000
D ARTESYN TECHNOLOGIES INC                  043127109      446    15300 SH       SHARED                  300             15000
D ASPECT COMMUNICATIONS INC                 04523Q102      206    10000 SH       SHARED                                  10000
D ATLAS AIR INC                             049164106      435    10300 SH       SHARED                                  10300
D ATMEL CORP                                049513104      851    56000 SH       SHARED                                  56000
D AVERY DENNISON                            053611109     1007    21720 SH       SHARED                 1670             20050
D BJ'S WHOLESALE CLUB INC                   05548J106      956    28000 SH       SHARED                                  28000
D BJ SERVICES CO                            055482103     1589    26000 SH       SHARED                                  26000
D BP AMOCO PLC                              055622104     2866    54076 SH       SHARED                15292             38784
D BANCORPSOUTH INC                          059692103      278    19328 SH       SHARED                19088               240
D BANCPLUS CORPORATION                      059990101    31632  1405869 SH       SHARED                37630  1368239
D BANK OF AMERICA CORPORATION               060505104     4467    85292 SH       SHARED                10592             74700
D BANK OF AMERICA CORPORATION               060505104      257     4910 SH       SHARED                 4910
D BANK OF NEW YORK INC COM                  064057102     2764    49300 SH       SHARED                 1300             48000
D BANTA CORP                                066821109      283    11600 SH       SHARED                  600             11000
D BARR LABORATORIES INC                     068306109      332     5000 SH       SHARED                                   5000
D BAXTER INTERNATIONAL INC.                 071813109     1776    22250 SH       SHARED                  650      200    21400
D BAXTER INTERNATIONAL INC.                 071813109      212     2650 SH       SHARED                 2650
D BECKMAN COULTER, INC                      075811109     2314    30000 SH       SHARED                                  30000
D BECTON DICKINSON & CO                     075887109      297    11240 SH       SHARED                10660      200      380
D BELL SOUTH CORP                           079860102     6017   149486 SH       SHARED                64286      200    85000
D BELL SOUTH CORP                           079860102      153     3800 SH       SHARED                 1400     2400
D BINDLEY WESTN INDS INC                    090324104      480    15000 SH       SHARED                                  15000
D BIOMET INC                                090613100      269     7680 SH       SHARED                 7680
D BLACK BOX CORP                            091826107      326     7000 SH       SHARED                                   7000
D BLOCK H & R INC COM                       093671105      287     7750 SH       SHARED                 7750
D BOEING COMPANY                            097023105      270     4286 SH       SHARED                 3556      200      530
D BRISTOL MYERS SQUIBB CO                   110122108     5775   101089 SH       SHARED                20665             80424
D BRISTOL MYERS SQUIBB CO                   110122108      440     7696 SH       SHARED                 4000     1200     2496
D BURLINGTON NORTHERN SANTA FE              12189T104      477    22110 SH       SHARED                 3530             18580
D C&D TECHNOLOGIES INC                      124661109      795    14000 SH       SHARED                                  14000
D C-CUBE MICROSYSTEMS INC NEW               12501N108      314    15325 SH       SHARED                  325             15000
D CDW COMPUTER CENTERS INC                  125129106      380     5500 SH       SHARED                                   5500
D CH ENERGY GROUP INC                       12541M102      475    11920 SH       SHARED                  920             11000
D CLECO CORPORATION                         12561W105     1809    38700 SH       SHARED                                  38700
D CNL AMERICAN PROPERTIES FUND              12613A101      215    10752 SH       SHARED                10752
D CTS CORPORATION                           126501105      354     7000 SH       SHARED                                   7000
D CABLE DESIGN TECHNOLOGIES CO              126924109      365    15000 SH       SHARED                                  15000
D CABOT CORP                                127055101      824    26000 SH       SHARED                                  26000
D CADENCE DESIGN                            127387108     1970    76700 SH       SHARED                  200             76500
D CALPINE CORPORATION                       131347106     2171    20800 SH       SHARED                                  20800
D CAMBREX CORP                              132011107      444    12000 SH       SHARED                                  12000
D CAMPBELL SOUP                             134429109       16      600 SH       SHARED                  600
D CAMPBELL SOUP                             134429109      207     8000 SH       SHARED                 8000
D FEDERATED CAPITAL PRESERVATION            140411109     8507   850737 SH       SHARED               574869       13   275854
D CARLISLE COMPANIES INC                    142339100     1245    30000 SH       SHARED                                  30000
D CATALINA MARKETING CORP                   148867104      452    12000 SH       SHARED                                  12000
D CATO CORP NEW CLASS A                     149205106      125    10000 SH       SHARED                                  10000
D CERIDIAN CORP                             15677T106     1406    50100 SH       SHARED                 4100             46000
D CHASE MANHATTAN CORP NEW                  16161A108     3282    71060 SH       SHARED                10160      300    60600
D CHEESECAKE FACTORY                        163072101      389     9000 SH       SHARED                                   9000
D CHEMFIRST INC-W/I                         16361A106      271    13022 SH       SHARED                11176              1846
D CHEVRON CORP                              166751107     4047    47475 SH       SHARED                 8441      200    38834
D CHEVRON CORP                              166751107       77      900 SH       SHARED                  500      400
D CHIRON CORP                               170040109     1260    28000 SH       SHARED                                  28000
D CHOICEPOINT INC                           170388102      367     8000 SH       SHARED                                   8000
D CIRCUIT CITY STORE (CIRCUIT CIT           172737108     1048    45545 SH       SHARED                 4545             41000
D CISCO SYSTEMS INC.                        17275R102    15542   281302 SH       SHARED                20802     1400   259100
D CIRRUS LOGIC                              172755100      560    13900 SH       SHARED                                  13900
D CINTAS CORP                               172908105      958    22000 SH       SHARED                                  22000
D CITIGROUP INC                             172967101    10183   188357 SH       SHARED                23410            164947
D CITY NATIONAL CORP                        178566105     1236    32000 SH       SHARED                                  32000
D CLAYTON HOMES INC                         184190106      140    14022 SH       SHARED                14022
D COCA COLA CO COM                          191216100     8872   160943 SH       SHARED                77613             83330
D COCA COLA CO COM                          191216100       88     1600 SH       SHARED                          1600
D COHERENT INC                              192479103      286     4200 SH       SHARED                  200              4000
D COLGATE PALMOLIVE CO COM                  194162103     2637    55860 SH       SHARED                15860             40000
D COMDISCO INC                              200336105     3145   165000 SH       SHARED                                 165000
D COMMERCIAL NET LEASE REALTY               202218103      311    30000 SH       SHARED                                  30000
D COMMONWEALTH NATIONAL LIFE                203990106                92 SH       SHARED                   92
D COMMONWEALTH NATIONAL LIFE                203990106       50    50001 SH       SHARED                                  50001
D COMPAQ COMPUTER CORP.                     204493100     2080    75400 SH       SHARED                 8200             67200
D COMPAQ COMPUTER CORP.                     204493100       36     1300 SH       SHARED                          1300
D COMPUTER ASSOC INTL INC                   204912109     1044    41460 SH       SHARED                14970      200    26290
D CONCORD EFS INC                           206197105     1190    33500 SH       SHARED                                  33500
D CONSOLIDATED EDISON INC                   209115104     1926    56425 SH       SHARED                 5225             51200
D CONSTELLATION BRANDS INC                  21036P108      815    15000 SH       SHARED                                  15000
D COR THERAPEUTICS INC                      217753102      312     5000 SH       SHARED                                   5000
D CORNING INC                               219350105      446     1500 SH       SHARED                  300              1200
D CROSS TIMBERS OIL CO                      227573102      288    15000 SH       SHARED                                  15000
D CROFT METALS, INC.                        227991106   185000  1000000 SH       SHARED                       1000000
D CULLEN/FROST BANKERS INC                  229899109      325    10000 SH       SHARED                                  10000
D CYPRESS SEMICONDUCTOR                     232806109      582    14000 SH       SHARED                                  14000
D D R HORTON INC                            23331A109      468    27250 SH       SHARED                                  27250
D DST SYSTEMS INC                           233326107      529     4500 SH       SHARED                                   4500
D DTE ENERGY CO                             233331107     2491    65115 SH       SHARED                 6615             58500
D DTE ENERGY CO                             233331107       77     2000 SH       SHARED                 2000
D DAIN RAUSCHER CORP                        233856103      567     6100 SH       SHARED                  100              6000
D DALLAS SEMICONDUCTOR CORPORATIO           235204104      658    20000 SH       SHARED                                  20000
D DANA CORP COM                             235811106      278    12953 SH       SHARED                12953
D DELL COMPUTER CORP.                       247025109     3939   127825 SH       SHARED                10050      475   117300
D DEVON ENERGY CORP NEW                     25179M103      502     8348 SH       SHARED                  648              7700
D DEXTER CORP                               252165105      540     9000 SH       SHARED                                   9000
D DIME BANCORP INC NEW                      25429Q102      927    43000 SH       SHARED                                  43000
D DISNEY WALT CO (HOLDING COMPANY           254687106     3211    83950 SH       SHARED                 6050             77900
D DISNEY WALT CO (HOLDING COMPANY           254687106      101     2640 SH       SHARED                          2640
D DOLLAR TREE STORES INC                    256747106      548    13500 SH       SHARED                                  13500
D DOMINION RESOURCES INC VA NEW             25746U109      206     3546 SH       SHARED                 3546
D DOMINION RESOURCES INC VA NEW             25746U109       29      500 SH       SHARED                           500
D DOW CHEM CO COM                           260543103      176     7054 SH       SHARED                 5054      200     1800
D DOW CHEM CO COM                           260543103       42     1689 SH       SHARED                 1689
D DREYFUS MUNICIPAL BOND FUND INC           26201Q104      197    17089 SH       SHARED                17089
D DU PONT E I DE NEMOURS & CO               263534109     1911    46120 SH       SHARED                16320             29800
D DUKE ENERGY CORPORATION COM               264399106      420     4895 SH       SHARED                 4895
D DYCOM INDUSTRIES INC                      267475101      624    15000 SH       SHARED                                  15000
D DYNEGY INC NEW                            26816Q101     2052    36000 SH       SHARED                                  36000
D EMC CORP                                  268648102     6925    69865 SH       SHARED                 4665      400    64800
D ENSCO INTERNATIONAL INC                   26874Q100      689    18000 SH       SHARED                                  18000
D E*TRADE GROUP INC                         269246104      608    37000 SH       SHARED                                  37000
D EATON VANCE CORP, NON-VOTING              278265103      357     7000 SH       SHARED                                   7000
D A G EDWARDS INC                           281760108     4028    77000 SH       SHARED                                  77000
D EL PASO ENERGY CORPORATION DEL            283905107     1046    16973 SH       SHARED                10469              6504
D ELECTRONIC ARTS INC                       285512109     3456    70000 SH       SHARED                                  70000
D ENERGEN CORP                              29265N108      595    20000 SH       SHARED                                  20000
D ENERGY EAST CORP                          29266M109     2127    94000 SH       SHARED                                  94000
D ENRON CORP                                293561106      203     2314 SH       SHARED                 2314
D ENTERGY CORPORATION NEW                   29364G103     1806    48472 SH       SHARED                 2972             45500
D ENTERGY CORPORATION NEW                   29364G103       93     2500 SH       SHARED                 2500
D ENZO BIOCHEM INC                          294100102      243     5000 SH       SHARED                                   5000
D EQUITY INCOME FUND (AT&T)                 294700703      374     2400 SH       SHARED                 2400
D EXPEDITORS INTL WASH INC                  302130109      225     5000 SH       SHARED                                   5000
D EXXON MOBIL CORP                          30231G102    15021   168541 SH       SHARED                60833      100   107608
D EXXON MOBIL CORP                          30231G102     1180    13244 SH       SHARED                12844      400
D FEDERAL HOME LOAN MORTGAGE COM            313400301     3552    65700 SH       SHARED                10900             54800
D FEDERAL NATL MORTGAGE ASSN.               313586109     4871    68133 SH       SHARED                10873      200    57060
D FEDERATED SH-INT MUNI - INSTL F           313907107     1944   192864 SH       SHARED               192864
D FEDERATED GNMA INSTL SHARES FUN           314184102      208    18948 SH       SHARED                18948
D FEDERATED GNMA INSTL SHARES FUN           314184102       82     7429 SH       SHARED                 7429
D FEDERATED INCOME TRUST-INSTI FU           314199100      146    14553 SH       SHARED                14553
D FEDEX CORP                                31428X106     1924    43385 SH       SHARED                 8890             34495
D FIDELITY CASH RESERVES                    316067107       37    36903 SH       SHARED                36903
D FIDELITY INTERMEDIATE                     31617K303      125    13270 SH       SHARED                 4297     8974
D FIRST SECURITY CP                         336294103     1916   117450 SH       SHARED                                 117450
D FIRST TR GNMA FD                          337335780       50    52000 SH       SHARED                52000
D FISERV INC                                337738108      958    16000 SH       SHARED                                  16000
D FIRSTENERGY CORP                          337932107     1525    56600 SH       SHARED                 1600             55000
D FLEETBOSTON FINANCIAL CORP                339030108     1628    41745 SH       SHARED                 1545      200    40000
D FLORIDA ROCK INDS INC                     341140101      276     7000 SH       SHARED                                   7000
D FORD MOTOR COMPANY  DEL                   345370860     1685    66561 SH       SHARED                13536             53024
D FOREST LABORATORIES INC.                  345838106     6114    53314 SH       SHARED                43314             10000
D FRANKLIN CUSTODIAN INCOME - A             353496300       38    15959 SH       SHARED                15959
D FRANKLIN SMALL CAP GROWTH - A             354713109      541    10676 SH       SHARED                10676
D FRANKLIN STRATEGIC SER                    354713620    14946  1199542 SH       SHARED               922560   223283    53699
D FRANKLIN STRATEGIC SER                    354713620      156    12533 SH       SHARED                 8555     1205     2774
D FRANKLIN INSURED TAX-FREE INCOM           354723108      310    26756 SH       SHARED                26756
D FRANKLIN HIGH-YIELD TAX FREE IN           354723702      438    41921 SH       SHARED                41921
D FRIEDE GOLDMAN HALTER INC                 358430106      144    20453 SH       SHARED                 6453             14000
D AMERICAN FDS - FUNDAMENTAL INVE           360802102      135     3988 SH       SHARED                 3988
D AMERICAN FDS - FUNDAMENTAL INVE           360802102       88     2586 SH       SHARED                 2586
D GADDIS FARMS CLASS B COMM                 362990103     3328      800 SH       SHARED                  800
D GALAXIE CORPORATION                       362990202    20786    39667 SH       SHARED                39667
D GALLAGHER ARTHUR J & CO                   363576109      828    14000 SH       SHARED                                  14000
D GANNETT INC                               364730101      284     5350 SH       SHARED                 5050      200      100
D GAP INC                                   364760108      594    29495 SH       SHARED                 6015             23480
D GAP INC                                   364760108       34     1687 SH       SHARED                          1687
D GENERAL ELECT CO COM                      369604103    24904   431704 SH       SHARED               108696      300   322708
D GENERAL ELECT CO COM                      369604103     3588    62200 SH       SHARED                62200
D GENERAL MTRS CORP COM                     370442105     2896    44550 SH       SHARED                10650             33900
D GENERAL MTRS CORP COM                     370442105      104     1600 SH       SHARED                 1600
D GENTEX CORP                               371901109      250    10000 SH       SHARED                                  10000
D GENZYME CORP (GENERAL DIVISION            372917104     2046    30000 SH       SHARED                                  30000
D GILLETTE CO COM                           375766102     2158    69890 SH       SHARED                 6490             63400
D GILLETTE CO COM                           375766102     1433    46400 SH       SHARED                46400
D GOLDMAN SACHS INTERNATIONAL EQU           38141W596     9296   413873 SH       SHARED               389421     2404    22048
D GOLDMAN SACHS INTERNATIONAL EQU           38141W596      152     6773 SH       SHARED                 4065     2050      658
D GRACO INC                                 384109104      323    10000 SH       SHARED                                  10000
D AMERICAN GROWTH FUND OF AMERICA           399874106      570    16540 SH       SHARED                16540
D AMERICAN GROWTH FUND OF AMERICA           399874106      165     4797 SH       SHARED                 3785     1012
D HCA- THE HEALTHCARE CO                    404119109      468    12600 SH       SHARED                                  12600
D HNC SOFTWARE INC                          40425P107      327     4000 SH       SHARED                                   4000
D HS RESOURCES, INC                         404297103      269     8000 SH       SHARED                                   8000
D HALLIBURTON CO COM (HOLDING COM           406216101      524    10700 SH       SHARED                 1900              8800
D H K HAMMETT & SONS, INC.                  408990109      387      900 SH       SHARED                                    900
D HANCOCK HLDG CO                           410120109     1146    37041 SH       SHARED                36811      230
D HARCOURT GENERAL INC                      41163G101      342     5800 SH       SHARED                                   5800
D HARMAN INTERNATIONAL INDUSTRIES           413086109      469    12000 SH       SHARED                                  12000
D OAKMARK INTERNATIONAL FUND - I            413838202      630    40927 SH       SHARED                40927
D HEALTH MGMT ASSOCIATES INC                421933102      324    15586 SH       SHARED                15586
D HENRY (JACK) & ASSOCIATES                 426281101      217     5000 SH       SHARED                                   5000
D HERSHEY FOODS CORP                        427866108     1129    20850 SH       SHARED                  850             20000
D HEWLETT-PACKARD COMPANY COM               428236103     4769    49170 SH       SHARED                 4570             44600
D HOME DEPOT INC.                           437076102     4419    83279 SH       SHARED                14444             68835
D HOME DEPOT INC.                           437076102      520     9794 SH       SHARED                 8994      800
D HONEYWELL INTERNATIONAL INC               438516106      240     6727 SH       SHARED                 5727              1000
D HONEYWELL INTERNATIONAL INC               438516106      180     5060 SH       SHARED                 3452     1100      508
D HOUSEHOLD INTERNATIONAL INC.              441815107      603    10649 SH       SHARED                10649
D HOWARD INDUSTRIES                         442990107     2795    60902 SH       SHARED                49204    11698
D HYPERION SOLUTIONS CORP                   44914M104      259    10000 SH       SHARED                                  10000
D ILLINOIS TOOL WORKS INC.                  452308109      818    14648 SH       SHARED                 3248      200    11200
D AMERICAN FDS-INCOME FUND OF AME           453320103      166    10563 SH       SHARED                10563
D INSIGHT ENTERPRISES                       45765U103      409    15000 SH       SHARED                                  15000
D INTEL CORP                                458140100    12826   308584 SH       SHARED                61140      300   247144
D INTEL CORP                                458140100       67     1600 SH       SHARED                          1600
D INTERNATIONAL BUSINESS MACHS              459200101    10465    93022 SH       SHARED                 9605             83417
D INTERNATIONAL BUSINESS MACHS              459200101      720     6400 SH       SHARED                 6000      400
D INTERNATIONAL GAME TECHNOLOGY             459902102      989    29400 SH       SHARED                  400             29000
D INTERNATIONAL PAPER CO                    460146103       63     2193 SH       SHARED                 1813               380
D INTERNATIONAL PAPER CO                    460146103      184     6400 SH       SHARED                 6400
D INTUIT INC                                461202103     1368    24000 SH       SHARED                                  24000
D INVESCO SELECT INCOME FUND                46128R100     2611   433770 SH       SHARED               433770
D AMERICAN FDS - INVESTMENT CO OF           461308108      302     9256 SH       SHARED                 9256
D IVAX CORP                                 465823102     2768    60175 SH       SHARED                  175             60000
D IVEY NATIONAL CORPORATION, COMM           465990109       17       40 SH       SHARED                   40
D IVEY NATIONAL CORPORATION, COMM           465990109     2734     6500 SH       SHARED                          6500
D JDS UNIPHASE CORP                         46612J101     1747    18449 SH       SHARED                 2449             16000
D JABIL CIRCUIT INC                         466313103     1249    22000 SH       SHARED                                  22000
D JACK IN THE BOX INC                       466367109      214    10000 SH       SHARED                                  10000
D JANUS WORLDWIDE FUND # 41                 471023309      484     6559 SH       SHARED                 6328               231
D JANUS WORLDWIDE FUND # 41                 471023309        7       96 SH       SHARED                                     96
D JOHNSON & JOHNSON COM                     478160104     6136    65325 SH       SHARED                14495      200    50630
D JOHNSON & JOHNSON COM                     478160104       38      400 SH       SHARED                           400
D JOHNSON CONTROLS                          478366107      406     7640 SH       SHARED                 7390      200       50
D JONES APPAREL GROUP INC                   480074103     2306    87000 SH       SHARED                                  87000
D JUMBOSPORTS INC                           481386AA8             10000 SH       SHARED
D KAYDON INC                                486587108      644    28000 SH       SHARED                                  28000
D KEMET CORP                                488360108      276    10000 SH       SHARED                                  10000
D KEYSPAN CORP                              49337W100     2087    52000 SH       SHARED                                  52000
D KIMBERLY CLARK CORP                       494368103     2237    40080 SH       SHARED                 3680             36400
D KIMBERLY CLARK CORP                       494368103      893    16000 SH       SHARED                16000
D KING PHARMACEUTICALS INC                  495582108      376    11250 SH       SHARED                                  11250
D KROGER CO                                 501044101     1198    53086 SH       SHARED                53086
D KRONOS INC                                501052104      294     9800 SH       SHARED                                   9800
D LANCASTER COLONY CORP                     513847103     1383    56299 SH       SHARED                                  56299
D LANDSTAR SYSTEMS INC                      515098101      223     5000 SH       SHARED                                   5000
D LEGG MASON INCORPORATED                   524901105     1298    22332 SH       SHARED                  332             22000
D LEHMAN BROTHERS HOLDINGS INC              524908100      591     4000 SH       SHARED                 1000              3000
D ELI LILLY & CO                            532457108     3981    49075 SH       SHARED                 1275             47800
D LUCENT TECHNOLOGIES INC                   549463107     3419   111858 SH       SHARED                17858             94000
D LUCENT TECHNOLOGIES INC                   549463107      234     7652 SH       SHARED                 3296     4356
D MDC HOLDINGS INC                          552676108      486    18700 SH       SHARED                                  18700
D MFS GROWTH OPPORTUNITIES FUND-A           552723108      198    10206 SH       SHARED                         10206
D MFS MISSISSIPPI MUNI BOND - B             55273N715      129    13589 SH       SHARED                13589
D MFS TOTAL RETURN FUND CLASS A             552981300      288    18967 SH       SHARED                18967
D MFS HIGH YEILD MUNICIPAL BOND -           552984304       85    10409 SH       SHARED                10409
D MANDALAY RESORT GROUP                     562567107      331    12900 SH       SHARED                                  12900
D MANULIFE FINANCIAL CORP                   56501R106     1151    55478 SH       SHARED                55478
D MARSHALL & ILSLEY CORP                    571834100      702    14000 SH       SHARED                                  14000
D MFS MASS INV GROWTH STOCK - A             575719109     4937   226056 SH       SHARED                95044   114692    16320
D MASTER GRAPHICS INC                       576346100        8    99280 SH       SHARED                43390             55890
D MAXIM INTEGRATED PRODUCTS INC             57772K101     3837    47700 SH       SHARED                                  47700
D MCDONALDS CORP COM                        580135101     2217    73450 SH       SHARED                12850             60600
D MCGRAW-HILL COMPANIES INC                 580645109      319     5025 SH       SHARED                   25              5000
D MEDICIS PHARMACEUTICAL CORP               584690309      246     4000 SH       SHARED                                   4000
D MEDIMMUNE INC                             584699102     2086    27000 SH       SHARED                                  27000
D MEDTRONIC INC                             585055106      682    13160 SH       SHARED                13160
D THE MEN'S WEARHOUSE INC                   587118100      283    10000 SH       SHARED                                  10000
D MENTOR GRAPHICS CORP                      587200106      389    16500 SH       SHARED                                  16500
D MAYS WHOLESALE DRY GOODS                  587990102      646      176 SH       SHARED                  176
D MERCK & CO INC COM                        589331107    10485   140859 SH       SHARED                45098      125    95636
D MERCK & CO INC COM                        589331107     1198    16100 SH       SHARED                 1000    15100
D MEREDITH CORP                             589433101     2108    71455 SH       SHARED                10095      200    61160
D MERRILL LYNCH & CO INC COM                590188108     3667    55564 SH       SHARED                 8984             46580
D METHODE ELECTRONICS CLASS A               591520200      443    10000 SH       SHARED                                  10000
D MICREL INC                                594793101      422     6300 SH       SHARED                                   6300
D MICROSOFT CORP                            594918104    11173   185247 SH       SHARED                14025      350   170872
D MICROCHIP TECHNOLOGY INC                  595017104      595    18000 SH       SHARED                                  18000
D MILLENNIUM PHARMACEUTICALS I              599902103     1753    12000 SH       SHARED                                  12000
D MINNESOTA MNG MFG CO COM                  604059105      555     6090 SH       SHARED                 5200               890
D MINNESOTA MNG MFG CO COM                  604059105      146     1600 SH       SHARED                 1000      600
D MORGAN J P & C0                           616880100      239     1462 SH       SHARED                 1462
D MORGAN STANLEY DEAN WITTER US             616969200      162    18546 SH       SHARED                18546
D MORGAN STANLEY DEAN WITTER & CO           617446448     3385    37025 SH       SHARED                 1025             36000
D MORGAN STANLEY DEAN WITTER & CO           617446448       29      316 SH       SHARED                           316
D MOTOROLA INC COM                          620076109     2639    93422 SH       SHARED                 8942             84480
D MUELLER INDUSTRIALS INC                   624756102      337    15000 SH       SHARED                                  15000
D MUNICIPAL PARTNERS FUND II                62622E107      343    29517 SH       SHARED                 7000             22517
D MYLAN LABS INC                            628530107     1888    70075 SH       SHARED                   75             70000
D NABORS IND INC                            629568106      891    17000 SH       SHARED                                  17000
D NATIONAL COMMERCE                         635449101      282    14128 SH       SHARED                14128
D NATIONAL INSTRUMENTS                      636518102      441    10000 SH       SHARED                                  10000
D NETWORK APPLIANCE INC                     64120L104      510     4000 SH       SHARED                                   4000
D AMERICAN FUNDS - NEW PERSPECTIV           648018109      193     6738 SH       SHARED                 6738
D AMERICAN FUNDS - NEW PERSPECTIV           648018109      113     3945 SH       SHARED                 2928     1017
D NEW YORK TIMES CO CLASS A                 650111107      284     7235 SH       SHARED                 6235              1000
D NEWFIELD EXPLORATION CO                   651290108      467    10000 SH       SHARED                                  10000
D NEWPORT NEWS SHIPBUILDING INC             652228107      579    13345 SH       SHARED                  345             13000
D 99 CENTS ONLY STORES                      65440K106      251     5000 SH       SHARED                                   5000
D NOBLE DRILLING CORP                       655042109      854    17000 SH       SHARED                                  17000
D NORTEL NETWORKS CORP NEW                  656568102     5370    90150 SH       SHARED                 3550             86600
D NORTHERN GROWTH EQUITY FUND               665162103      728    29133 SH       SHARED                29133
D NORTHROP GRUMMAN CORP                     666807102     3260    35870 SH       SHARED                 2280      200    33390
D NOVELLUS SYSTEMS INC                      670008101      402     8625 SH       SHARED                 1625              7000
D NVIDIA CORPORATION                        67066G104      385     4700 SH       SHARED                                   4700
D NUVEEN MUNICIPAL VALUE FUND INC           670928100       94    10825 SH       SHARED                10825
D NUVEEN MUNICIPAL VALUE FUND INC           670928100        8      978 SH       SHARED                           978
D OMAN CONSTRUCTION CO., INC.               682051891     2408    60198 SH       SHARED                60198
D OPPENHEIMER ENTERPRISE FUND CLA           68379J108      584    16291 SH       SHARED                16291
D ORACLE CORPORATION                        68389X105     7902   100340 SH       SHARED                 7540             92800
D ORTHODONTIC CENTERS OF AMERICA            68750P103      666    20000 SH       SHARED                                  20000
D OUTBACK STEAKHOUSE INC                    689899102      760    28000 SH       SHARED                                  28000
D THE PMI GROUP                             69344M101     1220    18000 SH       SHARED                                  18000
D PSS WORLD MEDICAL INC                     69366A100      133    36750 SH       SHARED                36750
D PALM INC                                  696642107      307     5797 SH       SHARED                 5797
D PATTERSON DENTAL COMPANY                  703412106     1125    50000 SH       SHARED                                  50000
D PAYLESS SHOESOURCE INC                    704379106      504     9000 SH       SHARED                                   9000
D THE PEOPLE'S HOLDING CO                   711148106      349    17471 SH       SHARED                17471
D PEPSICO INC COM                           713448108     4365    94899 SH       SHARED                21999             72900
D PEPSICO INC COM                           713448108       46     1000 SH       SHARED                 1000
D PERFORMANCE SHORT TERM GOVERNME           713756401    64559  6601088 SH       SHARED              6134950   121501   344637
D PERFORMANCE SHORT TERM GOVERNME           713756401     1253   128132 SH       SHARED                53752    59562    14818
D PERFORMANCE INTERMEDIATE TERM             713756609   117472 11901639 SH       SHARED              1124575   170289   606774
D PERFORMANCE INTERMEDIATE TERM             713756609     2215   224418 SH       SHARED               139383    71586    13449
D PERFORMANCE LEADERS EQUITY FUND           713756757    12602  1262736 SH       SHARED              1196126    17425    49185
D PERFORMANCE LEADERS EQUITY FUND           713756757       55     5556 SH       SHARED                          5556
D PERFORMANCE LARGE CAP EQUITY FU           713756807   139475  4883593 SH       SHARED              4200955   470747   211890
D PERFORMANCE LARGE CAP EQUITY FU           713756807     4345   152137 SH       SHARED                72223    71609     8305
D PERFORMANCE SMALL CAP EQUITY FU           713756856    28796  3136801 SH       SHARED              2965402    72786    98613
D PERFORMANCE SMALL CAP EQUITY FU           713756856      277    30223 SH       SHARED                22508     4656     3058
D PERFORMANCE MID CAP EQUITY FUND           713756872    67221  3419200 SH       SHARED              2874486   375881   168833
D PERFORMANCE MID CAP EQUITY FUND           713756872     1588    80766 SH       SHARED                41490    35919     3357
D PFIZER INC COM                            717081103    11024   245320 SH       SHARED                51820      200   193300
D PHARMACIA CORP                            71713U102      438     7280 SH       SHARED                 4930      200     2150
D PHARMACIA CORP                            71713U102       52      862 SH       SHARED                  862
D PHILIP MORRIS COS COM                     718154107       64     2180 SH       SHARED                 2180
D PHILIP MORRIS COS COM                     718154107      707    24000 SH       SHARED                24000
D PHILLIPS PETROLEUM CO.                    718507106      211     3364 SH       SHARED                 3364
D PHYCOR INC                                71940FAB6        1    10000 SH       SHARED
D PIEDMONT NATURAL GAS COMPANY              720186105      358    11688 SH       SHARED                  188             11500
D PITNEY BOWES INC                          724479100      384     9740 SH       SHARED                 9440      200      100
D PLACER DOME INC                           725906101      213    22549 SH       SHARED                19384              3165
D PLANTRONICS INC                           727493108      570    15000 SH       SHARED                                  15000
D PLEXUS CORP                               729132100      353     5000 SH       SHARED                                   5000
D PRECISION CASTPARTS                       740189105      768    20000 SH       SHARED                                  20000
D T ROWE PRICE-TAX FREE HIGH YIEL           741486104      121    10577 SH       SHARED                10577
D PRIORITY HEALTHCARE CORP                  74264T102      305     4000 SH       SHARED                                   4000
D PROCTER & GAMBLE CO COM                   742718109     3598    53700 SH       SHARED                 7500      200    46000
D PROCTER & GAMBLE CO COM                   742718109      214     3200 SH       SHARED                 3200
D PROTEIN DESIGN LABS INC                   74369L103      627     5200 SH       SHARED                  200              5000
D PUBLIC SERVICE CO OF N MEX                744499104      414    16000 SH       SHARED                                  16000
D PUGET SOUND ENERGY INC                    745332106      837    33000 SH       SHARED                                  33000
D PULTE CORP                                745867101      462    14015 SH       SHARED                 3315             10700
D PUTNAM INVESTOR FUND CL-A                 746809102      253    13769 SH       SHARED                13769
D PUTNAM TAX EXEMPT - CLASS A               746870104       73     8581 SH       SHARED                 8581
D PUTNAM TAX EXEMPT - CLASS A               746870104       29     3458 SH       SHARED                          3458
D PUTNAM NEW OPPORTUNITIES - B              746916204      237     2671 SH       SHARED                 2671
D QLOGIC CORP                               747277101      792     9000 SH       SHARED                                   9000
D QUALCOMM INCORPORATED                     747525103     1823    25585 SH       SHARED                 3485             22100
D QUALCOMM INCORPORATED                     747525103        3       45 SH       SHARED                            45
D QUANTUM CORP                              747906204     1808   120000 SH       SHARED                                 120000
D QUEST DIAGNOSTICS INC                     74834L100      324     2825 SH       SHARED                   25              2800
D QWEST COMMUNICATIONS INTL INC             749121109      450     9370 SH       SHARED                 5770              3600
D QWEST COMMUNICATIONS INTL INC             749121109       85     1776 SH       SHARED                 1776
D RSA SECURITY, INC                         749719100      431    10000 SH       SHARED                                  10000
D RADIAN GROUP INC                          750236101      689    10200 SH       SHARED                  200             10000
D RATIONAL SOFTWARE CORP                    75409P202     1526    22000 SH       SHARED                                  22000
D REEBOK INTERNATIONAL                      758110100      412    21900 SH       SHARED                  700      200    21000
D RELIANT ENERGY INC                        75952J108      594    12782 SH       SHARED                 1382             11400
D RELIANT ENERGY INC                        75952J108       37      800 SH       SHARED                  800
D REYNOLDS & REYNOLDS                       761695105     1077    54200 SH       SHARED                                  54200
D ROBERT HALF INTERNATIONAL INC.            770323103     1443    41600 SH       SHARED                 1600             40000
D ROCKWELL INTL CORP NEW                    773903109      814    26921 SH       SHARED                 7341      200    19380
D T. ROWE PRICE INTERNATIONAL STK           77956H203       55     3262 SH       SHARED                 3262
D T. ROWE PRICE INTERNATIONAL STK           77956H203      161     9567 SH       SHARED                 9567
D ROYAL BANK SCOTLAND ADR                   780097408      402    16000 SH       SHARED                 2000             14000
D ROYAL DUTCH PETROLEUM CO-NY SHA           780257804     5675    94678 SH       SHARED                 6778             87900
D ROYAL DUTCH PETROLEUM CO-NY SHA           780257804      384     6400 SH       SHARED                 6400
D RUBY TUESDAY INC                          781182100      225    20000 SH       SHARED                                  20000
D SBC COMMUNICATIONS INC                    78387G103     8361   167222 SH       SHARED                45564            121658
D SBC COMMUNICATIONS INC                    78387G103      117     2335 SH       SHARED                 1335     1000
D SCI INC                                   783890106      907    22112 SH       SHARED                 4000             18112
D SEI INVESTMENTS COMPANY                   784117103      474     6700 SH       SHARED                                   6700
D SALOMON BROTHRS 2008 WORLDWIDE            79548R103      137    15000 SH       SHARED                                  15000
D SANDERSON FARMS INC                       800013104      250    36685 SH       SHARED                32685     4000
D SANMINA CORP                              800907107     2004    21400 SH       SHARED                                  21400
D SCANA CORP NEW                            80589M102     1235    40000 SH       SHARED                                  40000
D SCANA CORP NEW                            80589M102       31     1000 SH       SHARED                          1000
D SCHERING-PLOUGH CORP                      806605101     4891   105180 SH       SHARED                34980      100    70100
D SCHLUMBERGER LTD                          806857108       99     1200 SH       SHARED                 1200
D SCHLUMBERGER LTD                          806857108      165     2000 SH       SHARED                 2000
D SECURITY BANK OF AMORY, MS                813990108     2291      567 SH       SHARED                                    567
D SEMTECH CORP                              816850101      356     8600 SH       SHARED                                   8600
D SEMPRA ENERGY                             816851109     1325    63643 SH       SHARED                 4094             59549
D SHAW INDUSTRIES INC                       820286102      194    10500 SH       SHARED                10500
D SILICON VALLEY BANCSHARES                 827064106     1456    25000 SH       SHARED                                  25000
D SMITH INTERNATIONAL INC                   832110100     3263    40000 SH       SHARED                                  40000
D THE SOUTHERN CO COM                       842587107     4565   140737 SH       SHARED                39337            101400
D THE SOUTHERN CO COM                       842587107      182     5600 SH       SHARED                 4500     1100
D SOUTHERN MINERAL CORP                     843367AA1       46   132339 SH       SHARED
D SOUTHERN MINERAL CORP                     843367301      115    34572 SH       SHARED                                  34572
D SPRINT CORP                               852061100     1771    60405 SH       SHARED                 9205             51200
D STRYKER CORP                              863667101     4637   108000 SH       SHARED                                 108000
D SUIZA FOODS CORP                          865077101      608    12000 SH       SHARED                                  12000
D SUN LIFE FIN SVCS CANADA INC.             866796105      360    17461 SH       SHARED                12113              5348
D SUN MICROSYSTEM INC                       866810104     7941    68015 SH       SHARED                17165      400    50450
D SUN MICROSYSTEM INC                       866810104       58      500 SH       SHARED                           500
D SUNTRUST BANKS INC                        867914103     1868    37507 SH       SHARED                 7007             30500
D TARGET CORP                               87612E106      381    14875 SH       SHARED                14875
D TECHNE CORP                               878377100      336     3000 SH       SHARED                                   3000
D TECHNITROL INC                            878555101      202     2000 SH       SHARED                                   2000
D TELEPHONE ANS DATA SYSTEMS INC            879433100      886     8000 SH       SHARED                                   8000
D TEMPLETON FOREIGN FUND CLASS A            880196209      584    57129 SH       SHARED                46649     8310     2170
D TEMPLETON FOREIGN FUND CLASS A            880196209       40     3895 SH       SHARED                          3895
D TEXACO INC, COM                           881694103      368     7015 SH       SHARED                 6815      200
D TEXAS INSTRS INC COM                      882508104     2842    60230 SH       SHARED                 7140             53090
D TEXTRON INC                               883203101     1913    41465 SH       SHARED                 3165      200    38100
D TIFFANY & CO NEW                          886547108      328     8500 SH       SHARED                                   8500
D TIMBERLAND COMPANY                        887100105      820    20000 SH       SHARED                                  20000
D TIME WARNER, INC                          887315109     3295    42105 SH       SHARED                 1405             40700
D TORRENCE CABLEVISION. U.S.A. IN           891991101      598     1000 SH       SHARED                                   1000
D TRUE NORTH COMMUNICATIONS INC             897844106      250     7000 SH       SHARED                                   7000
D TRUSTMARK CORP                            898402102    58439  2996884 SH       SHARED              2321032   107677   568175
D TRUSTMARK CORP                            898402102     6696   343361 SH       SHARED                14387   223436   105538
D TRUST ONE BANK                            898490958      235    15646 SH       SHARED                15646
D TYCO INTERNATIONAL LTD                    902124106     3089    59538 SH       SHARED                 5878             53660
D UST INC                                   902911106      270    11800 SH       SHARED                11800
D UNILEVER N V                              904784709      576    11931 SH       SHARED                 1931             10000
D UNION PLANTERS CORP COM                   908068109     2826    85479 SH       SHARED                83714     1465      300
D UNITED STATIONERS INC                     913004107      269    10000 SH       SHARED                                  10000
D UNITEDHEALTH GROUP INC                    91324P102      484     4900 SH       SHARED                                   4900
D UNIVERSAL HEALTH SERVICES INC             913903100      428     5000 SH       SHARED                                   5000
D USFREIGHTWAYS CORPORATION                 916906100      227    10000 SH       SHARED                                  10000
D VALERO ENERGY CORP NEW                    91913Y100     1056    30000 SH       SHARED                                  30000
D VAN KAMPEN PRIME RATE INCOME TR           920914108      422    44709 SH       SHARED                44709
D VAN KAMPEN AGGRESSIVE GROWTH FD           92113A843      987    27779 SH       SHARED                27779
D VAN KAMPEN EMERGING GROWTH - A            92113B106      794     7654 SH       SHARED                 7654
D VAN KAMPEN MID CAP GROWTH FUND            921133476     2884   203064 SH       SHARED               112066    71234    19764
D VAN KAMPEN MID CAP GROWTH FUND            921133476       41     2866 SH       SHARED                          1053     1814
D VANGUARD INDEX 500  FUND #40              922908108      848     6398 SH       SHARED                 6398
D VANGUARD TOTAL STK MKT INDEX A            922908306      313     9563 SH       SHARED                 9563
D VERITY INC. COM                           92343C106      357    10000 SH       SHARED                                  10000
D VERIZON COMMUNICATIONS COM                92343V104     8221   169721 SH       SHARED                63633            106088
D VERIZON COMMUNICATIONS COM                92343V104      136     2816 SH       SHARED                 1764     1052
D VERTEX PHARMACEUTICALS INC                92532F100      507     6000 SH       SHARED                                   6000
D VIACOM INC                                925524308     2035    34785 SH       SHARED                 4037             30748
D VINTAGE PETROLEUM INC                     927460105      455    20000 SH       SHARED                                  20000
D VISHAY INTERTECHNOLOGY INC                928298108      507    16500 SH       SHARED                                  16500
D VITESSE SEMICONDUCTOR CORP                928497106     1957    22000 SH       SHARED                                  22000
D W L COBB CONSTRUCTION CO., INC.           92895@996      312    30038 SH       SHARED                30038
D WADDELL & REED FINANCIAL CLASS A          930059100      372    12000 SH       SHARED                                  12000
D WAL-MART STORES, INC                      931142103     8520   177031 SH       SHARED                30931      100   146000
D WAL-MART STORES, INC                      931142103       96     2000 SH       SHARED                 2000
D WALGREEN CO                               931422109     5479   144412 SH       SHARED                13212            131200
D WARBURG PINCUS EMERGING GROW              933909202      624    11746 SH       SHARED                11746
D WARBURG PINCUS INTL EQUITY F              933910200      232    10674 SH       SHARED                10674
D WARNER LAMBERT CO COM                     934488107      519     4000 SH       SHARED                 4000
D AMERICAN FDS-WASHINGTON MUTUAL            939330106      223     7485 SH       SHARED                 7485
D WASHINGTON POST CO                        939640108     1056     2000 SH       SHARED                                   2000
D WATERS CORP                               941848103     1424    16000 SH       SHARED                                  16000
D WELLS FARGO COMPANY                       949746101     6134   133526 SH       SHARED                83526             50000
D WEYERHAEUSER CO COM                       962166104      440    10888 SH       SHARED                10888
D WEYERHAEUSER CO COM                       962166104       97     2400 SH       SHARED                 2400
D WORLDCOM INC GA NEW                       98157D106     9281   305544 SH       SHARED                82432     3300   219812
D WORLDCOM INC GA NEW                       98157D106     1859    61209 SH       SHARED                 1000    60209
D WRIGLEY WM JR CO COM                      982526105     2501    33400 SH       SHARED                 8400             25000
D WRIGLEY WM JR CO COM                      982526105       37      500 SH       SHARED                  500
D YAHOO INC                                 984332106     1759    19325 SH       SHARED                 1225             18100
D ZALE CORP NEW                             988858106      487    15000 SH       SHARED                                  15000
D ZEBRA TECHNOLOGIES CORP                   989207105      721    15000 SH       SHARED                                  15000
D RMA MONET MARKET PORTFOLIO                990046559       72    72287 SH       SHARED                                  72287
D JEFFERSON PILOT SECURITIES CORP           990206211       99    99248 SH       SHARED                99248
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</TABLE>


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