TRUSTMARK NATIONAL BANK TRUST DEPARTMENT
13F-HR, 2000-08-11
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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:       06/30/00

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
08/03/00

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:      512

Form 13F Information Table Value Total:      $1,534,586,000

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                            1957109     4,443    140,496    SH   SHARED       29,546         100   110,850
 D   AT&T CORP                            1957109       179      5,648    SH   SHARED        1,800       3,848
 D   ABBOTT LABORATORIES                  2824100     6,506    145,985    SH   SHARED       75,105         200    70,680
 D   ABBOTT LABORATORIES                  2824100       357      8,000    SH   SHARED        4,000       4,000
 D   ACTEL CORPORATION                    4934105       274      6,000    SH   SHARED                              6,000
 D   ADTRAN INC                         00738A106       359      6,000    SH   SHARED                              6,000
 D   ADVO INC                             7585102       210      5,000    SH   SHARED                              5,000
 D   AGILENT TECHNOLOGIES INC           00846U101     1,412     19,149    SH   SHARED        2,368                16,781
 D   AIM INTERNATIONAL EQUITY FUND        8882102       419     16,791    SH   SHARED       16,791
 D   ALBEMARLE CORP                      12653101       356     18,000    SH   SHARED                             18,000
 D   ALBERTSONS INC                      13104104       240      7,225    SH   SHARED        7,225
 D   ALCOA INC                           13817101     1,522     52,484    SH   SHARED          484                52,000
 D   ALCOA INC                           13817101       716     24,692    SH   SHARED                   24,692
 D   ALLEGHENY ENERGY INC                17361106     1,235     45,125    SH   SHARED        2,125                43,000
 D   ALLERGAN INC                        18490102       221      2,970    SH   SHARED        2,970
 D   ALLIANCE QUASAR FUND CLASS A      1.877E+110       391     13,203    SH   SHARED       13,203
 D   ALLIANCE TECHNOLOGY FD CLASS A      18780106     1,273      8,885    SH   SHARED        8,627                   257
 D   ALLIANCE TECHNOLOGY FD CLASS A      18780106        24        168    SH   SHARED                       62       106
 D   ALLSTATE CORP                       20002101     1,426     64,100    SH   SHARED        4,800         300    59,000
 D   ALLSTATE CORP                       20002101         8        378    SH   SHARED                      378
 D   ALPHA INDUSTRIES INC                20753109       264      6,000    SH   SHARED                              6,000
 D   ALZA CORP DEL                      022615AD0        15     10,000    SH   SHARED
 D   AMERADA HESS CORP                   23551104       293      4,744    SH   SHARED        4,494         200        50
 D   AMERICA ONLINE                     02364J104     4,187     79,470    SH   SHARED        7,270       2,200    70,000
 D   AMERICA ONLINE                     02364J104        53      1,000    SH   SHARED        1,000
 D   AMERICAN CENTURY INTL GROWTH -      25086109       483     33,954    SH   SHARED       33,954
 D   AMERICAN ELEC PWR INC COM           25537101       267      9,002    SH   SHARED        5,162                 3,840
 D   AMERICAN EXPRESS CO.                25816109     4,089     78,445    SH   SHARED       11,545                66,900
 D   AMERICAN HOME PROD CORP COM         26609107     4,253     72,386    SH   SHARED       20,686                51,700
 D   AMERICAN HOME PROD CORP COM         26609107     1,763     30,000    SH   SHARED       30,000
 D   AMERICAN INTERNATIONAL GROUP        26874107     7,618     64,835    SH   SHARED        4,023                60,812
 D   AMERICAN MANAGEMENT SYSTEMS         27352103       492     15,000    SH   SHARED                             15,000
 D   AMER PWR CONVERS                    29066107     5,306    130,000    SH   SHARED                            130,000
 D   AMERICREDIT CORP                   03060R101       170     10,000    SH   SHARED                             10,000
 D   AMGEN INC                           31162100     1,061     15,105    SH   SHARED       13,305         200     1,600
 D   AMGEN INC                           31162100        42        600    SH   SHARED                      600
 D   AMSOUTH BANCORPORATION              32165102     6,745    428,242    SH   SHARED       99,450               328,792
 D   AMSOUTH BANCORPORATION              32165102         4        239    SH   SHARED                      239
 D   AMSOUTH MUT FDS                     32168262       869     29,688    SH   SHARED       29,688
 D   AMSOUTH MUT FDS                     32168288     1,063     36,309    SH   SHARED       36,309
 D   AMSOUTH MUT FDS                     32168692       180     18,635    SH   SHARED       18,635
 D   AMSOUTH MUT FDS                     32168726       301     31,451    SH   SHARED       31,451
 D   ANDREW CORP                         34425108       442     13,161    SH   SHARED       13,161
 D   ANHEUSER BUSCH COS INC.             35229103     2,569     34,400    SH   SHARED        2,900                31,500
 D   APPLEBEES INTL INC                  37899101       303     10,000    SH   SHARED                             10,000
 D   ARKANSAS BEST CORP DEL              40790107       199     20,000    SH   SHARED                             20,000
 D   ARTESYN TECHNOLOGIES INC            43127109       251      9,040    SH   SHARED          460                 8,580
 D   ASPECT COMMUNICATIONS INC          04523Q102       393     10,000    SH   SHARED                             10,000
 D   ATMEL CORP                          49513104     1,033     28,000    SH   SHARED                             28,000
 D   AVERY DENNISON                      53611109     1,463     21,795    SH   SHARED        1,745                20,050
 D   BJ'S WHOLESALE CLUB INC            05548J106       924     28,000    SH   SHARED                             28,000
 D   BJ SERVICES CO                      55482103     1,625     26,000    SH   SHARED                             26,000
 D   BP AMOCO PLC                        55622104     3,273     57,856    SH   SHARED       19,072                38,784
 D   BANCORPSOUTH INC                    59692103       290     20,635    SH   SHARED       18,581                 2,054
 D   BANCPLUS CORPORATION                59990101    32,436  1,441,608    SH   SHARED       37,632   1,403,976
 D   BANK OF AMERICA CORPORATION         60505104     3,683     85,644    SH   SHARED       10,944                74,700
 D   BANK OF AMERICA CORPORATION         60505104       308      7,173    SH   SHARED        4,910       2,263
 D   BANK OF NEW YORK INC COM            64057102     3,222     69,300    SH   SHARED        1,300                68,000
 D   BANTA CORP                          66821109       220     11,600    SH   SHARED          600                11,000
 D   BARR LABORATORIES INC               68306109       403      9,000    SH   SHARED                              9,000
 D   BAXTER INTERNATIONAL INC.           71813109     1,550     22,050    SH   SHARED          650                21,400
 D   BAXTER INTERNATIONAL INC.           71813109       186      2,650    SH   SHARED        2,650
 D   BECKMAN COULTER, INC                75811109     1,751     30,000    SH   SHARED                             30,000
 D   BECTON DICKINSON & CO               75887109       424     14,790    SH   SHARED       13,610         200       980
 D   BELL ATLANTIC CORP                  77853109     4,872     95,872    SH   SHARED       37,242                58,630
 D   BELL ATLANTIC CORP                  77853109        28        552    SH   SHARED          300         252
 D   BELL SOUTH CORP                     79860102     6,028    141,412    SH   SHARED       56,262         150    85,000
 D   BELL SOUTH CORP                     79860102       128      3,000    SH   SHARED        1,400       1,600
 D   BINDLEY WESTN INDS INC              90324104       397     15,000    SH   SHARED                             15,000
 D   BLACK AND DECKER CORP               91797100     1,244     31,650    SH   SHARED        4,650                27,000
 D   BLACK BOX CORP                      91826107       554      7,000    SH   SHARED                              7,000
 D   BLOCK H & R INC COM                 93671105       840     25,950    SH   SHARED        8,550                17,400
 D   BRISTOL MYERS SQUIBB CO            110122108     6,258    107,427    SH   SHARED       23,303                84,124
 D   BRISTOL MYERS SQUIBB CO            110122108       448      7,696    SH   SHARED        4,000       1,200     2,496
 D   BROADWING INC                      111620100       700     27,000    SH   SHARED                             27,000
 D   BURLINGTON NORTHERN SANTA FE       12189T104       927     40,410    SH   SHARED        3,830                36,580
 D   BURR BROWN CORP                    122574106       867     10,000    SH   SHARED                             10,000
 D   C&D TECHNOLOGIES INC               124661109       791     14,000    SH   SHARED                             14,000
 D   C-CUBE MICROSYSTEMS INC NEW        12501N108       301     15,325    SH   SHARED          325                15,000
 D   CH ENERGY GROUP INC                12541M102       405     11,920    SH   SHARED          920                11,000
 D   CLECO CORPORATION                  12561W105     1,296     38,700    SH   SHARED                             38,700
 D   CNL AMERICAN PROPERTIES FUND       12613A101       108     10,752    SH   SHARED       10,752
 D   CTS CORPORATION                    126501105       315      7,000    SH   SHARED                              7,000
 D   CABLE DESIGN TECHNOLOGIES CO       126924109       335     10,000    SH   SHARED                             10,000
 D   CABOT CORP                         127055101       709     26,000    SH   SHARED                             26,000
 D   CADENCE DESIGN                     127387108     1,559     76,500    SH   SHARED                             76,500
 D   CALPINE CORPORATION                131347106     1,052     16,000    SH   SHARED                             16,000
 D   CAMBREX CORP                       132011107       540     12,000    SH   SHARED                             12,000
 D   CAMPBELL SOUP                      134429109        35      1,200    SH   SHARED        1,200
 D   CAMPBELL SOUP                      134429109       233      8,000    SH   SHARED        8,000
 D   CANANDAIGUA BRANDS INC             137219200       757     15,000    SH   SHARED                             15,000
 D   FEDERATED CAPITAL PRESERVATION     140411109    12,764  1,276,416    SH   SHARED    1,012,275         125   264,016
 D   CARLISLE COMPANIES INC             142339100     1,350     30,000    SH   SHARED                             30,000
 D   CATALINA MARKETING CORP            148867104       408      4,000    SH   SHARED                              4,000
 D   CATO CORP NEW CLASS A              149205106       116     10,000    SH   SHARED                             10,000
 D   CEPHALON INC                       156708109       240      4,000    SH   SHARED                              4,000
 D   CERIDIAN CORP                      15677T106     1,199     49,825    SH   SHARED        3,800          25    46,000
 D   CHASE MANHATTAN CORP NEW           16161A108     3,335     72,410    SH   SHARED       12,010         300    60,100
 D   CHECKFREE HOLDINGS CORP            162816102       361      7,000    SH   SHARED                              7,000
 D   CHEESECAKE FACTORY                 163072101       248      9,000    SH   SHARED                              9,000
 D   CHEMFIRST INC-W/I                  16361A106       328     13,607    SH   SHARED       11,761                 1,846
 D   CHEVRON CORP                       166751107     3,993     47,082    SH   SHARED        8,248                38,834
 D   CHEVRON CORP                       166751107        76        900    SH   SHARED          500         400
 D   CHIRON CORP                        170040109     1,330     28,000    SH   SHARED                             28,000
 D   CHOICEPOINT INC                    170388102       356      8,000    SH   SHARED                              8,000
 D   CIRCUIT CITY STORE (CIRCUIT CIT    172737108     1,503     45,300    SH   SHARED        4,300                41,000
 D   CISCO SYSTEMS INC.                 17275R102    18,106    284,852    SH   SHARED       21,052       1,400   262,400
 D   CINTAS CORP                        172908105       807     22,000    SH   SHARED                             22,000
 D   CITIGROUP INC                      172967101     9,822    163,019    SH   SHARED       19,809               143,210
 D   CITY NATIONAL CORP                 178566105     1,112     32,000    SH   SHARED                             32,000
 D   CLAIRE'S STORES INC                179584107       372     19,300    SH   SHARED          300                19,000
 D   CLAYTON HOMES INC                  184190106       112     14,022    SH   SHARED       14,022
 D   COCA COLA CO COM                   191216100     9,487    165,168    SH   SHARED       81,038                84,130
 D   COCA COLA CO COM                   191216100        92      1,600    SH   SHARED                    1,600
 D   COGNEX CORP                        192422103       259      5,000    SH   SHARED                              5,000
 D   COHERENT INC                       192479103       352      4,200    SH   SHARED          200                 4,000
 D   COLGATE PALMOLIVE CO COM           194162103     3,764     62,860    SH   SHARED       15,860                47,000
 D   COMDISCO INC                       200336105     3,682    165,000    SH   SHARED                            165,000
 D   COMMERCIAL NET LEASE REALTY        202218103       315     30,000    SH   SHARED                             30,000
 D   COMMSCOPE INC                      203372107       410     10,000    SH   SHARED                             10,000
 D   COMMONWEALTH NATIONAL LIFE         203990106                   92    SH   SHARED           92
 D   COMMONWEALTH NATIONAL LIFE         203990106        50     50,001    SH   SHARED                             50,001
 D   COMPAQ COMPUTER CORP.              204493100     2,165     84,700    SH   SHARED        5,500                79,200
 D   COMPUTER ASSOC INTL INC            204912109     2,122     41,460    SH   SHARED       14,970         200    26,290
 D   CONCORD EFS INC                    206197105       871     33,500    SH   SHARED                             33,500
 D   CONSOLIDATED EDISON INC            209115104     1,672     56,425    SH   SHARED        5,225                51,200
 D   CONVERGYS CORP                     212485106     1,401     27,000    SH   SHARED                             27,000
 D   COR THERAPEUTICS INC               217753102       213      2,500    SH   SHARED                              2,500
 D   CROSS TIMBERS OIL CO               227573102       221     10,000    SH   SHARED                             10,000
 D   CROFT METALS, INC.                 227991106   185,000  1,000,000    SH   SHARED                1,000,000
 D   CULLEN/FROST BANKERS INC           229899109       263     10,000    SH   SHARED                             10,000
 D   CYPRESS SEMICONDUCTOR              232806109       596     14,100    SH   SHARED          100                14,000
 D   D R HORTON INC                     23331A109       339     25,000    SH   SHARED                             25,000
 D   DTE ENERGY CO                      233331107     1,990     65,115    SH   SHARED        6,615                58,500
 D   DTE ENERGY CO                      233331107        61      2,000    SH   SHARED        2,000
 D   DAIN RAUSCHER CORP                 233856103       403      6,100    SH   SHARED          100                 6,000
 D   DALLAS SEMICONDUCTOR CORPORATIO    235204104       815     20,000    SH   SHARED                             20,000
 D   DANA CORP COM                      235811106       274     12,953    SH   SHARED       12,953
 D   DELL COMPUTER CORP.                247025109     5,936    120,375    SH   SHARED        5,050         125   115,200
 D   DEXTER CORP                        252165105       432      9,000    SH   SHARED                              9,000
 D   DIME BANCORP INC NEW               25429Q102       677     43,000    SH   SHARED                             43,000
 D   DISNEY WALT CO (HOLDING COMPANY    254687106     3,452     88,950    SH   SHARED       11,050                77,900
 D   DISNEY WALT CO (HOLDING COMPANY    254687106       102      2,640    SH   SHARED                    2,640
 D   DOLLAR TREE STORES INC             256747106       534     13,500    SH   SHARED                             13,500
 D   DONALDSON COMPANY, INC             257651109       356     18,000    SH   SHARED                             18,000
 D   DOW CHEM CO COM                    260543103       151      5,004    SH   SHARED        4,404                   600
 D   DOW CHEM CO COM                    260543103        51      1,689    SH   SHARED        1,689
 D   DREYFUS MUNICIPAL BOND FUND INC    26201Q104       192     16,863    SH   SHARED       16,863
 D   DU PONT E I DE NEMOURS & CO        263534109     2,879     65,806    SH   SHARED       17,666          50    48,090
 D   DUKE ENERGY CORPORATION COM        264399106       276      4,895    SH   SHARED        4,373                   522
 D   DYCOM INDUSTRIES INC               267475101       690     15,000    SH   SHARED                             15,000
 D   DYNEGY INC NEW                     26816Q101     1,230     18,000    SH   SHARED                             18,000
 D   EMC CORP                           268648102     5,341     69,420    SH   SHARED        4,620         400    64,400
 D   ENSCO INTERNATIONAL INC            26874Q100       645     18,000    SH   SHARED                             18,000
 D   E*TRADE GROUP INC                  269246104       611     37,000    SH   SHARED                             37,000
 D   EASTMAN KODAK CO COM               277461109       236      3,973    SH   SHARED        3,898                    75
 D   EASTMAN KODAK CO COM               277461109        30        500    SH   SHARED          500
 D   EATON VANCE CORP, NON-VOTING       278265103       324      7,000    SH   SHARED                              7,000
 D   A G EDWARDS INC                    281760108     3,003     77,000    SH   SHARED                             77,000
 D   ELECTRONIC ARTS INC                285512109     2,553     35,000    SH   SHARED                             35,000
 D   ENERGEN CORP                       29265N108       436     20,000    SH   SHARED                             20,000
 D   ENERGY EAST CORP                   29266M109     1,813     95,111    SH   SHARED                             95,111
 D   ENTERGY CORPORATION NEW            29364G103     1,326     48,772    SH   SHARED        3,272                45,500
 D   ENTERGY CORPORATION NEW            29364G103        68      2,500    SH   SHARED        2,500
 D   ENZO BIOCHEM INC                   294100102       345      5,000    SH   SHARED                              5,000
 D   EQUITY INCOME FUND (AT&T)          294700703       419      2,400    SH   SHARED        2,400
 D   EXPEDITORS INTL WASH INC           302130109       238      5,000    SH   SHARED                              5,000
 D   EXXON MOBIL CORP                   30231G102    15,563    198,254    SH   SHARED       65,746         100   132,408
 D   EXXON MOBIL CORP                   30231G102     1,040     13,244    SH   SHARED       12,844         400
 D   FASTENAL CO                        311900104       759     15,000    SH   SHARED                             15,000
 D   FEDERAL HOME LOAN MORTGAGE COM     313400301     2,674     66,025    SH   SHARED       11,225                54,800
 D   FEDERAL NATL MORTGAGE ASSN.        313586109     3,665     70,230    SH   SHARED       12,970         200    57,060
 D   FEDERATED SH-INT MUNI - INSTL F    313907107     1,934    192,864    SH   SHARED      192,864
 D   FEDERATED GNMA INSTL SHARES FUN    314184102       229     21,143    SH   SHARED       21,143
 D   FEDERATED GNMA INSTL SHARES FUN    314184102        81      7,429    SH   SHARED        7,429
 D   FEDERATED INCOME TRUST-INSTI FU    314199100       157     15,958    SH   SHARED       15,958
 D   FEDEX CORP                         31428X106     1,646     43,310    SH   SHARED        8,815                34,495
 D   FIDELITY CASH RESERVES             316067107       224     36,330    SH   SHARED       36,330
 D   FIDELITY INTERMEDIATE              31617K303       124     13,337    SH   SHARED        4,297       9,040
 D   FIRST SECURITY CP                  336294103     1,593    117,450    SH   SHARED                            117,450
 D   FIRST TR GNMA FD                   337335780        50     52,000    SH   SHARED       52,000
 D   FISERV INC                         337738108       692     16,000    SH   SHARED                             16,000
 D   FIRSTENERGY CORP                   337932107     1,323     56,600    SH   SHARED        1,600                55,000
 D   FLEETBOSTON FINANCIAL CORP         339030108     1,450     42,638    SH   SHARED                             42,638
 D   FLORIDA ROCK INDS INC              341140101       249      7,000    SH   SHARED                              7,000
 D   FORD MOTOR CO DEL                  345370100     2,569     59,737    SH   SHARED        7,237                52,500
 D   FOREST LABORATORIES INC.           345838106     5,433     53,790    SH   SHARED       43,790                10,000
 D   FOSSIL INC                         349882100       194     10,000    SH   SHARED                             10,000
 D   FRANKLIN CUSTODIAN INCOME - A      353496300        34     15,643    SH   SHARED       15,643
 D   FRANKLIN SMALL CAP GROWTH - A      354713109       524     10,676    SH   SHARED       10,676
 D   FRANKLIN STRATEGIC SER             354713620     6,232    525,450    SH   SHARED      466,960       8,716    49,775
 D   FRANKLIN STRATEGIC SER             354713620       139     11,742    SH   SHARED        7,758       1,205     2,779
 D   FRANKLIN INSURED TAX-FREE INCOM    354723108       239     20,854    SH   SHARED       20,854
 D   FRANKLIN HIGH-YIELD TAX FREE IN    354723702       436     41,921    SH   SHARED       41,921
 D   FRIEDE GOLDMAN HALTER INC          358430106       203     22,750    SH   SHARED        8,750                14,000
 D   GTE CORPORATION                    362320103     3,960     63,617    SH   SHARED       21,217                42,400
 D   GTE CORPORATION                    362320103        75      1,200    SH   SHARED        1,200
 D   GADDIS FARMS CLASS B COMM          362990103     3,328        800    SH   SHARED          800
 D   GALAXIE CORPORATION                362990202    20,786     39,667    SH   SHARED       39,667
 D   GALLAGHER ARTHUR J & CO            363576109       588     14,000    SH   SHARED                             14,000
 D   GANNETT INC                        364730101       290      4,850    SH   SHARED        4,350                   500
 D   GAP INC                            364760108     2,134     68,294    SH   SHARED        7,314                60,980
 D   GAP INC                            364760108        53      1,687    SH   SHARED                    1,687
 D   GENERAL ELECT CO COM               369604103    23,260    438,860    SH   SHARED      110,852         300   327,708
 D   GENERAL ELECT CO COM               369604103     3,196     60,300    SH   SHARED       60,300
 D   GENERAL MTRS CORP COM              370442105     2,634     45,364    SH   SHARED       11,013                34,351
 D   GENERAL MTRS CORP COM              370442105        93      1,600    SH   SHARED        1,600
 D   GENTEX CORP                        371901109       251     10,000    SH   SHARED                             10,000
 D   GENZYME CORP (GENERAL DIVISION     372917104     1,783     30,000    SH   SHARED                             30,000
 D   GEORGIA GULF CORP                  373200203       250     12,000    SH   SHARED                             12,000
 D   GILLETTE CO COM                    375766102     2,460     70,415    SH   SHARED        7,015                63,400
 D   GILLETTE CO COM                    375766102     1,621     46,400    SH   SHARED       46,400
 D   GOLDMAN SACHS INTERNATIONAL EQU    38141W596     6,075    246,971    SH   SHARED      226,217       2,404    18,350
 D   GOLDMAN SACHS INTERNATIONAL EQU    38141W596       163      6,645    SH   SHARED        3,924       2,058       663
 D   GRACO INC                          384109104       325     10,000    SH   SHARED                             10,000
 D   GRANITE CONSTRUCTION INC           387328107       270     11,000    SH   SHARED                             11,000
 D   AMERICAN GROWTH FUND OF AMERICA    399874106       352     10,398    SH   SHARED       10,398
 D   HNC SOFTWARE INC                   40425P107       247      4,000    SH   SHARED                              4,000
 D   HS RESOURCES, INC                  404297103       240      8,000    SH   SHARED                              8,000
 D   HALLIBURTON CO COM (HOLDING COM    406216101       505     10,700    SH   SHARED        1,900                 8,800
 D   H K HAMMETT & SONS, INC.           408990109       387        900    SH   SHARED                                900
 D   HANCOCK HLDG CO                    410120109     1,259     37,041    SH   SHARED       36,811         230
 D   HANNAFORD BROS CO                  410550107     1,078     15,000    SH   SHARED                             15,000
 D   HARMAN INTERNATIONAL INDUSTRIES    413086109       366      6,000    SH   SHARED                              6,000
 D   HARMONIC LIGHTWAVES INC            413160102       206      8,316    SH   SHARED          176                 8,140
 D   OAKMARK INTERNATIONAL FUND - I     413838202       643     40,927    SH   SHARED       40,927
 D   HARSCO CORP COM                    415864107       408     16,000    SH   SHARED                             16,000
 D   HAWAIIAN ELEC IND                  419870100       476     14,500    SH   SHARED        1,500                13,000
 D   HAWAIIAN ELEC IND                  419870100        26        800    SH   SHARED          800
 D   HERSHEY FOODS CORP                 427866108     1,021     21,050    SH   SHARED          850         200    20,000
 D   HEWLETT-PACKARD COMPANY COM        428236103     6,477     51,870    SH   SHARED        7,270                44,600
 D   HISPANIC BROADCASTING CORP         43357B104       464     14,000    SH   SHARED                             14,000
 D   HOME DEPOT INC.                    437076102     4,271     85,529    SH   SHARED       11,294                74,235
 D   HOME DEPOT INC.                    437076102       489      9,794    SH   SHARED        8,994         800
 D   HONEYWELL INTERNATIONAL INC        438516106       258      7,652    SH   SHARED        6,627          25     1,000
 D   HONEYWELL INTERNATIONAL INC        438516106       170      5,060    SH   SHARED        3,452       1,100       508
 D   HOUSEHOLD INTERNATIONAL INC.       441815107       443     10,649    SH   SHARED       10,649
 D   HOWARD INDUSTRIES                  442990107        32        800    SH   SHARED          800
 D   HOWARD INDUSTRIES                  442990107     2,406     60,102    SH   SHARED       48,404      11,698
 D   HYPERION SOLUTIONS CORP            44914M104       324     10,000    SH   SHARED                             10,000
 D   IDEC PHARMACEUTICALS CORP          449370105       352      3,000    SH   SHARED                              3,000
 D   ILLINOIS TOOL WORKS INC.           452308109     2,128     37,328    SH   SHARED        3,128                34,200
 D   AMERICAN FDS-INCOME FUND OF AME    453320103       159     10,482    SH   SHARED       10,482
 D   INFORMIX CORP                      456779107       253     34,000    SH   SHARED                             34,000
 D   INSIGHT ENTERPRISES                45765U103       593     10,000    SH   SHARED                             10,000
 D   INTEL CORP                         458140100    21,644    161,897    SH   SHARED       31,475         150   130,272
 D   INTEL CORP                         458140100       107        800    SH   SHARED                      800
 D   INTERIM SERVICES INC               45868P100       359     20,200    SH   SHARED          200                20,000
 D   INTERNATIONAL BUSINESS MACHS       459200101    11,242    102,606    SH   SHARED       11,205                91,401
 D   INTERNATIONAL BUSINESS MACHS       459200101       920      8,400    SH   SHARED        6,000       2,400
 D   INTERNATIONAL GAME TECHNOLOGY      459902102       769     29,000    SH   SHARED                             29,000
 D   INTERNATIONAL PAPER CO             460146103        59      1,993    SH   SHARED        1,613                   380
 D   INTERNATIONAL PAPER CO             460146103       191      6,400    SH   SHARED        6,400
 D   INTERNATIONAL RECTIFIER CORP       460254105       392      7,000    SH   SHARED                              7,000
 D   INTUIT INC                         461202103       993     24,000    SH   SHARED                             24,000
 D   INVESCO SELECT INCOME FUND         46128R100     2,502    417,735    SH   SHARED      417,735
 D   AMERICAN FDS - INVESTMENT CO OF    461308108       300      9,190    SH   SHARED        9,190
 D   IVAX CORP                          465823102     2,497     60,175    SH   SHARED          175                60,000
 D   IVEY NATIONAL CORPORATION, COMM    465990109        17         40    SH   SHARED           40
 D   IVEY NATIONAL CORPORATION, COMM    465990109     2,734      6,500    SH   SHARED                    6,500
 D   JABIL CIRCUIT INC                  466313103     1,092     22,000    SH   SHARED                             22,000
 D   JACK IN THE BOX INC                466367109       246     10,000    SH   SHARED                             10,000
 D   JANUS WORLDWIDE FUND # 41          471023309       513      6,559    SH   SHARED        6,328                   231
 D   JANUS WORLDWIDE FUND # 41          471023309         8         96    SH   SHARED                                 96
 D   JOHNSON & JOHNSON COM              478160104     7,391     72,550    SH   SHARED       15,595          25    56,930
 D   JOHNSON CONTROLS                   478366107       371      7,235    SH   SHARED        6,760          25       450
 D   JONES APPAREL GROUP INC            480074103     2,045     87,000    SH   SHARED                             87,000
 D   JONES PHARMA INC                   480236108       399     10,000    SH   SHARED                             10,000
 D   JUMBOSPORTS INC                    481386AA8               10,000    SH   SHARED
 D   KAYDON INC                         486587108       588     28,000    SH   SHARED                             28,000
 D   KEMET CORP                         488360108       251     10,000    SH   SHARED                             10,000
 D   KEYSPAN CORP                       49337W100     1,599     52,000    SH   SHARED                             52,000
 D   KIMBERLY CLARK CORP                494368103     2,300     40,080    SH   SHARED        3,680                36,400
 D   KIMBERLY CLARK CORP                494368103       918     16,000    SH   SHARED       16,000
 D   KROGER CO                          501044101     1,266     57,386    SH   SHARED       53,786                 3,600
 D   KRONOS INC                         501052104       255      9,800    SH   SHARED                              9,800
 D   LA-Z-BOY, INC                      505336107       140     10,000    SH   SHARED                             10,000
 D   LANCASTER COLONY CORP              513847103     1,098     56,299    SH   SHARED                             56,299
 D   LANDSTAR SYSTEMS INC               515098101       298      5,000    SH   SHARED                              5,000
 D   LATTICE SEMICONDUCTOR CORP         518415104       691     10,000    SH   SHARED                             10,000
 D   LEGG MASON INCORPORATED            524901105     1,117     22,332    SH   SHARED          332                22,000
 D   ELI LILLY & CO                     532457108     5,009     50,150    SH   SHARED        1,950                48,200
 D   LOWES CO INC                       548661107        85      2,070    SH   SHARED        1,200         200       670
 D   LOWES CO INC                       548661107     2,464     60,008    SH   SHARED                   60,008
 D   LUCENT TECHNOLOGIES INC            549463107     7,231    122,037    SH   SHARED       24,837                97,200
 D   LUCENT TECHNOLOGIES INC            549463107       453      7,652    SH   SHARED        3,296       4,356
 D   MDC HOLDINGS INC                   552676108       348     18,700    SH   SHARED                             18,700
 D   MFS GROWTH OPPORTUNITIES FUND-A    552723108       199     10,206    SH   SHARED                   10,206
 D   MFS MISSISSIPPI MUNI BOND - B      55273N715       126     13,433    SH   SHARED       13,433
 D   MFS TOTAL RETURN FUND CLASS A      552981300       269     18,929    SH   SHARED       18,929
 D   MFS HIGH YEILD MUNICIPAL BOND -    552984304        85     10,409    SH   SHARED       10,409
 D   MACROMEDIA INC                     556100105       387      4,000    SH   SHARED                              4,000
 D   MANITOWOC COMPANY                  563571108       669     25,000    SH   SHARED                             25,000
 D   MANULIFE FINANCIAL CORP            56501R106     1,004     56,378    SH   SHARED       56,378
 D   MARSHALL & ILSLEY CORP             571834100       581     14,000    SH   SHARED                             14,000
 D   MFS MASSACHUSETTS INVESTORS TRU    575736103       515     24,610    SH   SHARED       24,610
 D   MFS MASSACHUSETTS INVESTORS TRU    575736103        41      1,959    SH   SHARED                      725     1,234
 D   MASTER GRAPHICS INC                576346100        13     99,280    SH   SHARED       43,390                55,890
 D   MAXIM INTEGRATED PRODUCTS INC      57772K101     2,853     42,000    SH   SHARED                             42,000
 D   MCDONALDS CORP COM                 580135101     2,579     78,305    SH   SHARED       16,905                61,400
 D   MCGRAW-HILL COMPANIES INC          580645109       270      5,000    SH   SHARED                              5,000
 D   MEDICIS PHARMACEUTICAL CORP        584690309       228      4,000    SH   SHARED                              4,000
 D   MEDIMMUNE INC                      584699102     1,998     27,000    SH   SHARED                             27,000
 D   MEDTRONIC INC                      585055106       845     16,960    SH   SHARED       16,960
 D   THE MEN'S WEARHOUSE INC            587118100       223     10,000    SH   SHARED                             10,000
 D   MAYS WHOLESALE DRY GOODS           587990102       624        176    SH   SHARED          176
 D   MERCK & CO INC COM                 589331107    10,935    142,709    SH   SHARED       46,948         125    95,636
 D   MERCK & CO INC COM                 589331107     1,234     16,100    SH   SHARED        1,000      15,100
 D   MERCURY INTERACTIVE CORP           589405109       968     10,000    SH   SHARED                             10,000
 D   MEREDITH CORP                      589433101     2,448     72,530    SH   SHARED       10,170         200    62,160
 D   MERRILL LYNCH & CO INC COM         590188108     2,838     24,682    SH   SHARED        4,292                20,390
 D   METHODE ELECTRONICS CLASS A        591520200       386     10,000    SH   SHARED                             10,000
 D   MICREL INC                         594793101       434     10,000    SH   SHARED                             10,000
 D   MICROSOFT CORP                     594918104    14,776    184,697    SH   SHARED       15,725         100   168,872
 D   MICROCHIP TECHNOLOGY INC           595017104       699     12,000    SH   SHARED                             12,000
 D   MILLENNIUM PHARMACEUTICALS I       599902103     1,343     12,000    SH   SHARED                             12,000
 D   MINNESOTA MNG MFG CO COM           604059105       471      5,715    SH   SHARED        4,825                   890
 D   MINNESOTA MNG MFG CO COM           604059105       124      1,500    SH   SHARED        1,000         500
 D   MINNESOTA POWER INC                604110106       485     28,000    SH   SHARED                             28,000
 D   MOHAWK INDUSTRIES INC.             608190104       413     19,000    SH   SHARED                             19,000
 D   MONTANA POWER CO                   612085100     1,483     42,000    SH   SHARED                             42,000
 D   MORGAN J P & C0                    616880100       228      2,067    SH   SHARED        1,877                   190
 D   MORGAN STANLEY DEAN WITTER US      616969200       162     18,721    SH   SHARED       18,721
 D   MORGAN STANLEY DEAN WITTER & CO    617446448     5,247     63,025    SH   SHARED        1,025                62,000
 D   MORGAN STANLEY DEAN WITTER & CO    617446448        26        316    SH   SHARED                      316
 D   MOTOROLA INC COM                   620076109     2,656     91,382    SH   SHARED        8,702                82,680
 D   MUELLER INDUSTRIALS INC            624756102       700     25,000    SH   SHARED                             25,000
 D   MUNICIPAL PARTNERS FUND II       6.2622E+111       341     29,517    SH   SHARED        7,000                22,517
 D   MYLAN LABS INC                     628530107     1,279     70,075    SH   SHARED           75                70,000
 D   NABORS IND INC                     629568106       707     17,000    SH   SHARED                             17,000
 D   NATIONAL COMMERCE                  635449101       227     14,128    SH   SHARED       14,128
 D   NATIONAL COMPUTER SYSTEMS INC      635519101       493     10,000    SH   SHARED                             10,000
 D   NATIONAL INSTRUMENTS               636518102       436     10,000    SH   SHARED                             10,000
 D   AMERICAN FUNDS - NEW PERSPECTIV    648018109       215      6,941    SH   SHARED        6,941
 D   NEW YORK TIMES CO CLASS A          650111107       320      8,110    SH   SHARED        6,110                 2,000
 D   NEWFIELD EXPLORATION CO            651290108       391     10,000    SH   SHARED                             10,000
 D   NEWPORT NEWS SHIPBUILDING INC      652228107       490     13,345    SH   SHARED          345                13,000
 D   NOBLE DRILLING CORP                655042109       700     17,000    SH   SHARED                             17,000
 D   NORTEL NETWORKS CORP NEW           656568102     6,475     94,870    SH   SHARED        4,270                90,600
 D   NORTHERN GROWTH EQUITY FUND        665162103       726     29,133    SH   SHARED       29,133
 D   NORTHROP GRUMMAN CORP              666807102     2,052     30,970    SH   SHARED        1,880                29,090
 D   NOVELLUS SYSTEMS INC               670008101     1,103     19,500    SH   SHARED        1,500                18,000
 D   NUVEEN MUNICIPAL VALUE FUND INC    670928100        84     10,000    SH   SHARED       10,000
 D   OCEANEERING INTL INC               675232102       532     28,000    SH   SHARED                             28,000
 D   OMAN CONSTRUCTION CO., INC.        682051891     2,408     60,198    SH   SHARED       60,198
 D   OPPENHEIMER ENTERPRISE FUND CLA    68379J108       610     16,291    SH   SHARED       16,291
 D   ORACLE CORPORATION                 68389X105     8,251     98,150    SH   SHARED        5,350                92,800
 D   ORTHODONTIC CENTERS OF AMERICA     68750P103     1,358     60,000    SH   SHARED                             60,000
 D   OUTBACK STEAKHOUSE INC             689899102       819     28,000    SH   SHARED                             28,000
 D   THE PMI GROUP                      69344M101       855     18,000    SH   SHARED                             18,000
 D   PSS WORLD MEDICAL INC              69366A100       247     36,750    SH   SHARED       36,750
 D   PACIFIC SUNWEAR CALIF INC          694873100       188     10,000    SH   SHARED                             10,000
 D   PATTERSON DENTAL COMPANY           703412106     1,275     25,000    SH   SHARED                             25,000
 D   PAYLESS SHOESOURCE INC             704379106       461      9,000    SH   SHARED                              9,000
 D   THE PEOPLE'S HOLDING CO            711148106       349     17,471    SH   SHARED       17,471
 D   PEPSICO INC COM                    713448108     4,278     96,274    SH   SHARED       23,374                72,900
 D   PEPSICO INC COM                    713448108       524     11,800    SH   SHARED        1,000      10,800
 D   PERFORMANCE SHORT TERM GOVERNME    713756401    77,279  7,958,619    SH   SHARED    7,386,669     153,650   418,300
 D   PERFORMANCE SHORT TERM GOVERNME    713756401     1,286    132,489    SH   SHARED       58,506      59,113    14,870
 D   PERFORMANCE INTERMEDIATE TERM      713756609   134,175 13,789,466    SH   SHARED    2,854,941     229,166   705,359
 D   PERFORMANCE INTERMEDIATE TERM      713756609     2,171    223,095    SH   SHARED      138,714      70,932    13,449
 D   PERFORMANCE LARGE CAP EQUITY FU    713756807   166,128  5,616,213    SH   SHARED    4,715,731     624,084   276,398
 D   PERFORMANCE LARGE CAP EQUITY FU    713756807     4,430    149,766    SH   SHARED       70,902      70,501     8,363
 D   PERFORMANCE SMALL CAP EQUITY FU    713756856    40,430  4,552,948    SH   SHARED    4,090,667     315,006   147,274
 D   PERFORMANCE SMALL CAP EQUITY FU    713756856       338     38,078    SH   SHARED       30,364       4,656     3,058
 D   PERFORMANCE MID CAP EQUITY FUND    713756872    77,036  4,407,068    SH   SHARED    3,816,797     389,731   200,540
 D   PERFORMANCE MID CAP EQUITY FUND    713756872     1,429     81,742    SH   SHARED       42,000      36,347     3,395
 D   PFIZER INC COM                     717081103    14,597    304,100    SH   SHARED       42,600         200   261,300
 D   PHARMACIA CORP                     71713U102       261      5,050    SH   SHARED        2,900                 2,150
 D   PHARMACIA CORP                     71713U102        45        862    SH   SHARED          862
 D   PHILIP MORRIS COS COM              718154107        57      2,150    SH   SHARED        2,150
 D   PHILIP MORRIS COS COM              718154107       638     24,000    SH   SHARED       24,000
 D   PHYCOR INC                         71940FAB6         2     10,000    SH   SHARED
 D   PIEDMONT NATURAL GAS COMPANY       720186105       310     11,688    SH   SHARED          188                11,500
 D   PITNEY BOWES INC                   724479100     1,211     30,270    SH   SHARED       10,570         200    19,500
 D   PLACER DOME INC                    725906101       225     23,563    SH   SHARED       20,398                 3,165
 D   PLANTRONICS INC                    727493108       578      5,000    SH   SHARED                              5,000
 D   PLEXUS CORP                        729132100       565      5,000    SH   SHARED                              5,000
 D   PRECISION CASTPARTS                740189105       453     10,000    SH   SHARED                             10,000
 D   T ROWE PRICE-TAX FREE HIGH YIEL    741486104       118     10,424    SH   SHARED       10,424
 D   PRIORITY HEALTHCARE CORP           74264T102       297      4,000    SH   SHARED                              4,000
 D   PROCTER & GAMBLE CO COM            742718109     3,246     56,700    SH   SHARED        7,500         200    49,000
 D   PROCTER & GAMBLE CO COM            742718109       183      3,200    SH   SHARED        3,200
 D   PROTEIN DESIGN LABS INC            74369L103       429      2,600    SH   SHARED          100                 2,500
 D   PUBLIC SERVICE CO OF N MEX         744499104       247     16,000    SH   SHARED                             16,000
 D   PUGET SOUND ENERGY INC             745332106       703     33,000    SH   SHARED                             33,000
 D   PUTNAM INVESTOR FUND CL-A          746809102       257     13,769    SH   SHARED       13,769
 D   PUTNAM TAX EXEMPT - CLASS A        746870104        71      8,455    SH   SHARED        8,455
 D   PUTNAM TAX EXEMPT - CLASS A        746870104        29      3,458    SH   SHARED                    3,458
 D   PUTNAM NEW OPPORTUNITIES - B       746916204       254      2,793    SH   SHARED        2,691                   102
 D   QLOGIC CORP                        747277101       595      9,000    SH   SHARED                              9,000
 D   QUALCOMM INCORPORATED              747525103     1,526     25,435    SH   SHARED        3,335                22,100
 D   QUALCOMM INCORPORATED              747525103         3         45    SH   SHARED                       45
 D   QUANTUM CORP                       747906204     1,163    120,000    SH   SHARED                            120,000
 D   QWEST COMMUNICATIONS INTL INC      749121109       286      5,750    SH   SHARED        2,150                 3,600
 D   RSA SECURITY, INC                  749719100       693     10,000    SH   SHARED                             10,000
 D   RADIAN GROUP INC                   750236101       528     10,200    SH   SHARED          200                10,000
 D   RATIONAL SOFTWARE CORP             75409P202     1,022     11,000    SH   SHARED                             11,000
 D   REMEDY CORP                        759548100       279      5,000    SH   SHARED                              5,000
 D   REYNOLDS & REYNOLDS                761695105       989     54,200    SH   SHARED                             54,200
 D   ROBERT HALF INTERNATIONAL INC.     770323103     1,195     41,920    SH   SHARED        1,920                40,000
 D   ROCKWELL INTL CORP NEW             773903109       817     25,921    SH   SHARED        6,341         200    19,380
 D   ROPER INDS INC NEW                 776696106       256     10,000    SH   SHARED                             10,000
 D   T. ROWE PRICE INTERNATIONAL STK    77956H203        59      3,250    SH   SHARED        3,250
 D   T. ROWE PRICE INTERNATIONAL STK    77956H203       137      7,480    SH   SHARED        7,480
 D   ROYAL BANK SCOTLAND ADR            780097408       389     16,000    SH   SHARED        2,000                14,000
 D   ROYAL DUTCH PETROLEUM CO-NY SHA    780257804     6,198    100,678    SH   SHARED        6,778                93,900
 D   ROYAL DUTCH PETROLEUM CO-NY SHA    780257804       394      6,400    SH   SHARED        6,400
 D   RUBY TUESDAY INC                   781182100       251     20,000    SH   SHARED                             20,000
 D   SBC COMMUNICATIONS INC             78387G103     7,755    179,301    SH   SHARED       45,855               133,446
 D   SBC COMMUNICATIONS INC             78387G103        58      1,335    SH   SHARED        1,335
 D   SCI INC                            783890106       867     22,112    SH   SHARED        4,000                18,112
 D   SALOMON BROTHRS 2008 WORLDWIDE     79548R103       133     15,000    SH   SHARED                             15,000
 D   SANDERSON FARMS INC                800013104       293     36,685    SH   SHARED       32,685       4,000
 D   SANMINA CORP                       800907107     1,539     18,000    SH   SHARED                             18,000
 D   SCANA CORP NEW                     80589M102       965     40,000    SH   SHARED                             40,000
 D   SCHERING-PLOUGH CORP               806605101     5,790    114,655    SH   SHARED       36,855         100    77,700
 D   SCHLUMBERGER LTD                   806857108        67        900    SH   SHARED          900
 D   SCHLUMBERGER LTD                   806857108       149      2,000    SH   SHARED        2,000
 D   THE CHARLES SCHWAB CORPORATION     808513105       691     20,562    SH   SHARED                             20,562
 D   SECURITY BANK OF AMORY, MS         813990108     2,291        567    SH   SHARED                                567
 D   SEMPRA ENERGY                      816851109     1,082     63,643    SH   SHARED        4,094                59,549
 D   SEPRACOR INC                       817315104       965      8,000    SH   SHARED                              8,000
 D   SHAW INDUSTRIES INC                820286102       131     10,500    SH   SHARED       10,500
 D   SHERWIN-WILLIAMS                   824348106       764     36,064    SH   SHARED        5,674         200    30,190
 D   SILICON VALLEY BANCSHARES          827064106     1,279     30,000    SH   SHARED                             30,000
 D   SMITH (A.O.) CORP                  831865209       209     10,000    SH   SHARED                             10,000
 D   SMITH INTERNATIONAL INC            832110100     2,913     40,000    SH   SHARED                             40,000
 D   SOUTHDOWN INC                      841297104       866     15,000    SH   SHARED                             15,000
 D   THE SOUTHERN CO COM                842587107     3,378    144,887    SH   SHARED       42,687               102,200
 D   THE SOUTHERN CO COM                842587107       131      5,600    SH   SHARED        4,500       1,100
 D   SOUTHERN MINERAL CORP              843367AA1        52    150,000    SH   SHARED
 D   SPRINT CORP                        852061100     3,324     65,170    SH   SHARED        9,970                55,200
 D   SPRINT CORP    PCS GROUP           852061506       298      5,002    SH   SHARED        3,742                 1,260
 D   STARBUCKS CORP                     855244109       535     14,000    SH   SHARED                             14,000
 D   STRYKER CORP                       863667101     4,725    108,000    SH   SHARED                            108,000
 D   SUIZA FOODS CORP                   865077101       587     12,000    SH   SHARED                             12,000
 D   SUN LIFE FIN SVCS CANADA INC.      866796105       325     19,285    SH   SHARED       13,937                 5,348
 D   SUN MICROSYSTEM INC                866810104     5,939     65,305    SH   SHARED       17,705         400    47,200
 D   SUN MICROSYSTEM INC                866810104        45        500    SH   SHARED                      500
 D   SUNTRUST BANKS INC                 867914103     1,713     37,503    SH   SHARED        7,003                30,500
 D   SYMANTEC INC                       871503108       432      8,000    SH   SHARED                              8,000
 D   SYMBOL TECHNOLOGIES INC            871508107       891     16,500    SH   SHARED                             16,500
 D   SYSCO CORP                         871829107       349      8,280    SH   SHARED        8,280
 D   TALK.COM INC                       874264104        58     10,000    SH   SHARED                             10,000
 D   TARGET CORP                      8.7612E+110       389      6,700    SH   SHARED        6,000                   700
 D   TECHNE CORP                        878377100       390      3,000    SH   SHARED                              3,000
 D   TECHNITROL INC                     878555101       678      7,000    SH   SHARED                              7,000
 D   TELEPHONE ANS DATA SYSTEMS INC     879433100       802      8,000    SH   SHARED                              8,000
 D   TEMPLETON FOREIGN FUND CLASS A     880196209       544     51,065    SH   SHARED       41,062       8,063     1,940
 D   TEMPLETON FOREIGN FUND CLASS A     880196209        41      3,895    SH   SHARED                    3,895
 D   TEXACO INC, COM                    881694103       381      7,153    SH   SHARED        6,953         200
 D   TEXAS INSTRS INC COM               882508104     3,931     57,230    SH   SHARED        4,840                52,390
 D   TEXTRON INC                        883203101     2,241     41,265    SH   SHARED        3,165                38,100
 D   3COM CORP                          885535104       275      4,765    SH   SHARED        4,765
 D   TIFFANY & CO NEW                   886547108     1,823     27,000    SH   SHARED                             27,000
 D   TIMBERLAND COMPANY                 887100105     1,416     20,000    SH   SHARED                             20,000
 D   TIME WARNER, INC                   887315109     3,667     48,250    SH   SHARED        1,550                46,700
 D   TRUE NORTH COMMUNICATIONS INC      897844106       308      7,000    SH   SHARED                              7,000
 D   TRUSTMARK CORP                     898402102    54,460  3,123,080    SH   SHARED    2,446,728     107,677   568,675
 D   TRUSTMARK CORP                     898402102     5,737    328,974    SH   SHARED                  223,436   105,538
 D   TRUST ONE BANK                     898490958       235     15,646    SH   SHARED       15,646
 D   TYCO INTERNATIONAL LTD             902124106     2,828     59,703    SH   SHARED        6,043                53,660
 D   UST INC                            902911106       203     13,800    SH   SHARED       13,800
 D   USG CORP COMMON NEW                903293405       577     19,000    SH   SHARED                             19,000
 D   USG CORP COMMON NEW                903293405         1         40    SH   SHARED                       40
 D   UNILEVER N V                       904784709     1,201     27,931    SH   SHARED        1,931                26,000
 D   UNION PLANTERS CORP COM            908068109     2,393     85,654    SH   SHARED       83,889       1,465       300
 D   U S WEST INC NEW                   91273H101       190      2,213    SH   SHARED        1,170                 1,043
 D   U S WEST INC NEW                   91273H101        88      1,027    SH   SHARED        1,027
 D   UNITED STATIONERS INC              913004107       324     10,000    SH   SHARED                             10,000
 D   UNIVERSAL HEALTH SERVICES INC      913903100       328      5,000    SH   SHARED                              5,000
 D   UNIVISION COMMUNICATIONS INC       914906102     1,346     13,000    SH   SHARED                             13,000
 D   USFREIGHTWAYS CORPORATION          916906100       246     10,000    SH   SHARED                             10,000
 D   VALERO ENERGY CORP NEW             91913Y100       953     30,000    SH   SHARED                             30,000
 D   VAN KAMPEN PRIME RATE INCOME TR    920914108       404     42,440    SH   SHARED       42,440
 D   VAN KAMPEN AGGRESSIVE GROWTH FD    92113A843       903     27,779    SH   SHARED       27,779
 D   VAN KAMPEN EMERGING GROWTH - A     92113B106       576      5,930    SH   SHARED        5,930
 D   VAN KAMPEN MID CAP GROWTH FUND     921133476     1,028     76,880    SH   SHARED       58,216                18,663
 D   VAN KAMPEN MID CAP GROWTH FUND     921133476        37      2,753    SH   SHARED                    1,018     1,735
 D   VANGUARD INDEX 500  FUND #40       922908108       856      6,384    SH   SHARED        6,384
 D   VANGUARD TOTAL STK MKT INDEX A     922908306       286      8,737    SH   SHARED        8,737
 D   VERTEX PHARMACEUTICALS INC         92532F100       316      3,000    SH   SHARED                              3,000
 D   VIACOM INC                         925524308     2,326     34,110    SH   SHARED        3,362                30,748
 D   VINTAGE PETROLEUM INC              927460105       451     20,000    SH   SHARED                             20,000
 D   VISHAY INTERTECHNOLOGY INC         928298108       626     16,500    SH   SHARED                             16,500
 D   VITESSE SEMICONDUCTOR CORP         928497106     1,618     22,000    SH   SHARED                             22,000
 D   VODAFONE GROUP PUBLIC LTD CO AD    92857T107       236      5,690    SH   SHARED        5,690
 D   W L COBB CONSTRUCTION CO., INC.    92895@996       312     30,038    SH   SHARED       30,038
 D   WAL-MART STORES, INC               931142103    11,746    203,831    SH   SHARED       32,731         100   171,000
 D   WAL-MART STORES, INC               931142103       115      2,000    SH   SHARED        2,000
 D   WALGREEN CO                        931422109     4,653    144,552    SH   SHARED       13,352               131,200
 D   WARBURG PINCUS EMERGING GROW       933909202       566     11,406    SH   SHARED       11,406
 D   WARBURG PINCUS INTL EQUITY F       933910200       248     10,289    SH   SHARED       10,289
 D   WARNER LAMBERT CO COM              934488107       519      4,000    SH   SHARED        4,000
 D   AMERICAN FDS-WASHINGTON MUTUAL     939330106       211      7,485    SH   SHARED        7,485
 D   WASHINGTON POST CO                 939640108       956      2,000    SH   SHARED                              2,000
 D   WATERS CORP                        941848103       999      8,000    SH   SHARED                              8,000
 D   WELLS FARGO COMPANY                949746101     5,252    135,526    SH   SHARED       85,526                50,000
 D   WEYERHAEUSER CO COM                962166104       456     10,603    SH   SHARED       10,603
 D   WEYERHAEUSER CO COM                962166104       103      2,400    SH   SHARED        2,400
 D   WOLVERINE WORLD WIDE               978097103       198     20,000    SH   SHARED                             20,000
 D   WORLDCOM INC GA NEW                98157D106    12,935    281,969    SH   SHARED       61,557       3,300   217,112
 D   WORLDCOM INC GA NEW                98157D106     2,722     59,325    SH   SHARED        1,000      58,325
 D   WRIGLEY WM JR CO COM               982526105     2,679     33,412    SH   SHARED        8,400                25,012
 D   WRIGLEY WM JR CO COM               982526105        40        500    SH   SHARED          500
 D   YAHOO INC                          984332106     2,357     19,025    SH   SHARED          925                18,100
 D   ZALE CORP NEW                      988858106       548     15,000    SH   SHARED                             15,000
 D   ZEBRA TECHNOLOGIES CORP            989207105       665     15,000    SH   SHARED                             15,000
 D   RMA MONET MARKET PORTFOLIO         990046559        61     61,284    SH   SHARED                             61,284
 D   PAINE WEBBER BROKERAGE ACCOUNT     990123440        20     19,754    SH   SHARED       19,754
 D   ADVANTAGE CAPITAL CORPORATION      990206211       109    109,192    SH   SHARED      109,192
                                                  ---------
                                                  1,534,586
                                                  =========
</TABLE>


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