TRUSTMARK NATIONAL BANK TRUST DEPARTMENT
13F-HR, 2000-05-12
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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:       03/31/00

Check here if Amendment                      [ ]
     Amendment Number:

This Amendment (Check only one):             [ ] is a restatement.

                                             [ ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name:     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
5/12/00

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:      495

Form 13F Information Table Value Total:      $1,675,099,000

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 LORAL SPACE & COMMUNICATIONS LT     G56462107      537      53070 SH        SHARED           3070                           50000
 D LORAL SPACE & COMMUNICATIONS LT     G56462107       32       3200 SH        SHARED                                           3200
 D AT&T CORP                             1957109     7840     139214 SH        SHARED          28664             100          110450
 D AT&T CORP                             1957109      157       2785 SH        SHARED           1800             985
 D ABBOTT LABORATORIES                   2824100     5131     145815 SH        SHARED          76115             200           69500
 D ABBOTT LABORATORIES                   2824100      282       8000 SH        SHARED           4000            4000
 D ACTEL CORPORATION                     4934105      214       6000 SH        SHARED                                           6000
 D ADAPTIVE BROADBAND CORP             00650M104      268       5000 SH        SHARED                                           5000
 D ADTRAN INC                          00738A106      357       6000 SH        SHARED                                           6000
 D AIM INTERNATIONAL EQUITY FUND         8882102      464      16791 SH        SHARED          16791
 D ALBERTSONS INC                       13104104      282       9125 SH        SHARED           9125
 D ALCOA INC                            13817101     1829      26030 SH        SHARED             30                           26000
 D ALCOA INC                            13817101       78       1110 SH        SHARED                           1110
 D ALLIANCE QUASAR FUND CLASS A        1.88E+110      373      13203 SH        SHARED          13203
 D ALLIANCE TECHNOLOGY FD CLASS A       18780106     1363       8885 SH        SHARED           8627                             257
 D ALLIANCE TECHNOLOGY FD CLASS A       18780106       26        168 SH        SHARED                                            168
 D ALLSTATE CORP                        20002101     1522      63900 SH        SHARED           4800             300           58800
 D ALLSTATE CORP                        20002101        9        378 SH        SHARED                            378
 D ALPHA INDUSTRIES INC                 20753109      285       3000 SH        SHARED                                           3000
 D ALTERA CORP                          21441100     2678      30000 SH        SHARED                                          30000
 D ALZA CORP DEL                       022615AD0       11      10000 SH        SHARED
 D AMERADA HESS CORP                    23551104      368       5694 SH        SHARED           5694
 D AMERICA ONLINE                      02364J104     5185      76890 SH        SHARED           5490            2200           69200
 D AMERICA ONLINE                      02364J104       34        500 SH        SHARED            500
 D AMERICAN CENTURY INTL GROWTH -       25086109      530      33910 SH        SHARED          33910
 D AMERICAN EXPRESS CO.                 25816109     3934      26415 SH        SHARED           4115                           22300
 D AMERICAN HOME PROD CORP COM          26609107     3832      71286 SH        SHARED          19586                           51700
 D AMERICAN HOME PROD CORP COM          26609107     1613      30000 SH        SHARED          30000
 D AMERICAN INTERNATIONAL GROUP         26874107     7099      64835 SH        SHARED           4023                           60812
 D AMERICAN MANAGEMENT SYSTEMS          27352103      657      15000 SH        SHARED                                          15000
 D AMER PWR CONVERS                     29066107     5574     130000 SH        SHARED                                         130000
 D AMERICREDIT CORP                    03060R101      163      10000 SH        SHARED                                          10000
 D AMGEN INC                            31162100      911      14850 SH        SHARED          13050             200            1600
 D AMSOUTH BANCORPORATION               32165102     7158     479160 SH        SHARED          97471                          381689
 D AMSOUTH BANCORPORATION               32165102        4        239 SH        SHARED                            239
 D AMSOUTH MUT FDS                      32168262      651      23003 SH        SHARED          23003
 D AMSOUTH MUT FDS                      32168288     1027      36302 SH        SHARED          36302
 D ANDREW CORP                          34425108      338      14761 SH        SHARED          14761
 D ANHEUSER BUSCH COS INC.              35229103     2141      34400 SH        SHARED           2900                           31500
 D APPLEBEES INTL INC                   37899101      281      10000 SH        SHARED                                          10000
 D ARKANSAS BEST CORP DEL               40790107      210      20000 SH        SHARED                                          20000
 D ASPECT COMMUNICATIONS INC           04523Q102      371      10000 SH        SHARED                                          10000
 D ATLANTIC RICHFIELD CO COM            48825103      324       3807 SH        SHARED           1375                            2432
 D ATMEL CORP                           49513104     1446      28000 SH        SHARED                                          28000
 D AVERY DENNISON                       53611109     1323      21670 SH        SHARED           1670                           20000
 D BJ'S WHOLESALE CLUB INC             05548J106     4221     110000 SH        SHARED                                         110000
 D BJ SERVICES CO                       55482103     1921      26000 SH        SHARED                                          26000
 D BP AMOCO PLC                         55622104     3889      73032 SH        SHARED          25232                           47800
 D BANCORPSOUTH INC                     59692103      508      31003 SH        SHARED          18649                           12354
 D BANCPLUS CORPORATION                 59990101    31589    1403976 SH        SHARED                        1403976
 D BANK OF AMERICA CORPORATION          60505104     4995      95262 SH        SHARED          18262                           77000
 D BANK OF AMERICA CORPORATION          60505104      376       7173 SH        SHARED           4910            2263
 D BANK OF JONES COUNTY                 62990106       75       7500 SH        SHARED           7500
 D BANK OF JONES COUNTY                 62990106       25       2500 SH        SHARED           2500
 D BANK OF NEW YORK INC COM             64057102     2880      69300 SH        SHARED           1300                           68000
 D BARR LABORATORIES INC                68306109      252       6000 SH        SHARED                                           6000
 D BAXTER INTERNATIONAL INC.            71813109     1382      22050 SH        SHARED            650                           21400
 D BAXTER INTERNATIONAL INC.            71813109      166       2650 SH        SHARED           2650
 D BECKMAN COULTER, INC                 75811109     1926      30000 SH        SHARED                                          30000
 D BECTON DICKINSON & CO                75887109      380      14460 SH        SHARED          13860                             600
 D BELL ATLANTIC CORP                   77853109     5785      94634 SH        SHARED          36034                           58600
 D BELL ATLANTIC CORP                   77853109       20        330 SH        SHARED            300              30
 D BELL SOUTH CORP                      79860102     7010     149554 SH        SHARED          64404             150           85000
 D BELL SOUTH CORP                      79860102      141       3000 SH        SHARED           1400            1600
 D BINDLEY WESTN INDS INC               90324104      252      18560 SH        SHARED           3560                           15000
 D BIOGEN N.V. INC.                     90597105     2026      29000 SH        SHARED                                          29000
 D BIOMET INC                           90613100      248       6820 SH        SHARED           6820
 D BLACK AND DECKER CORP                91797100     1265      33675 SH        SHARED           6650              25           27000
 D BLACK BOX CORP                       91826107      485       7000 SH        SHARED                                           7000
 D BLOCK H & R INC COM                  93671105     1101      24600 SH        SHARED           7600                           17000
 D BRISTOL MYERS SQUIBB CO             110122108     6109     105328 SH        SHARED          21928                           83400
 D BRISTOL MYERS SQUIBB CO             110122108      448       7720 SH        SHARED           4000            1224            2496
 D BRITTON & KOONTZ CAP CORP           111091104      266      14836 SH        SHARED          14836
 D BROADWING INC                       111620100     1004      27000 SH        SHARED                                          27000
 D BURLINGTON NORTHERN SANTA FE        12189T104      912      40070 SH        SHARED           4070                           36000
 D BURR BROWN CORP                     122574106      816      15000 SH        SHARED                                          15000
 D C&D TECHNOLOGIES INC                124661109      413       7000 SH        SHARED                                           7000
 D CBS CORPORATION                     12490K107     1876      33139 SH        SHARED           4799                           28340
 D C-CUBE MICROSYSTEMS INC             125015107     1116      15325 SH        SHARED            325                           15000
 D CH ENERGY GROUP INC                 12541M102      362      11920 SH        SHARED            920                           11000
 D CLECO CORPORATION                   12561W105     1287      38700 SH        SHARED                                          38700
 D CNL AMERICAN PROPERTIES FUND        12613A101      108      10752 SH        SHARED          10752
 D CTS CORPORATION                     126501105      399       7000 SH        SHARED                                           7000
 D CABLE DESIGN TECHNOLOGIES CO        126924109      339      10000 SH        SHARED                                          10000
 D CADENCE DESIGN                      127387108     1578      76500 SH        SHARED                                          76500
 D CALPINE CORPORATION                 131347106      752       8000 SH        SHARED                                           8000
 D CAMBREX CORP                        132011107      522      12000 SH        SHARED                                          12000
 D CAMPBELL SOUP                       134429109      344      11200 SH        SHARED          11200
 D CAMPBELL SOUP                       134429109      246       8000 SH        SHARED           8000
 D CANANDAIGUA BRANDS INC              137219200      765      15000 SH        SHARED                                          15000
 D FEDERATED CAPITAL PRESERVATION      140411109    17135    1713488 SH        SHARED        1391412             657          321418
 D CARLISLE COMPANIES INC              142339100     1200      30000 SH        SHARED                                          30000
 D CATALINA MARKETING CORP             148867104      405       4000 SH        SHARED                                           4000
 D CATO CORP NEW CLASS A               149205106      118      10000 SH        SHARED                                          10000
 D CERIDIAN CORP                       15677T106     1008      52550 SH        SHARED           5925              25           46600
 D CHASE MANHATTAN CORP NEW            16161A108     4161      47730 SH        SHARED           7530                           40200
 D CHECKFREE HOLDINGS CORP             162816102      494       7000 SH        SHARED                                           7000
 D CHEESECAKE FACTORY                  163072101      250       6000 SH        SHARED                                           6000
 D CHEMFIRST INC-W/I                   16361A106      264      13607 SH        SHARED          11761                            1846
 D CHEVRON CORP                        166751107     4293      46447 SH        SHARED           7813                           38634
 D CHEVRON CORP                        166751107       46        500 SH        SHARED            500
 D CHIRON CORP                         170040109     1397      28000 SH        SHARED                                          28000
 D CHIRON CORP                         170040109       50       1000 SH        SHARED           1000
 D CHOICEPOINT INC                     170388102      299       8000 SH        SHARED                                           8000
 D CIRCUIT CITY STORE (CIRCUIT CIT     172737108     3079      50580 SH        SHARED           4580                           46000
 D CISCO SYSTEMS INC.                  17275R102    22533     291452 SH        SHARED          18452            1400          271600
 D CITIGROUP INC                       172967101    10180     170019 SH        SHARED          19809                          150210
 D THE CITIZENS NATIONAL BANK OF       175990100      712       1637 SH        SHARED           1370                             267
 D CITY NATIONAL CORP                  178566105     1078      32000 SH        SHARED                                          32000
 D CLAIRE'S STORES INC                 179584107      929      46300 SH        SHARED            300                           46000
 D CLAYTON HOMES INC                   184190106      142      14022 SH        SHARED          14022
 D COCA COLA CO COM                    191216100     8244     175638 SH        SHARED          91538                           84100
 D COCA COLA CO COM                    191216100       77       1630 SH        SHARED                           1630
 D COGNEX CORP                         192422103      288       5000 SH        SHARED                                           5000
 D COHERENT INC                        192479103      218       4200 SH        SHARED            200                            4000
 D COHU INC                            192576106      208       5000 SH        SHARED                                           5000
 D COLGATE PALMOLIVE CO COM            194162103     4164      73860 SH        SHARED          23860                           50000
 D COMDISCO INC                        200336105     7281     165000 SH        SHARED                                         165000
 D COMMERCIAL NET LEASE REALTY         202218103      313      30000 SH        SHARED                                          30000
 D COMMSCOPE INC                       203372107      685      15000 SH        SHARED                                          15000
 D COMMONWEALTH NATIONAL LIFE          203990106                  92 SH        SHARED             92
 D COMMONWEALTH NATIONAL LIFE          203990106       50      50001 SH        SHARED                                          50001
 D COMPAQ COMPUTER CORP.               204493100     2287      84700 SH        SHARED           5500                           79200
 D COMPUTER ASSOC INTL INC             204912109     2411      40740 SH        SHARED          14540                           26200
 D CONCORD EFS INC                     206197105      768      33500 SH        SHARED                                          33500
 D CONEXANT SYSTEMS INC                207142100      238       3356 SH        SHARED           3196                             160
 D CONSOLIDATED EDISON INC             209115104     1646      56525 SH        SHARED           5325                           51200
 D CONSOLIDATED EDISON INC             209115104       29       1000 SH        SHARED           1000
 D CONVERGYS CORP                      212485106     1045      27000 SH        SHARED                                          27000
 D CROFT METALS, INC.                  227991106   185000    1000000 SH        SHARED                        1000000
 D CULLEN/FROST BANKERS INC            229899109      264      10000 SH        SHARED                                          10000
 D CYPRESS SEMICONDUCTOR               232806109      691      14100 SH        SHARED            100                           14000
 D D R HORTON INC                      23331A109      327      25000 SH        SHARED                                          25000
 D DTE ENERGY CO                       233331107     1959      67115 SH        SHARED           6615                           60500
 D DTE ENERGY CO                       233331107       58       2000 SH        SHARED           2000
 D DAIN RAUSCHER CORP                  233856103      402       6100 SH        SHARED            100                            6000
 D DALLAS SEMICONDUCTOR CORPORATIO     235204104      730      20000 SH        SHARED                                          20000
 D DANA CORP COM                       235811106      365      12953 SH        SHARED          12953
 D DELL COMPUTER CORP.                 247025109     6493     120375 SH        SHARED           5050             125          115200
 D DISNEY WALT CO (HOLDING COMPANY     254687106     3782      91690 SH        SHARED          13790                           77900
 D DISNEY WALT CO (HOLDING COMPANY     254687106      109       2640 SH        SHARED                           2640
 D DODGE & COX BALANCED FUND           256201104      215       3377 SH        SHARED           3377
 D DOLLAR TREE STORES INC              256747106      469       9000 SH        SHARED                                           9000
 D DONALDSON COMPANY, INC              257651109      406      18000 SH        SHARED                                          18000
 D DOW CHEM CO COM                     260543103      236       2068 SH        SHARED           1468                             600
 D DOW CHEM CO COM                     260543103       64        563 SH        SHARED            563
 D DREYFUS MUNICIPAL BOND FUND INC     26201Q104      190      16639 SH        SHARED          16639
 D DU PONT E I DE NEMOURS & CO         263534109     3776      71331 SH        SHARED          23221              50           48060
 D DU PONT E I DE NEMOURS & CO         263534109        2         30 SH        SHARED                             30
 D DUKE ENERGY CORPORATION COM         264399106      257       4895 SH        SHARED           4373                             522
 D DYCOM INDUSTRIES INC                267475101      731      15000 SH        SHARED                                          15000
 D DYNEGY INC NEW                      26816Q101     1129      18000 SH        SHARED                                          18000
 D EMC CORP                            268648102     4109      32610 SH        SHARED           2010             200           30400
 D ENSCO INTERNATIONAL INC             26874Q100      650      18000 SH        SHARED                                          18000
 D EASTMAN KODAK CO COM                277461109      261       4813 SH        SHARED           4813
 D EASTMAN KODAK CO COM                277461109       27        500 SH        SHARED            500
 D EATON VANCE CORP, NON-VOTING        278265103      301       7000 SH        SHARED                                           7000
 D A G EDWARDS INC                     281760108     3080      77000 SH        SHARED                                          77000
 D ELECTRONIC ARTS INC                 285512109     2492      35000 SH        SHARED                                          35000
 D ENERGEN CORP                        29265N108      319      20000 SH        SHARED                                          20000
 D ENERGY EAST CORP                    29266M109     1884      95111 SH        SHARED                                          95111
 D ENTERGY CORPORATION NEW             29364G103     1205      59672 SH        SHARED           6172                           53500
 D ENTERGY CORPORATION NEW             29364G103       50       2500 SH        SHARED           2500
 D ENZO BIOCHEM INC                    294100102      348       5000 SH        SHARED                                           5000
 D EQUITY INCOME FUND (AT&T)           294700703      472       2400 SH        SHARED           2400
 D EXXON MOBIL CORP                    30231G102    16568     212574 SH        SHARED          79066             100          133408
 D EXXON MOBIL CORP                    30231G102     1032      13244 SH        SHARED          12844             400
 D FEDERAL HOME LOAN MORTGAGE COM      313400301     2863      64800 SH        SHARED          10200                           54600
 D FEDERAL NATL MORTGAGE ASSN.         313586109     3918      69270 SH        SHARED          12270                           57000
 D FEDERAL NATL MORTGAGE ASSN.         313586109        3         60 SH        SHARED                             60
 D FEDERATED STOCK TRUST               313900102     8127     230821 SH        SHARED         230821
 D FEDERATED SH-INT MUNI - INSTL F     313907107     1936     192864 SH        SHARED         192864
 D FEDERATED GOVT INCOME SEC CLASS     313912107       89      10612 SH        SHARED          10612
 D FEDERATED GNMA INSTL SHARES FUN     314184102      229      21143 SH        SHARED          21143
 D FEDERATED GNMA INSTL SHARES FUN     314184102       80       7429 SH        SHARED           7429
 D FEDERATED INCOME TRUST-INSTI FU     314199100      157      15958 SH        SHARED          15958
 D FEDEX CORP                          31428X106     1645      42385 SH        SHARED           7985                           34400
 D FIDELITY INTERMEDIATE               31617K303      125      13456 SH        SHARED           4297            9159
 D FIRST SECURITY CP                   336294103     1409     117450 SH        SHARED                                         117450
 D FIRST TR GNMA FD                    337335780       50      52000 SH        SHARED          52000
 D FIRSTENERGY CORP                    337932107     1167      56600 SH        SHARED           1600                           55000
 D FLEETBOSTON FINANCIAL CORP          339030108     1556      42638 SH        SHARED                                          42638
 D FORD MOTOR CO DEL                   345370100     2755      59983 SH        SHARED           7235                           52748
 D FOREST LABORATORIES INC.            345838106     4630      54790 SH        SHARED          44790                           10000
 D FORTUNE BRANDS INC                  349631101      190       7600 SH        SHARED           7600
 D FORTUNE BRANDS INC                  349631101       35       1400 SH        SHARED           1400
 D FOSSIL INC                          349882100      234      10000 SH        SHARED                                          10000
 D FRANKLIN CUSTODIAN INCOME - A       353496300       32      15322 SH        SHARED          15322
 D FRANKLIN SMALL CAP GROWTH - A       354713109     2585      51515 SH        SHARED          50985                             530
 D FRANKLIN SMALL CAP GROWTH - A       354713109      129       2579 SH        SHARED           1816                             763
 D FRANKLIN INSURED TAX-FREE INCOM     354723108      239      20854 SH        SHARED          20854
 D FRANKLIN HIGH-YIELD TAX FREE IN     354723702      443      41918 SH        SHARED          41918
 D FRIEDE GOLDMAN HALTER INC           358430106     1002     145750 SH        SHARED         127350                           18400
 D GTE CORPORATION                     362320103     4517      63617 SH        SHARED          21217                           42400
 D GTE CORPORATION                     362320103       85       1200 SH        SHARED           1200
 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      455      14000 SH        SHARED                                          14000
 D GANNETT INC                         364730101      313       4450 SH        SHARED           4050                             400
 D GAP INC                             364760108     3331      66874 SH        SHARED           6474                           60400
 D GAP INC                             364760108       84       1687 SH        SHARED                           1687
 D GENERAL ELECT CO COM                369604103    25174     161762 SH        SHARED          48462             100          113200
 D GENERAL ELECT CO COM                369604103     3152      20255 SH        SHARED          20219              36
 D GENERAL MTRS CORP COM               370442105     3895      47031 SH        SHARED          12531                           34500
 D GENERAL MTRS CORP COM               370442105      133       1600 SH        SHARED           1600
 D GENTEX CORP                         371901109      371      10000 SH        SHARED                                          10000
 D GENZYME CORP (GENERAL DIVISION      372917104     1504      30000 SH        SHARED                                          30000
 D GILLETTE CO COM                     375766102     3012      79915 SH        SHARED          16515                           63400
 D GILLETTE CO COM                     375766102     1749      46400 SH        SHARED          46400
 D GOLDMAN SACHS INTERNATIONAL EQU     38141W596     2362      91349 SH        SHARED          90473                             875
 D GOLDMAN SACHS INTERNATIONAL EQU     38141W596      129       4977 SH        SHARED           3924                            1053
 D GRACO INC                           384109104      290      10000 SH        SHARED                                          10000
 D AMERICAN GROWTH FUND OF AMERICA     399874106      356      10398 SH        SHARED          10398
 D HNC SOFTWARE INC                    40425P107      288       4000 SH        SHARED                                           4000
 D HALLIBURTON CO COM (HOLDING COM     406216101      440      10700 SH        SHARED           1900                            8800
 D H K HAMMETT & SONS, INC.            408990109      387        900 SH        SHARED                                            900
 D HANCOCK HLDG CO                     410120109     1144      37041 SH        SHARED          36811             230
 D HANNAFORD BROS CO                   410550107     2567      34800 SH        SHARED                                          34800
 D HARMAN INTERNATIONAL INDUSTRIES     413086109      360       6000 SH        SHARED                                           6000
 D OAKMARK INTERNATIONAL FUND - I      413838202      600      40927 SH        SHARED          40927
 D HARTFORD FINANCIAL SERVICES GRP     416515104      207       3928 SH        SHARED           3928
 D HARTFORD FINANCIAL SERVICES GRP     416515104       21        398 SH        SHARED                            398
 D HERSHEY FOODS CORP                  427866108     1026      21050 SH        SHARED            850             200           20000
 D HEWLETT-PACKARD COMPANY COM         428236103     6945      52270 SH        SHARED           7670                           44600
 D HOME DEPOT INC.                     437076102     5407      83824 SH        SHARED           9724                           74100
 D HOME DEPOT INC.                     437076102      589       9129 SH        SHARED           8994             135
 D HONEYWELL INTERNATIONAL INC         438516106      271       5152 SH        SHARED           4127              25            1000
 D HONEYWELL INTERNATIONAL INC         438516106      209       3960 SH        SHARED           3452                             508
 D HOUSEHOLD INTERNATIONAL INC.        441815107      397      10649 SH        SHARED          10649
 D HOWARD INDUSTRIES                   442990107       32        800 SH        SHARED            800
 D HOWARD INDUSTRIES                   442990107     2406      60102 SH        SHARED          48404           11698
 D HYPERION SOLUTIONS CORP             44914M104      325      10000 SH        SHARED                                          10000
 D IDEC PHARMACEUTICALS CORP           449370105      590       6000 SH        SHARED                                           6000
 D ILLINOIS TOOL WORKS INC.            452308109     2054      37178 SH        SHARED           3078                           34100
 D AMERICAN FDS-INCOME FUND OF AME     453320103      161      10398 SH        SHARED          10398
 D INCYTE PHARMACEUTICALS INC          45337C102      262       3000 SH        SHARED                                           3000
 D INFINITY ISG GOVERNMENT INCOME      45663B108      298      31058 SH        SHARED          31058
 D INFORMIX CORP                       456779107      576      34000 SH        SHARED                                          34000
 D INFINITY ISG MUNICIPAL INCOME -     456909134      178      17958 SH        SHARED          17958
 D INSIGHT ENTERPRISES                 45765U103      364      10000 SH        SHARED                                          10000
 D INTEL CORP                          458140100    22168     168015 SH        SHARED          33165             650          134200
 D INTEL CORP                          458140100      115        872 SH        SHARED                            872
 D INTERIM SERVICES INC                45868P100      375      20200 SH        SHARED            200                           20000
 D INTERNATIONAL BUSINESS MACHS        459200101    12314     104356 SH        SHARED          12985                           91371
 D INTERNATIONAL BUSINESS MACHS        459200101      991       8400 SH        SHARED           6000            2400
 D INTERNATIONAL PAPER CO              460146103       19        450 SH        SHARED            450
 D INTERNATIONAL PAPER CO              460146103      274       6400 SH        SHARED           6400
 D INTERNATIONAL RECTIFIER CORP        460254105      267       7000 SH        SHARED                                           7000
 D INTUIT INC                          461202103     1305      24000 SH        SHARED                                          24000
 D INVESCO SELECT INCOME FUND          46128R100     1923     320452 SH        SHARED         320452
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 D IVAX CORP                           465823102     1640      60175 SH        SHARED            175                           60000
 D IVEY NATIONAL CORPORATION, COMM     465990109       17         40 SH        SHARED             40
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 D JABIL CIRCUIT INC                   466313103      952      22000 SH        SHARED                                          22000
 D JACK IN THE BOX INC                 466367109      213      10000 SH        SHARED                                          10000
 D JANUS WORLDWIDE FUND # 41           471023309      522       6104 SH        SHARED           6104
 D JOHNSON & JOHNSON COM               478160104     5744      81770 SH        SHARED          24845              25           56900
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 D KEMET CORP                          488360108      316       5000 SH        SHARED                                           5000
 D KIMBERLY CLARK CORP                 494368103     2247      40080 SH        SHARED           3680                           36400
 D KIMBERLY CLARK CORP                 494368103      897      16000 SH        SHARED          16000
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 D LANCASTER COLONY CORP               513847103     1721      56299 SH        SHARED                                          56299
 D LANDSTAR SYSTEMS INC                515098101      274       5000 SH        SHARED                                           5000
 D LATTICE SEMICONDUCTOR CORP          518415104      677      10000 SH        SHARED                                          10000
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 D LINEAR  TECH CORP                   535678106     2860      52000 SH        SHARED                                          52000
 D LOWES CO INC                        548661107       55        950 SH        SHARED            350                             600
 D LOWES CO INC                        548661107     3503      60008 SH        SHARED                          60008
 D LUCENT TECHNOLOGIES INC             549463107     7574     123665 SH        SHARED          26465                           97200
 D LUCENT TECHNOLOGIES INC             549463107      242       3944 SH        SHARED           3296             648
 D MDC HOLDINGS INC                    552676108      335      18700 SH        SHARED                                          18700
 D MCI WORLDCOM INC                    55268B106    15238     336281 SH        SHARED          43985            3300          288996
 D MCI WORLDCOM INC                    55268B106     2618      57768 SH        SHARED          57408             360
 D MFS MISSISSIPPI MUNI BOND - B       55273N715      150      16004 SH        SHARED          16004
 D MFS TOTAL RETURN FUND CLASS A       552981300      265      18905 SH        SHARED          18905
 D MFS HIGH YEILD MUNICIPAL BOND -     552984304       85      10409 SH        SHARED          10409
 D MACROMEDIA INC                      556100105      723       8000 SH        SHARED                                           8000
 D MANITOWOC COMPANY                   563571108      688      25000 SH        SHARED                                          25000
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 D MAXIM INTEGRATED PRODUCTS INC       57772K101     2985      42000 SH        SHARED                                          42000
 D MAXIMUS INC                         577933104      244       8000 SH        SHARED                                           8000
 D MCDONALDS CORP COM                  580135101     2930      78405 SH        SHARED          17005                           61400
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 D MEDIMMUNE INC                       584699102     1567       9000 SH        SHARED                                           9000
 D MEDTRONIC INC                       585055106      914      17760 SH        SHARED          17760
 D THE MEN'S WEARHOUSE INC             587118100      296      10000 SH        SHARED                                          10000
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 D METHODE ELECTRONICS CLASS A         591520200      505      10000 SH        SHARED                                          10000
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 D MICROSOFT CORP                      594918104        8         72 SH        SHARED                             72
 D MICROCHIP TECHNOLOGY INC            595017104      789      12000 SH        SHARED                                          12000
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 D MINNESOTA MNG MFG CO COM            604059105       89       1000 SH        SHARED           1000
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 D MUELLER INDUSTRIALS INC             624756102      759      25000 SH        SHARED                                          25000
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 D NEW YORK TIMES CO CLASS A           650111107      335       7800 SH        SHARED           5800                            2000
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 D PERFORMANCE INTERMEDIATE TERM       713756609     1971     201711 SH        SHARED         124942           63320           13449
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 D PERFORMANCE SMALL CAP EQUITY FU     713756856    40705    4755249 SH        SHARED        4312788          311326          131135
 D PERFORMANCE SMALL CAP EQUITY FU     713756856      272      31773 SH        SHARED          19052            9663            3058
 D PERFORMANCE MID CAP EQUITY FUND     713756872    87344    4551528 SH        SHARED        3963377          388303          199848
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 D POWERWAVE TECHNOLOGIES INC          739363109      250       2000 SH        SHARED                                           2000
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 D PROXIM INC                          744284100      239       2000 SH        SHARED                                           2000
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 D PUTNAM NEW OPPORTUNITIES - B        746916204      276       2788 SH        SHARED           2686                             102
 D QLOGIC CORP                         747277101     1220       9000 SH        SHARED                                           9000
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 D RATIONAL SOFTWARE CORP              75409P202      842      11000 SH        SHARED                                          11000
 D REMEDY CORP                         759548100      211       5000 SH        SHARED                                           5000
 D RESMED INC                          761152107      214       3000 SH        SHARED                                           3000
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 D REYNOLDS METALS COMPANY             761763101      709      10600 SH        SHARED                          10600
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 D RUBY TUESDAY INC                    781182100      175      10000 SH        SHARED                                          10000
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 D SANMINA CORP                        800907107     1216      18000 SH        SHARED                                          18000
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 D SCHERING-PLOUGH CORP                806605101     4398     118455 SH        SHARED          35655             100           82700
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 D SIEBEL SYSTEMS INC                  826170102     3105      26000 SH        SHARED                                          26000
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 D THE SOUTHERN CO COM                 842587107     3175     145987 SH        SHARED          43787                          102200
 D THE SOUTHERN CO COM                 842587107      122       5600 SH        SHARED           4500            1100
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 D SPRINT CORP    PCS GROUP            852061506      269       4102 SH        SHARED           3742                             360
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 D SYMBOL TECHNOLOGIES INC             871508107      905      11000 SH        SHARED                                          11000
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 D VAN KAMPEN EMERGING GROWTH - A      92113B106      688       6260 SH        SHARED           6260
 D VANGUARD INDEX 500  FUND #40        922908108      881       6384 SH        SHARED           6384
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 D ZEBRA TECHNOLOGIES CORP             989207105      750      15000 SH        SHARED                                          15000
 D RMA MONET MARKET PORTFOLIO          990046559       25      24720 SH        SHARED                                          24720
 D PAINE WEBBER BROKERAGE ACCOUNT      990123440       20      19512 SH        SHARED          19512
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 D FIRST HOLMES CORP                   999001464      508       8100 SH        SHARED           8100

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