13F-HR 1 r13f033101.txt NATIONAL BANK OF COMMERCE UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: 03/31/2001 Check here if Amendment [ ] Amendment Number: This Amendment [ ] is a restatement [ ] adds new holding entries Institutional Investment Manager Filing this Report: Name: CENTRAL CAROLINA BANK & TRUST Address: PO BOX 30010 DURHAM, NC 27702 13F File Number: 28-01342 The institutional investment Manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: CARLA REYNOLDS Title: TRUST OFFICER Phone: 919-683-7144 Signature, Place, and Date of Signing: 1 DURHAM, NC 05/10/2001 Report Type (Check only one) [X] 13F HOLDINGS REPORT [ ] 13F NOTICE [ ] 13F COMBINATION REPORT I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934 FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 676 Form 13F Information Table Value Total: $ 961,466 List of Other Included Managers: NONE FORM 13F INFORMATION TABLE TITLE VALUE SHARES/ SH/ PUT/ NAME OF ISSUER OF CLASS CUSIP (X $1000) PRN AMOUNT PRN CALL SECURITY NAME SUBCLASS AFLAC INC COMMON STOCKS 001055102 2175 78972 SH AFLAC INC COMMON STOCKS 001055102 551 20000 SH AES CORP COMMON STOCKS 00130H105 348 6975 SH AES CORP COMMON STOCKS 00130H105 110 2211 SH AT&T CORP COMMON STOCKS 001957109 1277 59932 SH AT&T CORP COMMON STOCKS 001957109 206 9649 SH AT&T CORP COMMON STOCKS 001957109 8 370 SH ABBOTT LABORATORIES COMMON STOCKS 002824100 6176 130884 SH ABBOTT LABORATORIES COMMON STOCKS 002824100 1214 25725 SH ADAPTEC INC COMMON STOCKS 00651F108 702 80975 SH ADAPTEC INC COMMON STOCKS 00651F108 143 16500 SH ROWE CORP CLOSELY HELD CO 006997019 512 20000 SH AEGON N V COMMON STOCKS 007924103 4723 161542 SH AEGON N V COMMON STOCKS 007924103 6 201 SH AEGON N V COMMON STOCKS 007924103 855 29244 SH AGILENT TECHNOLOGIES INC COMMON STOCKS 00846U101 544 17687 SH AGILENT TECHNOLOGIES INC COMMON STOCKS 00846U101 132 4287 SH AGILENT TECHNOLOGIES INC COMMON STOCKS 00846U101 3 94 SH ROSEMYR CORP CLOSELY HELD CO 009990011 1634 6898 SH ROSEMYR CORP CLOSELY HELD CO 009990011 1597 6745 SH ALBERTSONS INC COMMON STOCKS 013104104 738 23184 SH ALLEGHANY CORP COMMON STOCKS 017175100 269 1343 SH ALLEGHENY ENERGY INC COMMON STOCKS 017361106 282 6105 SH ALLEGHENY ENERGY INC COMMON STOCKS 017361106 83 1800 SH ALLIANCE GROWTH MUTUAL FUNDS-EQ 01877F401 212 6865 PRN ALLSTATE CORPORATION COMMON STOCKS 020002101 267 6366 SH ALLSTATE CORPORATION COMMON STOCKS 020002101 252 6009 SH ALLTEL CORP COMMON STOCKS 020039103 160 3050 SH ALLTEL CORP COMMON STOCKS 020039103 106 2019 SH ALTERA CORP COMMON STOCKS 021441100 121 5656 SH ALTERA CORP COMMON STOCKS 021441100 232 10800 SH AMBAC FINANCIAL GROUP, INC COMMON STOCKS 023139108 569 8975 SH AMERICAN CENTURY MUTUAL FUNDS-EQ 02507M600 4813 251215 PRN AMERICAN CENTURY MUTUAL FUNDS-EQ 02507M600 8 431 PRN AMERICAN ELEC PWR INC COMMON STOCKS 025537101 312 6633 SH AMERICAN ELEC PWR INC COMMON STOCKS 025537101 76 1618 SH AMERICAN EXPRESS CO COMMON STOCKS 025816109 199 4825 SH AMERICAN EXPRESS CO COMMON STOCKS 025816109 17 400 SH AMERICAN EXPRESS CO COMMON STOCKS 025816109 66 1587 SH AMERICAN GEN CORP COMMON STOCKS 026351106 92 2408 SH AMERICAN GEN CORP COMMON STOCKS 026351106 457 11940 SH AMERICAN HOME PRODS CORP COMMON STOCKS 026609107 8885 151234 SH AMERICAN HOME PRODS CORP COMMON STOCKS 026609107 22 375 SH AMERICAN HOME PRODS CORP COMMON STOCKS 026609107 2385 40600 SH AMERICAN INTL GROUP INC COMMON STOCKS 026874107 5021 62373 SH AMERICAN INTL GROUP INC COMMON STOCKS 026874107 56 700 SH AMERICAN INTL GROUP INC COMMON STOCKS 026874107 176 2187 SH AMERICAN POWER CONVERSION COMMON STOCKS 029066107 645 50000 SH AMETEK INC COMMON STOCKS 031100100 2125 77000 SH AMETEK INC COMMON STOCKS 031100100 202 7325 SH AMGEN INC COMMON STOCKS 031162100 5322 88430 SH AMGEN INC COMMON STOCKS 031162100 72 1200 SH AMGEN INC COMMON STOCKS 031162100 196 3250 SH ANHEUSER BUSCH COS INC COMMON STOCKS 035229103 524 11400 SH ANHEUSER BUSCH COS INC COMMON STOCKS 035229103 955 20800 SH AON CORP COMMON STOCKS 037389103 237 6678 SH AON CORP COMMON STOCKS 037389103 59 1651 SH APPLIED MATERIALS INC COMMON STOCKS 038222105 6529 150098 SH APPLIED MATERIALS INC COMMON STOCKS 038222105 61 1400 SH APPLIED MATERIALS INC COMMON STOCKS 038222105 1098 25250 SH APTARGROUP INC COMMON STOCKS 038336103 2256 74025 SH APTARGROUP INC COMMON STOCKS 038336103 152 5000 SH AREMISSOFT CORPORATION COMMON STOCKS 040026106 923 71000 SH AREMISSOFT CORPORATION COMMON STOCKS 040026106 182 14000 SH AURA SYSTEMS INC COMMON STOCKS 051526101 5 13600 SH AUTODESK INC. COMMON STOCKS 052769106 1871 61225 SH AUTODESK INC. COMMON STOCKS 052769106 309 10100 SH AUTOMATIC DATA PROCESSING INC COMMON STOCKS 053015103 3807 70012 SH AUTOMATIC DATA PROCESSING INC COMMON STOCKS 053015103 102 1880 SH AUTOMATIC DATA PROCESSING INC COMMON STOCKS 053015103 16 300 SH AVERY DENNISON CORP COMMON STOCKS 053611109 208 4000 SH AVNET INC COMMON STOCKS 053807103 447 21800 SH AXA - SPONS ADR COMMON STOCKS 054536107 231 4213 SH AXA - SPONS ADR COMMON STOCKS 054536107 14 250 SH AXCELIS TECHNOLOGIES COMMON STOCKS 054540109 242 20956 SH AXCELIS TECHNOLOGIES COMMON STOCKS 054540109 157 13552 SH BB & T CORPORATION COMMON STOCKS 054937107 1995 56723 SH BB & T CORPORATION COMMON STOCKS 054937107 14 400 SH BP AMOCO PLC COMMON STOCKS 055622104 4593 92563 SH BP AMOCO PLC COMMON STOCKS 055622104 652 13147 SH BANK OF AMERICA CORP COMMON STOCKS 060505104 3651 66684 SH BANK OF AMERICA CORP COMMON STOCKS 060505104 38 697 SH BANK OF AMERICA CORP COMMON STOCKS 060505104 1562 28530 SH BANK OF NEW YORK INC COMMON STOCKS 064057102 288 5852 SH BANK OF NEW YORK INC COMMON STOCKS 064057102 1103 22400 SH BANK ONE CORP COMMON STOCKS 06423A103 294 8120 SH BANK ONE CORP COMMON STOCKS 06423A103 36 983 SH BAXTER INTL INC COMMON STOCKS 071813109 320 3400 SH BAXTER INTL INC COMMON STOCKS 071813109 12 125 SH BAXTER INTL INC COMMON STOCKS 071813109 7 70 SH BECKMAN COULTER, INC. COMMON STOCKS 075811109 3086 78948 SH BECKMAN COULTER, INC. COMMON STOCKS 075811109 274 7000 SH BELLSOUTH CORP COMMON STOCKS 079860102 2213 54069 SH BELLSOUTH CORP COMMON STOCKS 079860102 558 13632 SH BERKSHIRE HATHAWAY INC COMMON STOCKS 084670108 9818 150 SH BERKSHIRE HATHAWAY INC COMMON STOCKS 084670207 588 270 SH BERKSHIRE HATHAWAY INC COMMON STOCKS 084670207 48 22 SH BLACK BOX CORP COMMON STOCKS 091826107 3276 73525 SH BLACK BOX CORP COMMON STOCKS 091826107 526 11800 SH BLACK HILLS CORP COMMON STOCKS 092113109 2773 60675 SH BLACK HILLS CORP COMMON STOCKS 092113109 274 6000 SH BLOCK H & R INC COMMON STOCKS 093671105 200 4000 SH BOEING CO COMMON STOCKS 097023105 778 13965 SH BOEING CO COMMON STOCKS 097023105 727 13052 SH BRANDYWINE FD INC MUTUAL FUNDS-EQ 10532D107 69 2670 PRN BRANDYWINE FD INC MUTUAL FUNDS-EQ 10532D107 319 12389 PRN BRISTOL MYERS SQUIBB CO COMMON STOCKS 110122108 1941 32670 SH BRISTOL MYERS SQUIBB CO COMMON STOCKS 110122108 606 10210 SH CCB MUTUAL FUNDS-EQ 12500E307 44291 3006828 PRN CCB MUTUAL FUNDS-EQ 12500E307 4448 301954 PRN CMS ENERGY CORP COMMON STOCKS 125896100 497 16790 SH CMS ENERGY CORP COMMON STOCKS 125896100 249 8400 SH CSX CORP COMMON STOCKS 126408103 253 7510 SH CVS CORPORATION COMMON STOCKS 126650100 211 3600 SH CVS CORPORATION COMMON STOCKS 126650100 41 700 SH CALPINE CORPORATION COMMON STOCKS 131347106 2156 39150 SH CALPINE CORPORATION COMMON STOCKS 131347106 275 5000 SH CAP ONE FINANCIAL CORP COMMON STOCKS 14040H105 6699 120699 SH CAP ONE FINANCIAL CORP COMMON STOCKS 14040H105 216 3900 SH CARDINAL HEALTH INC COMMON STOCKS 14149Y108 296 3060 SH CARDINAL HEALTH INC COMMON STOCKS 14149Y108 15 150 SH CENTURA BKS INC COMMON STOCKS 15640T100 1023 20697 SH CENTURA BKS INC COMMON STOCKS 15640T100 1138 23005 SH CHEVRON CORP COMMON STOCKS 166751107 1184 13490 SH CHEVRON CORP COMMON STOCKS 166751107 211 2400 SH CISCO SYSTEMS COMMON STOCKS 17275R102 4646 293802 SH CISCO SYSTEMS COMMON STOCKS 17275R102 23 1450 SH CISCO SYSTEMS COMMON STOCKS 17275R102 763 48251 SH CISCO SYSTEMS COMMON STOCKS 17275R102 23 1480 SH CITIGROUP INC COMMON STOCKS 172967101 2524 56106 SH CITIGROUP INC COMMON STOCKS 172967101 1698 37755 SH CITRIX SYSTEMS INC COMMON STOCKS 177376100 534 25300 SH CLEAR CHANNEL COMMUNICATIONS COMMON STOCKS 184502102 271 4980 SH CLEAR CHANNEL COMMUNICATIONS COMMON STOCKS 184502102 109 2000 SH COCA COLA CO COMMON STOCKS 191216100 2925 64760 SH COCA COLA CO COMMON STOCKS 191216100 208 4600 SH COLGATE PALMOLIVE CO COMMON STOCKS 194162103 940 17013 SH COLGATE PALMOLIVE CO COMMON STOCKS 194162103 177 3200 SH COMMSCOPE INC COMMON STOCKS 203372107 3698 221675 SH COMMSCOPE INC COMMON STOCKS 203372107 42 2500 SH COMMSCOPE INC COMMON STOCKS 203372107 250 15000 SH COMPAQ COMPUTER CORP COMMON STOCKS 204493100 1049 57640 SH COMPAQ COMPUTER CORP COMMON STOCKS 204493100 10 524 SH COMPAQ COMPUTER CORP COMMON STOCKS 204493100 4 200 SH COMPAQ COMPUTER CORP COMMON STOCKS 204493100 4 247 SH COMPUTER SCIENCES CORP COMMON STOCKS 205363104 872 26951 SH COMPUTER SCIENCES CORP COMMON STOCKS 205363104 32 1000 SH COMPUTER SCIENCES CORP COMMON STOCKS 205363104 196 6050 SH CONE MILLS CORP COMMON STOCKS 206814105 30 9500 SH CONE MILLS CORP COMMON STOCKS 206814105 173 54942 SH DALLAS SEMICONDUCTOR CORP COMMON STOCKS 235204104 88 3400 SH DALLAS SEMICONDUCTOR CORP COMMON STOCKS 235204104 218 8400 SH DANAHER CORP COMMON STOCKS 235851102 79 1447 SH DANAHER CORP COMMON STOCKS 235851102 493 9041 SH DENTSPLY INTERNATIONAL INC COMMON STOCKS 249030107 1799 49300 SH DIEBOLD INC COMMON STOCKS 253651103 1942 70712 SH DIEBOLD INC COMMON STOCKS 253651103 69 2500 SH THE WALT DISNEY COMPANY COMMON STOCKS 254687106 1121 39212 SH THE WALT DISNEY COMPANY COMMON STOCKS 254687106 137 4800 SH DOMINION RESOURCES COMMON STOCKS 25746U109 173 2678 SH DOMINION RESOURCES COMMON STOCKS 25746U109 39 608 SH DOVER CORP COMMON STOCKS 260003108 493 13745 SH DOW CHEM CO COMMON STOCKS 260543103 300 9508 SH DOW CHEM CO COMMON STOCKS 260543103 13 405 SH DREYFUS FD MUTUAL FUNDS-EQ 262003106 121 12123 PRN DU PONT E I DE NEMOURS & CO COMMON STOCKS 263534109 1234 30331 SH DU PONT E I DE NEMOURS & CO COMMON STOCKS 263534109 4 100 SH DU PONT E I DE NEMOURS & CO COMMON STOCKS 263534109 620 15225 SH DU PONT E I DE NEMOURS & CO COMMON STOCKS 263534109 60 1479 SH DUFF & PHELPS UTILS INCOME INC CLOSED END FUND 264324104 192 18300 PRN DUKE ENERGY CORP COMMON STOCKS 264399106 5972 139722 SH DUKE ENERGY CORP COMMON STOCKS 264399106 19 440 SH DUKE ENERGY CORP COMMON STOCKS 264399106 879 20568 SH DUKE ENERGY CORP COMMON STOCKS 264399106 38 894 SH EMC CORP COMMON STOCKS 268648102 7791 265014 SH EMC CORP COMMON STOCKS 268648102 7 250 SH EMC CORP COMMON STOCKS 268648102 2273 77300 SH EASTMAN KODAK CO COMMON STOCKS 277461109 200 5009 SH EASTMAN KODAK CO COMMON STOCKS 277461109 193 4850 SH EATON CORP COMMON STOCKS 278058102 1219 17800 SH EATON CORP COMMON STOCKS 278058102 788 11500 SH EL PASO CORP COMMON STOCKS 28336L109 161 2468 SH EL PASO CORP COMMON STOCKS 28336L109 65 1000 SH ELECTRONICS FOR IMAGING COMMON STOCKS 286082102 630 25600 SH ELECTRONICS FOR IMAGING COMMON STOCKS 286082102 25 1000 SH EMERSON ELECTRIC CO COMMON STOCKS 291011104 362 5840 SH EMERSON ELECTRIC CO COMMON STOCKS 291011104 19 300 SH EMERSON ELECTRIC CO COMMON STOCKS 291011104 271 4376 SH ENERGIZER HOLDINGS COMMON STOCKS 29266R108 1203 48114 SH ENERGIZER HOLDINGS COMMON STOCKS 29266R108 75 3000 SH ENRON CORP COMMON STOCKS 293561106 372 6397 SH ENRON CORP COMMON STOCKS 293561106 48 820 SH ENTREMED INC COMMON STOCKS 29382F103 246 14804 SH EQUITABLE RES INC COMMON STOCKS 294549100 449 6500 SH EQUITY INCOME FD COMMON STOCKS 294700703 4490 33885 SH EQUITY INCOME FD COMMON STOCKS 294700703 504 3800 SH EXELON CORPORATION COMMON STOCKS 30161N101 215 3275 SH EXELON CORPORATION COMMON STOCKS 30161N101 66 1000 SH EXODUS COMMUNICATIONS INC COMMON STOCKS 302088109 319 29650 SH EXXON MOBIL CORP COMMON STOCKS 30231G102 17325 213890 SH EXXON MOBIL CORP COMMON STOCKS 30231G102 79 980 SH EXXON MOBIL CORP COMMON STOCKS 30231G102 4193 51770 SH FPL GROUP INC COMMON STOCKS 302571104 176 2878 SH FPL GROUP INC COMMON STOCKS 302571104 26 424 SH FAMILY DLR STORES INC COMMON STOCKS 307000109 699 27200 SH FEDERAL HOME LOAN MORTGAGE CORP COMMON STOCKS 313400301 752 11594 SH FEDERAL HOME LOAN MORTGAGE CORP COMMON STOCKS 313400301 130 2000 SH FEDERAL HOME LOAN MORTGAGE CORP COMMON STOCKS 313400301 16 250 SH FEDERAL NATIONAL MORTGAGE ASSN COMMON STOCKS 313586109 7757 97450 SH FEDERAL NATIONAL MORTGAGE ASSN COMMON STOCKS 313586109 303 3812 SH FEDERAL NATIONAL MORTGAGE ASSN COMMON STOCKS 313586109 20 247 SH FEDERATED MUTUAL FUNDS-FI 313923500 30282 2801260 PRN FEDERATED MUTUAL FUNDS-FI 313923500 2835 262299 PRN FEDERATED MUTUAL FUNDS-FI 314184102 786 69759 PRN FEDERATED MUTUAL FUNDS-FI 314184102 254 22518 PRN FEDERATED INCOME TRUST MUTUAL FUNDS-FI 314199100 342 33186 PRN FEDERATED MUTUAL FUNDS-FI 31420C209 96 10921 PRN FEDERATED MUTUAL FUNDS-FI 31420C407 60781 6090322 PRN FEDERATED MUTUAL FUNDS-FI 31420C407 7 691 PRN FEDERATED MUTUAL FUNDS-FI 31420C407 3486 349275 PRN FEDERATED SHORT INTER MUN TR SH MUTUAL FUNDS-FI 314280108 29 2829 PRN FEDERATED SHORT INTER MUN TR SH MUTUAL FUNDS-FI 314280108 281 27425 PRN FEDERATED US GOVT SEC MUTUAL FUNDS-FI 31428P103 129 11785 PRN FEDEX CORP COMMON STOCKS 31428X106 2351 56405 SH FEDEX CORP COMMON STOCKS 31428X106 584 14000 SH FIDELITY ADV INST EQUITY GROWTH MUTUAL FUNDS-EQ 315805101 1053 20659 PRN FIDELITY ADV INST EQUITY GROWTH MUTUAL FUNDS-EQ 315805101 98 1930 PRN FIDELITY MID-CAP STOCK FD MUTUAL FUNDS-EQ 316128404 231 9859 PRN FIDELITY NATIONAL FINL INC COMMON STOCKS 316326107 281 10488 SH FIRST CITIZENS BCSHS COMMON STOCKS 31946M103 393 3833 SH FIRST UNION CORP COMMON STOCKS 337358105 1721 52150 SH FIRST UNION CORP COMMON STOCKS 337358105 127 3855 SH FIRST UNION CORP COMMON STOCKS 337358105 7 197 SH FLOWERS INDS INC COMMON STOCKS 343496105 2164 130775 SH FLOWERS INDS INC COMMON STOCKS 343496105 331 20000 SH FORD MOTOR COMPANY COMMON STOCKS 345370860 3195 113628 SH FORD MOTOR COMPANY COMMON STOCKS 345370860 20 700 SH FORD MOTOR COMPANY COMMON STOCKS 345370860 330 11743 SH FORTUNE BRANDS INC COMMON STOCKS 349631101 953 27712 SH FORTUNE BRANDS INC COMMON STOCKS 349631101 420 12200 SH FRANKLIN MUTUAL FUNDS-EQ 35251D103 2072 67653 PRN FRANKLIN MUTUAL FUNDS-EQ 35251D103 59 1932 PRN FRANKLIN MUTUAL FUNDS-EQ 354713869 1673 55692 PRN FRANKLIN MUTUAL FUNDS-EQ 354713869 124 4141 PRN FRANKLIN MUTUAL FUNDS-FI 354723793 641 54208 PRN FRANKLIN MUTUAL FUNDS-FI 354723793 73 6174 PRN GALLAHER GROUP PLC ADR COMMON STOCKS 363595109 471 19522 SH GANNETT INC COMMON STOCKS 364730101 139 2327 SH GANNETT INC COMMON STOCKS 364730101 66 1100 SH GAP INC COMMON STOCKS 364760108 518 21825 SH GAP INC COMMON STOCKS 364760108 92 3874 SH GATEWAY INC COMMON STOCKS 367626108 422 25100 SH GATEWAY INC COMMON STOCKS 367626108 123 7300 SH GENERAL ELEC CO COMMON STOCKS 369604103 24844 593491 SH GENERAL ELEC CO COMMON STOCKS 369604103 96 2300 SH GENERAL ELEC CO COMMON STOCKS 369604103 4793 114495 SH GENERAL ELEC CO COMMON STOCKS 369604103 50 1185 SH GENERAL MILLS INC COMMON STOCKS 370334104 272 6334 SH GENERAL MILLS INC COMMON STOCKS 370334104 206 4800 SH GENERAL MTRS CORP COMMON STOCKS 370442105 446 8604 SH GENERAL MTRS CORP COMMON STOCKS 370442105 46 888 SH GENERAL MTRS CORP COMMON STOCKS 370442832 188 9660 SH GENERAL MTRS CORP COMMON STOCKS 370442832 439 22514 SH GENTEX CORP COMMON STOCKS 371901109 5131 221895 SH GENTEX CORP COMMON STOCKS 371901109 46 2000 SH GENTEX CORP COMMON STOCKS 371901109 190 8200 SH GENLYTE GROUP INC COMMON STOCKS 372302109 1950 70760 SH GENLYTE GROUP INC COMMON STOCKS 372302109 524 19000 SH GENUINE PARTS CO COMMON STOCKS 372460105 228 8787 SH GENZYME COMMON STOCKS 372917104 28 308 SH GENZYME COMMON STOCKS 372917104 211 2336 SH GERBER SCIENTIFIC INC COMMON STOCKS 373730100 52 7775 SH GERBER SCIENTIFIC INC COMMON STOCKS 373730100 76 11350 SH GILLETTE CO COMMON STOCKS 375766102 1093 35054 SH GILLETTE CO COMMON STOCKS 375766102 81 2600 SH GLAXOSMITHKLINE PLC-ADR COMMON STOCKS 37733W105 598 11437 SH GLAXOSMITHKLINE PLC-ADR COMMON STOCKS 37733W105 158 3023 SH GLOBAL MARINE INC COMMON STOCKS 379352404 296 11550 SH GLOBAL MARINE INC COMMON STOCKS 379352404 13 500 SH GOLDMAN SACHS MUTUAL FUNDS-FI 38141W208 509 52511 PRN GOLDMAN SACHS MUTUAL FUNDS-FI 38141W208 59 6062 PRN GOLDMAN SACHS MUTUAL FUNDS-FI 38141W307 1114 114357 PRN GOLDMAN SACHS MUTUAL FUNDS-FI 38141W307 174 17887 PRN GOLDMAN SACHS MUTUAL FUNDS-EQ 38142B146 4910 239180 PRN GOLDMAN SACHS MUTUAL FUNDS-EQ 38142B146 56 2704 PRN HARBOR MUTUAL FUNDS-EQ 411511504 6716 225603 PRN HARBOR MUTUAL FUNDS-EQ 411511504 133 4479 PRN HARRIS CORP COMMON STOCKS 413875105 2341 94575 SH HARRIS CORP COMMON STOCKS 413875105 264 10675 SH HEINZ H J CO COMMON STOCKS 423074103 1760 43774 SH HEINZ H J CO COMMON STOCKS 423074103 318 7900 SH HEINZ H J CO COMMON STOCKS 423074103 9 225 SH HEWLETT PACKARD CO COMMON STOCKS 428236103 1563 49987 SH HEWLETT PACKARD CO COMMON STOCKS 428236103 763 24400 SH HEWLETT PACKARD CO COMMON STOCKS 428236103 15 494 SH HOME DEPOT INC COMMON STOCKS 437076102 1895 43963 SH HOME DEPOT INC COMMON STOCKS 437076102 67 1550 SH HOME DEPOT INC COMMON STOCKS 437076102 223 5166 SH HONEYWELL INTERNATIONAL (NEW) COMMON STOCKS 438516106 2118 51905 SH HONEYWELL INTERNATIONAL (NEW) COMMON STOCKS 438516106 4 100 SH HONEYWELL INTERNATIONAL (NEW) COMMON STOCKS 438516106 628 15389 SH HOUSEHOLD INTL INC COMMON STOCKS 441815107 3299 55690 SH HOUSEHOLD INTL INC COMMON STOCKS 441815107 65 1100 SH HUBBELL HARVEY INC COMMON STOCKS 443510201 505 21687 SH HUBBELL HARVEY INC COMMON STOCKS 443510201 59 2552 SH HUNGRY MINDS COMMON STOCKS 445549108 1589 219125 SH HUNGRY MINDS COMMON STOCKS 445549108 366 50500 SH IHOP CORP COMMON STOCKS 449623107 2234 111675 SH IHOP CORP COMMON STOCKS 449623107 275 13750 SH INGERSOLL RAND CO COMMON STOCKS 456866102 712 17925 SH INGERSOLL RAND CO COMMON STOCKS 456866102 464 11675 SH INTEL CORP COMMON STOCKS 458140100 8224 312553 SH INTEL CORP COMMON STOCKS 458140100 36 1380 SH INTEL CORP COMMON STOCKS 458140100 4945 187949 SH IBM CORP COMMON STOCKS 459200101 3174 33001 SH IBM CORP COMMON STOCKS 459200101 19 200 SH IBM CORP COMMON STOCKS 459200101 1782 18524 SH INTERNATIONAL PAPER CO COMMON STOCKS 460146103 1019 28256 SH INTERNATIONAL PAPER CO COMMON STOCKS 460146103 430 11920 SH FEDERATED MUTUAL FUNDS-IN 46031P308 2017 114278 PRN FEDERATED MUTUAL FUNDS-IN 46031P308 65 3709 PRN INTERPUBLIC GROUP COMMON STOCKS 460690100 3328 96882 SH INTERPUBLIC GROUP COMMON STOCKS 460690100 349 10150 SH SCUDDER MUTUAL FUNDS-EQ 460965882 575 26890 PRN SCUDDER MUTUAL FUNDS-EQ 460965882 52 2423 PRN INTIMATE BRANDS COMMON STOCKS 461156101 784 53320 SH INTIMATE BRANDS COMMON STOCKS 461156101 10 700 SH INVESTORS TITLE INS CO COMMON STOCKS 461804106 210 14000 SH INVESTORS TITLE INS CO COMMON STOCKS 461804106 117 7812 SH JDS UNIPHASE CORP COMMON STOCKS 46612J101 433 23502 SH JDS UNIPHASE CORP COMMON STOCKS 46612J101 9 500 SH JDS UNIPHASE CORP COMMON STOCKS 46612J101 567 30766 SH JP MORGAN CHASE & CO COMMON STOCKS 46625H100 2146 47788 SH JP MORGAN CHASE & CO COMMON STOCKS 46625H100 20 450 SH JP MORGAN CHASE & CO COMMON STOCKS 46625H100 293 6525 SH JP MORGAN CHASE & CO COMMON STOCKS 46625H100 17 370 SH JANUS MUTUAL FUNDS-EQ 471023101 194 7103 PRN JANUS MUTUAL FUNDS-EQ 471023101 340 12454 PRN JANUS MUTUAL FUNDS-IN 471023309 382 8110 PRN JANUS MUTUAL FUNDS-IN 471023309 600 12735 PRN JEFFERSON PILOT CORP COMMON STOCKS 475070108 5195 76514 SH JEFFERSON PILOT CORP COMMON STOCKS 475070108 2598 38269 SH JOHNSON & JOHNSON COMMON STOCKS 478160104 3527 40320 SH JOHNSON & JOHNSON COMMON STOCKS 478160104 22 250 SH JOHNSON & JOHNSON COMMON STOCKS 478160104 1347 15400 SH JOHNSON & JOHNSON COMMON STOCKS 478160104 17 200 SH JOHNSON CONTROLS COMMON STOCKS 478366107 562 9000 SH JOHNSON CONTROLS COMMON STOCKS 478366107 240 3840 SH KANSAS CITY SOUTHN INDS INC COMMON STOCKS 485170302 24 1700 SH KANSAS CITY SOUTHN INDS INC COMMON STOCKS 485170302 140 9850 SH KELLOGG CO COMMON STOCKS 487836108 270 9980 SH KENAN TRANS CO COMMON STOCKS 488539107 445 12520 SH KEYCORP NEW COMMON STOCKS 493267108 523 20278 SH KEYCORP NEW COMMON STOCKS 493267108 121 4700 SH KIMBERLY CLARK CORP COMMON STOCKS 494368103 648 9560 SH KIMBERLY CLARK CORP COMMON STOCKS 494368103 20 300 SH KIMBERLY CLARK CORP COMMON STOCKS 494368103 129 1900 SH KOHLS CORPORATION COMMON STOCKS 500255104 506 8200 SH KOHLS CORPORATION COMMON STOCKS 500255104 123 2000 SH LEXMARK INTL GROUP INC CL A COMMON STOCKS 529771107 5045 110825 SH LEXMARK INTL GROUP INC CL A COMMON STOCKS 529771107 46 1000 SH LEXMARK INTL GROUP INC CL A COMMON STOCKS 529771107 294 6450 SH ELI LILLY COMMON STOCKS 532457108 2732 35633 SH ELI LILLY COMMON STOCKS 532457108 34 450 SH LINCOLN ELECTRIC HOLDINGS COMMON STOCKS 533900106 837 38950 SH LINCOLN ELECTRIC HOLDINGS COMMON STOCKS 533900106 222 10325 SH LOCKHEED MARTIN CORP COMMON STOCKS 539830109 517 14500 SH LOOMIS SAYLES MUTUAL FUNDS-FI 543487607 6021 553947 PRN LOOMIS SAYLES MUTUAL FUNDS-FI 543487607 4 397 PRN LOWES COMPANIES INC COMMON STOCKS 548661107 8089 138399 SH LOWES COMPANIES INC COMMON STOCKS 548661107 555 9500 SH LOWES COMPANIES INC COMMON STOCKS 548661107 18 300 SH LUCENT TECHNOLOGIES INC COMMON STOCKS 549463107 789 79186 SH LUCENT TECHNOLOGIES INC COMMON STOCKS 549463107 126 12605 SH LUCENT TECHNOLOGIES INC COMMON STOCKS 549463107 4 400 SH MFS CLOSED END FUND 55273C107 3857 565608 PRN MGIC INVESTMENT COMMON STOCKS 552848103 815 11915 SH MAS MUTUAL FUNDS-EQ 552913782 1598 85592 PRN MAS MUTUAL FUNDS-EQ 552913782 66 3549 PRN MFS MUTUAL FUNDS-FI 552984601 4049 950445 PRN MFS MUTUAL FUNDS-FI 552984601 624 146439 PRN MTS SYS CORP COMMON STOCKS 553777103 41 4500 SH MTS SYS CORP COMMON STOCKS 553777103 82 9000 SH MANAGERS MUTUAL FUNDS-EQ 561717208 1038 15627 PRN MANAGERS MUTUAL FUNDS-EQ 561717208 166 2503 PRN MANULIFE FINANCIAL CORP COMMON STOCKS 56501R106 581 22001 SH MARTIN MARIETTA MATERIALS, INC. COMMON STOCKS 573284106 4654 108985 SH MARTIN MARIETTA MATERIALS, INC. 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NACCO INDUSTRIES COMMON STOCKS 629579103 2357 37850 SH NACCO INDUSTRIES COMMON STOCKS 629579103 280 4500 SH NASDAQ-100 SHARES COMMON STOCKS 631100104 1196 30547 SH NASDAQ-100 SHARES COMMON STOCKS 631100104 286 7300 SH NATIONAL CITY CORP COMMON STOCKS 635405103 238 8906 SH NATL COMMERCE BANCORPORATION COMMON STOCKS 635449101 31992 1289353 SH NATL COMMERCE BANCORPORATION COMMON STOCKS 635449101 56912 2293685 SH NATL COMMERCE BANCORPORATION COMMON STOCKS 635449101 10723 432153 SH NATIONAL-OILWELL INC COMMON STOCKS 637071101 2514 72600 SH NATIONAL-OILWELL INC COMMON STOCKS 637071101 26 750 SH NATIONS MUTUAL FUNDS-FI 638582502 878 82985 PRN NATIONS MUTUAL FUNDS-FI 638582502 209 19769 PRN NATIONWIDE FINANCIAL SERV -A COMMON STOCKS 638612101 1532 40350 SH NATIONWIDE FINANCIAL SERV -A COMMON STOCKS 638612101 697 18350 SH NEXTEL COMMUNICATIONS COMMON STOCKS 65332V103 165 11451 SH NORFOLK SOUTHERN CORP COMMON STOCKS 655844108 338 20190 SH NORTEL NETWORKS CORP COMMON STOCKS 656568102 1848 131550 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CORP COMMON STOCKS 885535104 137 24000 SH TOSCO CORP COMMON STOCKS 891490302 4452 104105 SH TOSCO CORP COMMON STOCKS 891490302 43 1000 SH TOSCO CORP COMMON STOCKS 891490302 173 4050 SH TOWER AUTOMOTIVE INC COMMON STOCKS 891707101 2207 205643 SH TOWER AUTOMOTIVE INC COMMON STOCKS 891707101 11 1000 SH TRANSWITCH CORP COMMON STOCKS 894065101 154 11700 SH TRI CONTL CORP CLOSED END FUND 895436103 6281 304034 PRN TRI CONTL CORP CLOSED END FUND 895436103 637 30852 PRN TRICON GLOBAL RESTAURANTS COMMON STOCKS 895953107 1129 29570 SH TRICON GLOBAL RESTAURANTS COMMON STOCKS 895953107 111 2910 SH OAK VALUE FD MUTUAL FUNDS-EQ 900733106 546 19087 PRN TYCO INTERNATIONAL LTD COMMON STOCKS 902124106 7770 179730 SH TYCO INTERNATIONAL LTD COMMON STOCKS 902124106 96 2220 SH TYCO INTERNATIONAL LTD COMMON STOCKS 902124106 667 15440 SH USA NETWORKS INC COMMON STOCKS 902984103 656 27398 SH USA NETWORKS INC COMMON STOCKS 902984103 14 600 SH UNILEVER N V NEW YORK SHS COMMON STOCKS 904784709 8 160 SH UNILEVER N 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SH WALGREEN CO COMMON STOCKS 931422109 41 1000 SH WALGREEN CO COMMON STOCKS 931422109 171 4200 SH WASHINGTON MUTUAL INC COMMON STOCKS 939322103 5904 107828 SH WASHINGTON MUTUAL INC COMMON STOCKS 939322103 203 3710 SH WATSON PHARMACEUTICAL INC COMMON STOCKS 942683103 5640 107220 SH WATSON PHARMACEUTICAL INC COMMON STOCKS 942683103 71 1350 SH WATSON PHARMACEUTICAL INC COMMON STOCKS 942683103 213 4050 SH WELLS FARGO COMPANY COMMON STOCKS 949746101 76 1535 SH WELLS FARGO COMPANY COMMON STOCKS 949746101 1314 26560 SH WEST MARINE INC COMMON STOCKS 954235107 184 42675 SH WEST MARINE INC COMMON STOCKS 954235107 46 10675 SH WORLDCOM INC COMMON STOCKS 98157D106 2686 143723 SH WORLDCOM INC COMMON STOCKS 98157D106 28 1525 SH WORLDCOM INC COMMON STOCKS 98157D106 175 9372 SH WORLDCOM INC COMMON STOCKS 98157D106 6 300 SH XILINX INC COMMON STOCKS 983919101 42 1200 SH XILINX INC COMMON STOCKS 983919101 7 200 SH XILINX INC COMMON STOCKS 983919101 464 13200 SH XEROX CORPORATION COMMON STOCKS 984121103 86 14400 SH XEROX CORPORATION COMMON STOCKS 984121103 9 1500 SH SAP AG PREF SHS VORZUG PREFERRED STOCK D48468686 68 600 SH SAP AG PREF SHS VORZUG PREFERRED STOCK D48468686 767 6750 SH ROCHE HOLDING COMMON STOCKS H47457728 2008 280 SH PRANA BIOTECHNOLOGY LTD COMMON STOCKS Q7739U108 4 14000 SH SHADOWLINE INCORPORATED, COMMON CLOSELY HELD CO SU0695001 791 3375 SH MEDICAL PRODUCTS SEARCH, INC. CLOSELY HELD CO SU0776009 0 15000 SH ELECTRIC SUPPLY CO. OF NC, INC. CLOSELY HELD CO SU0789002 3136 37228 SH ANDCARE, INC CLOSELY HELD CO SU0796007 107 61144 SH ZLIN AEROSPACE INC. COMMON STOCKS SU0941009 77 450000 SH DESCO, INC CLOSELY HELD CO SU1023005 1814 8720 SH FLEXTRONICS INTERNATIONAL, LTD COMMON STOCKS Y2573F102 232 15458 SH FLEXTRONICS INTERNATIONAL, LTD COMMON STOCKS Y2573F102 12 800 SH NAME OF ISSUER INVSTMT OTHER VOTING AUTHORITY SECURITY NAME DISCRTN MANAGERS SOLE SHARED NONE AFLAC INC SOLE 78972 AFLAC INC OTHER 20000 AES CORP SOLE 6975 AES CORP OTHER 2211 AT&T CORP SOLE 59932 AT&T CORP OTHER 9649 AT&T CORP DEF/OTH 370 ABBOTT LABORATORIES SOLE 130884 ABBOTT LABORATORIES OTHER 25725 ADAPTEC INC SOLE 80975 ADAPTEC INC OTHER 16500 ROWE CORP SOLE 20000 AEGON N V SOLE 146488 AEGON N V SOLE 15054 AEGON N V DEFINED 201 AEGON N V OTHER 29244 AGILENT TECHNOLOGIES INC SOLE 17687 AGILENT TECHNOLOGIES INC OTHER 4287 AGILENT TECHNOLOGIES INC DEF/OTH 94 ROSEMYR CORP SOLE 6898 ROSEMYR CORP OTHER 6745 ALBERTSONS INC OTHER 23184 ALLEGHANY CORP OTHER 1343 ALLEGHENY ENERGY INC SOLE 6105 ALLEGHENY ENERGY INC OTHER 1800 ALLIANCE GROWTH SOLE 6865 ALLSTATE CORPORATION SOLE 6366 ALLSTATE CORPORATION OTHER 5959 ALLSTATE CORPORATION OTHER 50 ALLTEL CORP SOLE 3050 ALLTEL CORP OTHER 2019 ALTERA CORP SOLE 5656 ALTERA CORP OTHER 10800 AMBAC FINANCIAL GROUP, INC SOLE 8375 AMBAC FINANCIAL GROUP, INC SOLE 600 AMERICAN CENTURY SOLE 243590 AMERICAN CENTURY SOLE 7625 AMERICAN CENTURY OTHER 431 AMERICAN ELEC PWR INC SOLE 6633 AMERICAN ELEC PWR INC OTHER 1618 AMERICAN EXPRESS CO SOLE 4825 AMERICAN EXPRESS CO DEFINED 400 AMERICAN EXPRESS CO OTHER 1587 AMERICAN GEN CORP SOLE 2008 AMERICAN GEN CORP SOLE 400 AMERICAN GEN CORP OTHER 11940 AMERICAN HOME PRODS CORP SOLE 150458 AMERICAN HOME PRODS CORP SOLE 776 AMERICAN HOME PRODS CORP DEFINED 375 AMERICAN HOME PRODS CORP OTHER 40600 AMERICAN INTL GROUP INC SOLE 61702 AMERICAN INTL GROUP INC SOLE 671 AMERICAN INTL GROUP INC DEFINED 700 AMERICAN INTL GROUP INC OTHER 2087 AMERICAN INTL GROUP INC OTHER 100 AMERICAN POWER CONVERSION SOLE 50000 AMETEK INC SOLE 77000 AMETEK INC OTHER 7325 AMGEN INC SOLE 88380 AMGEN INC SOLE 50 AMGEN INC DEFINED 1200 AMGEN INC OTHER 3250 ANHEUSER BUSCH COS INC SOLE 10600 ANHEUSER BUSCH COS INC SOLE 800 ANHEUSER BUSCH COS INC OTHER 20800 AON CORP SOLE 6678 AON CORP OTHER 1651 APPLIED MATERIALS INC SOLE 149398 APPLIED MATERIALS INC SOLE 700 APPLIED MATERIALS INC DEFINED 1400 APPLIED MATERIALS INC OTHER 25250 APTARGROUP INC SOLE 74025 APTARGROUP INC OTHER 5000 AREMISSOFT CORPORATION SOLE 71000 AREMISSOFT CORPORATION OTHER 14000 AURA SYSTEMS INC SOLE 13600 AUTODESK INC. SOLE 61225 AUTODESK INC. OTHER 10000 AUTODESK INC. OTHER 100 AUTOMATIC DATA PROCESSING INC SOLE 69862 AUTOMATIC DATA PROCESSING INC SOLE 150 AUTOMATIC DATA PROCESSING INC OTHER 1880 AUTOMATIC DATA PROCESSING INC DEF/OTH 300 AVERY DENNISON CORP OTHER 4000 AVNET INC SOLE 21800 AXA - SPONS ADR SOLE 4213 AXA - SPONS ADR DEFINED 250 AXCELIS TECHNOLOGIES SOLE 20956 AXCELIS TECHNOLOGIES OTHER 13552 BB & T CORPORATION SOLE 56723 BB & T CORPORATION OTHER 400 BP AMOCO PLC SOLE 89035 BP AMOCO PLC SOLE 3528 BP AMOCO PLC OTHER 13147 BANK OF AMERICA CORP SOLE 66684 BANK OF AMERICA CORP DEFINED 697 BANK OF AMERICA CORP OTHER 28530 BANK OF NEW YORK INC SOLE 5852 BANK OF NEW YORK INC OTHER 22400 BANK ONE CORP SOLE 7755 BANK ONE CORP SOLE 365 BANK ONE CORP OTHER 983 BAXTER INTL INC SOLE 3400 BAXTER INTL INC DEFINED 125 BAXTER INTL INC OTHER 70 BECKMAN COULTER, INC. SOLE 78948 BECKMAN COULTER, INC. OTHER 7000 BELLSOUTH CORP SOLE 53584 BELLSOUTH CORP SOLE 485 BELLSOUTH CORP OTHER 13632 BERKSHIRE HATHAWAY INC OTHER 150 BERKSHIRE HATHAWAY INC SOLE 270 BERKSHIRE HATHAWAY INC OTHER 22 BLACK BOX CORP SOLE 73525 BLACK BOX CORP OTHER 11800 BLACK HILLS CORP SOLE 60675 BLACK HILLS CORP OTHER 6000 BLOCK H & R INC SOLE 4000 BOEING CO SOLE 13645 BOEING CO SOLE 320 BOEING CO OTHER 13052 BRANDYWINE FD INC SOLE 2670 BRANDYWINE FD INC OTHER 12389 BRISTOL MYERS SQUIBB CO SOLE 30372 BRISTOL MYERS SQUIBB CO SOLE 2298 BRISTOL MYERS SQUIBB CO OTHER 10200 BRISTOL MYERS SQUIBB CO OTHER 10 CCB SOLE 3001942 CCB SOLE 4886 CCB OTHER 293736 CCB OTHER 8218 CMS ENERGY CORP SOLE 16590 CMS ENERGY CORP SOLE 200 CMS ENERGY CORP OTHER 8400 CSX CORP SOLE 7510 CVS CORPORATION SOLE 3600 CVS CORPORATION OTHER 700 CALPINE CORPORATION SOLE 39150 CALPINE CORPORATION OTHER 5000 CAP ONE FINANCIAL CORP SOLE 120699 CAP ONE FINANCIAL CORP OTHER 3900 CARDINAL HEALTH INC SOLE 2795 CARDINAL HEALTH INC SOLE 265 CARDINAL HEALTH INC OTHER 150 CENTURA BKS INC SOLE 19555 CENTURA BKS INC SOLE 1142 CENTURA BKS INC OTHER 23005 CHEVRON CORP SOLE 13290 CHEVRON CORP SOLE 200 CHEVRON CORP OTHER 2400 CISCO SYSTEMS SOLE 291802 CISCO SYSTEMS SOLE 2000 CISCO SYSTEMS DEFINED 1450 CISCO SYSTEMS OTHER 47926 CISCO SYSTEMS OTHER 325 CISCO SYSTEMS DEF/OTH 1480 CITIGROUP INC SOLE 55682 CITIGROUP INC SOLE 424 CITIGROUP INC OTHER 37755 CITRIX SYSTEMS INC SOLE 25300 CLEAR CHANNEL COMMUNICATIONS SOLE 4980 CLEAR CHANNEL COMMUNICATIONS OTHER 2000 COCA COLA CO SOLE 64110 COCA COLA CO SOLE 650 COCA COLA CO OTHER 4600 COLGATE PALMOLIVE CO SOLE 17013 COLGATE PALMOLIVE CO OTHER 3200 COMMSCOPE INC SOLE 219475 COMMSCOPE INC SOLE 2200 COMMSCOPE INC DEFINED 2500 COMMSCOPE INC OTHER 14850 COMMSCOPE INC OTHER 150 COMPAQ COMPUTER CORP SOLE 57640 COMPAQ COMPUTER CORP DEFINED 524 COMPAQ COMPUTER CORP OTHER 200 COMPAQ COMPUTER CORP DEF/OTH 247 COMPUTER SCIENCES CORP SOLE 26951 COMPUTER SCIENCES CORP DEFINED 1000 COMPUTER SCIENCES CORP OTHER 6050 CONE MILLS CORP SOLE 9500 CONE MILLS CORP OTHER 54942 DALLAS SEMICONDUCTOR CORP SOLE 3400 DALLAS SEMICONDUCTOR CORP OTHER 8400 DANAHER CORP SOLE 1447 DANAHER CORP OTHER 9041 DENTSPLY INTERNATIONAL INC SOLE 49300 DIEBOLD INC SOLE 70712 DIEBOLD INC OTHER 2500 THE WALT DISNEY COMPANY SOLE 39212 THE WALT DISNEY COMPANY OTHER 4800 DOMINION RESOURCES SOLE 2678 DOMINION RESOURCES OTHER 608 DOVER CORP SOLE 13745 DOW CHEM CO SOLE 9508 DOW CHEM CO OTHER 405 DREYFUS FD OTHER 12123 DU PONT E I DE NEMOURS & CO SOLE 30231 DU PONT E I DE NEMOURS & CO SOLE 100 DU PONT E I DE NEMOURS & CO DEFINED 100 DU PONT E I DE NEMOURS & CO OTHER 15225 DU PONT E I DE NEMOURS & CO DEF/OTH 1479 DUFF & PHELPS UTILS INCOME INC SOLE 18300 DUKE ENERGY CORP SOLE 139722 DUKE ENERGY CORP DEFINED 440 DUKE ENERGY CORP OTHER 20568 DUKE ENERGY CORP DEF/OTH 894 EMC CORP SOLE 264714 EMC CORP SOLE 300 EMC CORP DEFINED 250 EMC CORP OTHER 77300 EASTMAN KODAK CO SOLE 5009 EASTMAN KODAK CO OTHER 4850 EATON CORP SOLE 17800 EATON CORP OTHER 11500 EL PASO CORP SOLE 2151 EL PASO CORP SOLE 317 EL PASO CORP DEFINED 1000 ELECTRONICS FOR IMAGING SOLE 25600 ELECTRONICS FOR IMAGING OTHER 1000 EMERSON ELECTRIC CO SOLE 5840 EMERSON ELECTRIC CO DEFINED 300 EMERSON ELECTRIC CO OTHER 4376 ENERGIZER HOLDINGS SOLE 48114 ENERGIZER HOLDINGS OTHER 3000 ENRON CORP SOLE 6397 ENRON CORP OTHER 820 ENTREMED INC SOLE 14500 ENTREMED INC SOLE 304 EQUITABLE RES INC OTHER 6500 EQUITY INCOME FD SOLE 33885 EQUITY INCOME FD OTHER 3800 EXELON CORPORATION SOLE 2920 EXELON CORPORATION SOLE 355 EXELON CORPORATION OTHER 1000 EXODUS COMMUNICATIONS INC SOLE 29650 EXXON MOBIL CORP SOLE 208425 EXXON MOBIL CORP SOLE 5465 EXXON MOBIL CORP DEFINED 980 EXXON MOBIL CORP OTHER 51570 EXXON MOBIL CORP OTHER 200 FPL GROUP INC SOLE 2878 FPL GROUP INC DEF/OTH 424 FAMILY DLR STORES INC SOLE 27200 FEDERAL HOME LOAN MORTGAGE CORP SOLE 11594 FEDERAL HOME LOAN MORTGAGE CORP OTHER 2000 FEDERAL HOME LOAN MORTGAGE CORP DEF/OTH 250 FEDERAL NATIONAL MORTGAGE ASSN SOLE 97075 FEDERAL NATIONAL MORTGAGE ASSN SOLE 375 FEDERAL NATIONAL MORTGAGE ASSN OTHER 3812 FEDERAL NATIONAL MORTGAGE ASSN DEF/OTH 247 FEDERATED SOLE 2775866 FEDERATED SOLE 25394 FEDERATED OTHER 262299 FEDERATED SOLE 69759 FEDERATED OTHER 22518 FEDERATED INCOME TRUST SOLE 33186 FEDERATED SOLE 10921 FEDERATED SOLE 6071955 FEDERATED SOLE 18367 FEDERATED DEFINED 691 FEDERATED OTHER 339556 FEDERATED OTHER 4914 FEDERATED OTHER 4805 FEDERATED SHORT INTER MUN TR SH SOLE 2829 FEDERATED SHORT INTER MUN TR SH OTHER 27425 FEDERATED US GOVT SEC SOLE 11785 FEDEX CORP SOLE 56405 FEDEX CORP OTHER 14000 FIDELITY ADV INST EQUITY GROWTH SOLE 20659 FIDELITY ADV INST EQUITY GROWTH OTHER 1930 FIDELITY MID-CAP STOCK FD OTHER 9859 FIDELITY NATIONAL FINL INC OTHER 10488 FIRST CITIZENS BCSHS SOLE 3833 FIRST UNION CORP SOLE 51984 FIRST UNION CORP SOLE 166 FIRST UNION CORP OTHER 3855 FIRST UNION CORP DEF/OTH 197 FLOWERS INDS INC SOLE 130775 FLOWERS INDS INC OTHER 20000 FORD MOTOR COMPANY SOLE 112674 FORD MOTOR COMPANY SOLE 954 FORD MOTOR COMPANY DEFINED 700 FORD MOTOR COMPANY OTHER 11743 FORTUNE BRANDS INC SOLE 27512 FORTUNE BRANDS INC SOLE 200 FORTUNE BRANDS INC OTHER 12200 FRANKLIN SOLE 66503 FRANKLIN SOLE 1150 FRANKLIN OTHER 1932 FRANKLIN SOLE 54479 FRANKLIN SOLE 1213 FRANKLIN OTHER 4141 FRANKLIN SOLE 54208 FRANKLIN OTHER 6174 GALLAHER GROUP PLC ADR SOLE 19522 GANNETT INC SOLE 2327 GANNETT INC OTHER 1100 GAP INC SOLE 21825 GAP INC OTHER 3874 GATEWAY INC SOLE 25100 GATEWAY INC OTHER 7300 GENERAL ELEC CO SOLE 588591 GENERAL ELEC CO SOLE 4900 GENERAL ELEC CO DEFINED 2300 GENERAL ELEC CO OTHER 114195 GENERAL ELEC CO OTHER 300 GENERAL ELEC CO DEF/OTH 1185 GENERAL MILLS INC SOLE 6334 GENERAL MILLS INC OTHER 4800 GENERAL MTRS CORP SOLE 8604 GENERAL MTRS CORP OTHER 888 GENERAL MTRS CORP SOLE 9660 GENERAL MTRS CORP OTHER 22514 GENTEX CORP SOLE 219320 GENTEX CORP SOLE 2575 GENTEX CORP DEFINED 2000 GENTEX CORP OTHER 8050 GENTEX CORP OTHER 150 GENLYTE GROUP INC SOLE 70760 GENLYTE GROUP INC OTHER 19000 GENUINE PARTS CO SOLE 8787 GENZYME SOLE 43 GENZYME SOLE 265 GENZYME OTHER 2336 GERBER SCIENTIFIC INC SOLE 7775 GERBER SCIENTIFIC INC OTHER 11350 GILLETTE CO SOLE 35054 GILLETTE CO OTHER 2600 GLAXOSMITHKLINE PLC-ADR SOLE 11437 GLAXOSMITHKLINE PLC-ADR OTHER 2910 GLAXOSMITHKLINE PLC-ADR OTHER 113 GLOBAL MARINE INC SOLE 11550 GLOBAL MARINE INC OTHER 500 GOLDMAN SACHS SOLE 52511 GOLDMAN SACHS OTHER 6062 GOLDMAN SACHS SOLE 114357 GOLDMAN SACHS OTHER 17887 GOLDMAN SACHS SOLE 232202 GOLDMAN SACHS SOLE 6978 GOLDMAN SACHS OTHER 2704 HARBOR SOLE 221649 HARBOR SOLE 3954 HARBOR OTHER 4479 HARRIS CORP SOLE 94575 HARRIS CORP OTHER 10675 HEINZ H J CO SOLE 43774 HEINZ H J CO OTHER 7900 HEINZ H J CO DEF/OTH 225 HEWLETT PACKARD CO SOLE 49387 HEWLETT PACKARD CO SOLE 600 HEWLETT PACKARD CO OTHER 24400 HEWLETT PACKARD CO DEF/OTH 494 HOME DEPOT INC SOLE 43963 HOME DEPOT INC DEFINED 1550 HOME DEPOT INC OTHER 4941 HOME DEPOT INC OTHER 225 HONEYWELL INTERNATIONAL (NEW) SOLE 51705 HONEYWELL INTERNATIONAL (NEW) SOLE 200 HONEYWELL INTERNATIONAL (NEW) DEFINED 100 HONEYWELL INTERNATIONAL (NEW) OTHER 15339 HONEYWELL INTERNATIONAL (NEW) OTHER 50 HOUSEHOLD INTL INC SOLE 55090 HOUSEHOLD INTL INC SOLE 600 HOUSEHOLD INTL INC OTHER 1100 HUBBELL HARVEY INC SOLE 21687 HUBBELL HARVEY INC OTHER 2552 HUNGRY MINDS SOLE 219125 HUNGRY MINDS OTHER 50500 IHOP CORP SOLE 111675 IHOP CORP OTHER 13750 INGERSOLL RAND CO SOLE 17725 INGERSOLL RAND CO SOLE 200 INGERSOLL RAND CO OTHER 11675 INTEL CORP SOLE 312553 INTEL CORP DEFINED 1380 INTEL CORP OTHER 187749 INTEL CORP OTHER 200 IBM CORP SOLE 32601 IBM CORP SOLE 400 IBM CORP DEFINED 200 IBM CORP OTHER 18324 IBM CORP OTHER 200 INTERNATIONAL PAPER CO SOLE 27556 INTERNATIONAL PAPER CO SOLE 700 INTERNATIONAL PAPER CO OTHER 11920 FEDERATED SOLE 111550 FEDERATED SOLE 2728 FEDERATED OTHER 3709 INTERPUBLIC GROUP SOLE 96632 INTERPUBLIC GROUP SOLE 250 INTERPUBLIC GROUP OTHER 10150 SCUDDER SOLE 26890 SCUDDER OTHER 2423 INTIMATE BRANDS SOLE 53320 INTIMATE BRANDS OTHER 700 INVESTORS TITLE INS CO SOLE 14000 INVESTORS TITLE INS CO OTHER 7812 JDS UNIPHASE CORP SOLE 23502 JDS UNIPHASE CORP DEFINED 500 JDS UNIPHASE CORP OTHER 30766 JP MORGAN CHASE & CO SOLE 44598 JP MORGAN CHASE & CO SOLE 3190 JP MORGAN CHASE & CO DEFINED 450 JP MORGAN CHASE & CO OTHER 6525 JP MORGAN CHASE & CO DEF/OTH 370 JANUS SOLE 7103 JANUS OTHER 12454 JANUS SOLE 8110 JANUS OTHER 7488 JANUS OTHER 5247 JEFFERSON PILOT CORP SOLE 75614 JEFFERSON PILOT CORP SOLE 900 JEFFERSON PILOT CORP OTHER 38269 JOHNSON & JOHNSON SOLE 40220 JOHNSON & JOHNSON SOLE 100 JOHNSON & JOHNSON DEFINED 250 JOHNSON & JOHNSON OTHER 15400 JOHNSON & JOHNSON DEF/OTH 200 JOHNSON CONTROLS SOLE 9000 JOHNSON CONTROLS OTHER 3840 KANSAS CITY SOUTHN INDS INC SOLE 1700 KANSAS CITY SOUTHN INDS INC OTHER 9850 KELLOGG CO SOLE 9980 KENAN TRANS CO SOLE 10320 KENAN TRANS CO SOLE 2200 KEYCORP NEW SOLE 20278 KEYCORP NEW OTHER 4700 KIMBERLY CLARK CORP SOLE 8730 KIMBERLY CLARK CORP SOLE 830 KIMBERLY CLARK CORP DEFINED 300 KIMBERLY CLARK CORP OTHER 1900 KOHLS CORPORATION SOLE 8200 KOHLS CORPORATION OTHER 2000 LEXMARK INTL GROUP INC CL A SOLE 110275 LEXMARK INTL GROUP INC CL A SOLE 550 LEXMARK INTL GROUP INC CL A DEFINED 1000 LEXMARK INTL GROUP INC CL A OTHER 6450 ELI LILLY SOLE 35408 ELI LILLY SOLE 225 ELI LILLY OTHER 450 LINCOLN ELECTRIC HOLDINGS SOLE 38950 LINCOLN ELECTRIC HOLDINGS OTHER 10325 LOCKHEED MARTIN CORP SOLE 14500 LOOMIS SAYLES SOLE 545357 LOOMIS SAYLES SOLE 8590 LOOMIS SAYLES OTHER 397 LOWES COMPANIES INC SOLE 137349 LOWES COMPANIES INC SOLE 1050 LOWES COMPANIES INC OTHER 9400 LOWES COMPANIES INC OTHER 100 LOWES COMPANIES INC DEF/OTH 300 LUCENT TECHNOLOGIES INC SOLE 79186 LUCENT TECHNOLOGIES INC OTHER 12605 LUCENT TECHNOLOGIES INC DEF/OTH 400 MFS SOLE 565608 MGIC INVESTMENT SOLE 11525 MGIC INVESTMENT SOLE 390 MAS SOLE 83598 MAS SOLE 1994 MAS OTHER 3549 MFS SOLE 950445 MFS OTHER 146439 MTS SYS CORP SOLE 4500 MTS SYS CORP OTHER 9000 MANAGERS SOLE 15627 MANAGERS OTHER 2503 MANULIFE FINANCIAL CORP SOLE 22001 MARTIN MARIETTA MATERIALS, INC. SOLE 108875 MARTIN MARIETTA MATERIALS, INC. SOLE 110 MARTIN MARIETTA MATERIALS, INC. OTHER 11000 MASCO CORPORATION SOLE 7180 MASCO CORPORATION OTHER 7100 MFS SOLE 327221 MFS SOLE 9398 MFS OTHER 531 MAST OPTICAL SYSTEMS INC SOLE 10000 MCDONALDS CORP SOLE 34410 MCDONALDS CORP OTHER 2500 MCGRAW HILL INC SOLE 52680 MCGRAW HILL INC SOLE 50 MCGRAW HILL INC OTHER 6400 MEDIMMUNE INC SOLE 64400 MEDIMMUNE INC DEFINED 1700 MEDIMMUNE INC OTHER 600 MEDTRONIC INC SOLE 95390 MEDTRONIC INC OTHER 138194 MERCK & CO INC SOLE 148579 MERCK & CO INC SOLE 600 MERCK & CO INC DEFINED 250 MERCK & CO INC OTHER 40714 MERCK & CO INC DEF/OTH 240 MERRILL LYNCH & CO INC SOLE 4880 MERRILL LYNCH & CO INC SOLE 325 MERRILL LYNCH & CO INC DEFINED 200 MICROSOFT CORP SOLE 139893 MICROSOFT CORP SOLE 1850 MICROSOFT CORP DEFINED 1250 MICROSOFT CORP OTHER 20105 MICROSOFT CORP OTHER 200 MILLIPORE CORP SOLE 25400 MILLIPORE CORP DEFINED 1000 MILLIPORE CORP OTHER 1100 MINNESOTA MNG & MFG CO SOLE 5450 MINNESOTA MNG & MFG CO SOLE 215 MINNESOTA MNG & MFG CO OTHER 800 MOLEX INC SOLE 6835 MORGAN ST DEAN WITTER SOLE 19810 MORGAN ST DEAN WITTER SOLE 800 MORGAN ST DEAN WITTER OTHER 3550 MORGAN STANLEY SOLE 422948 MORGAN STANLEY SOLE 4344 MORGAN STANLEY OTHER 76584 MORGAN STANLEY DEAN WITTER SOLE 25000 MOTOROLA INC SOLE 67325 MOTOROLA INC SOLE 1200 MOTOROLA INC OTHER 36525 FRANKLIN SOLE 13567 NACCO INDUSTRIES SOLE 37850 NACCO INDUSTRIES OTHER 4500 NASDAQ-100 SHARES SOLE 30547 NASDAQ-100 SHARES OTHER 7300 NATIONAL CITY CORP SOLE 8906 NATL COMMERCE BANCORPORATION SOLE 1130160 NATL COMMERCE BANCORPORATION SOLE 159193 NATL COMMERCE BANCORPORATION DEFINED 2293685 NATL COMMERCE BANCORPORATION OTHER 347688 NATL COMMERCE BANCORPORATION OTHER 84465 NATIONAL-OILWELL INC SOLE 71500 NATIONAL-OILWELL INC SOLE 1100 NATIONAL-OILWELL INC OTHER 650 NATIONAL-OILWELL INC OTHER 100 NATIONS SOLE 82985 NATIONS OTHER 19769 NATIONWIDE FINANCIAL SERV -A SOLE 40350 NATIONWIDE FINANCIAL SERV -A OTHER 18350 NEXTEL COMMUNICATIONS SOLE 11451 NORFOLK SOUTHERN CORP SOLE 20190 NORTEL NETWORKS CORP SOLE 130150 NORTEL NETWORKS CORP SOLE 1400 NORTEL NETWORKS CORP DEFINED 1800 NORTEL NETWORKS CORP OTHER 3450 NORTEL NETWORKS CORP OTHER 200 NUVEEN SOLE 49751 NUVEEN SOLE 27500 OAKWOOD HOMES CORP OTHER 13200 OLD REP INTL CORP SOLE 18848 OLD REP INTL CORP SOLE 860 OMNICOM GROUP INC COM SOLE 2700 ORACLE SYSTEMS SOLE 300511 ORACLE SYSTEMS SOLE 1700 ORACLE SYSTEMS OTHER 47700 ORACLE SYSTEMS OTHER 220 ORACLE SYSTEMS DEF/OTH 1500 OUTBACK STEAKHOUSE INC SOLE 4950 OUTBACK STEAKHOUSE INC OTHER 3300 PIMCO SOLE 572934 PIMCO SOLE 9352 PIMCO OTHER 27580 PNC BANK CORP SOLE 2746 PNC BANK CORP SOLE 1600 PACIFIC CAPITAL SOLE 44987 PACIFIC CAPITAL SOLE 70906 PALM BEACH CNTY FLA HEALTH FACS SOLE 300000 PALM INC OTHER 35591 PEOPLES BANK SOLE 17500 PEOPLES BANK OTHER 3975 PEOPLES BANK DEF/OTH 250 PEPSICO INC SOLE 44850 PEPSICO INC SOLE 260 PEPSICO INC OTHER 35700 PERKINELMER INC SOLE 12800 PERKINELMER INC SOLE 330 PERKINELMER INC OTHER 11200 PETROLEUM & RES CORP SOLE 125518 PETROLEUM & RES CORP OTHER 43641 PFIZER INC SOLE 437817 PFIZER INC SOLE 475 PFIZER INC DEFINED 400 PFIZER INC OTHER 89651 PFIZER INC DEF/OTH 450 PHARMACIA CORPORATION SOLE 66716 PHARMACIA CORPORATION SOLE 75 PHARMACIA CORPORATION DEFINED 1300 PHARMACIA CORPORATION OTHER 1700 PHILIP MORRIS COS INC SOLE 20515 PHILIP MORRIS COS INC SOLE 1000 PHILIP MORRIS COS INC OTHER 18000 PHILLIPS PETROLEUM CO SOLE 13600 PIEDMONT NAT GAS INC SOLE 6642 PIEDMONT NAT GAS INC OTHER 700 PLANTRONICS INC SOLE 3000 PLANTRONICS INC OTHER 27000 PREPAID LEGAL SERVICES INC SOLE 30500 PREPAID LEGAL SERVICES INC OTHER 9500 T ROWE PRICE GROUP INC SOLE 9100 PROCTER & GAMBLE CO SOLE 27375 PROCTER & GAMBLE CO OTHER 1600 PROGRESS ENERGY SOLE 85501 PROGRESS ENERGY OTHER 1886 PROVIDIAN FINANCIAL CORP SOLE 235314 PROVIDIAN FINANCIAL CORP SOLE 23650 PROVIDIAN FINANCIAL CORP DEFINED 690 PROVIDIAN FINANCIAL CORP OTHER 53200 PRUDENTIAL MUNICIPAL BOND FD DEFINED 21674 PUTNAM SOLE 25772 QUINTILES TRANSNATIONAL CORP SOLE 31323 QUINTILES TRANSNATIONAL CORP OTHER 1100 QWEST COMMUNICATIONS INTL SOLE 32945 QWEST COMMUNICATIONS INTL OTHER 10746 RF MICRO DEVICES SOLE 11414 RF MICRO DEVICES SOLE 200 RF MICRO DEVICES OTHER 30800 RAYTHEON CO SOLE 2100 RAYTHEON CO OTHER 5320 ROCKWELL INTL CORP NEW SOLE 2150 ROCKWELL INTL CORP NEW OTHER 7232 ROSS STORES INC SOLE 108525 ROSS STORES INC OTHER 10000 T ROWE PRICE SOLE 20880 T ROWE PRICE OTHER 1285 T ROWE PRICE SOLE 10064 T ROWE PRICE OTHER 3683 T ROWE PRICE SOLE 77757 T ROWE PRICE SOLE 2379 T ROWE PRICE OTHER 191 T ROWE PRICE SMALL-CAP VALUE SOLE 38793 T ROWE PRICE SMALL-CAP VALUE OTHER 1956 ROYAL DUTCH PETE CO SOLE 35422 ROYAL DUTCH PETE CO SOLE 3450 ROYAL DUTCH PETE CO DEFINED 340 ROYAL DUTCH PETE CO OTHER 3900 RUDDICK CORP SOLE 7100 RUDDICK CORP OTHER 11650 RYANS FAMILY STEAK HOUSES INC SOLE 190715 RYANS FAMILY STEAK HOUSES INC OTHER 35750 SBC COMMUNICATIONS INC SOLE 75217 SBC COMMUNICATIONS INC SOLE 800 SBC COMMUNICATIONS INC OTHER 20494 SBC COMMUNICATIONS INC DEF/OTH 390 S&P 500 DEPOSITORY RECEIPT SOLE 19214 S&P 500 DEPOSITORY RECEIPT OTHER 4910 SAFEGUARD SCIENTIFICS INC SOLE 30650 ST PAUL COS INC SOLE 6015 ST PAUL COS INC OTHER 1000 SCANA CORP SOLE 32861 SCANA CORP SOLE 1445 SCHERING PLOUGH CORP SOLE 34239 SCHERING PLOUGH CORP SOLE 300 SCHERING PLOUGH CORP OTHER 3352 SCHLUMBERGER LTD SOLE 61295 SCHLUMBERGER LTD SOLE 125 SCHLUMBERGER LTD OTHER 7029 SCHWAB (CHARLES) CORP SOLE 12631 SCHWAB (CHARLES) CORP OTHER 21261 SEALED AIR CORP SOLE 10900 SEALED AIR CORP SOLE 200 SEALED AIR CORP DEFINED 100 SEALED AIR CORP OTHER 500 SELIGMAN SOLE 232840 SEQUOIA OTHER 3575 SEQUOIA OTHER 16961 SOUTHERN CO SOLE 13174 SOUTHERN CO DEFINED 500 SOUTHERN CO DEF/OTH 410 SOUTHWEST AIRLS CO SOLE 4767 SOUTHWEST AIRLS CO OTHER 6074 SPRINT CORP SOLE 45580 SPRINT CORP SOLE 1300 SPRINT CORP OTHER 12270 SPRINT CORP SOLE 10726 SPRINT CORP SOLE 600 SPRINT CORP DEFINED 350 SPRINT CORP OTHER 5710 STATE STREET CORP SOLE 419 STATE STREET CORP OTHER 6000 STILWELL FINANCIAL SOLE 6800 STILWELL FINANCIAL OTHER 39400 STRONG SOLE 25452 STRYKER CORP SOLE 16670 STRYKER CORP OTHER 88140 SUN MICROSYSTEMS INC SOLE 78182 SUN MICROSYSTEMS INC DEFINED 300 SUN MICROSYSTEMS INC OTHER 2152 SUNGARD DATA SYSTEMS INC SOLE 118930 SUNGARD DATA SYSTEMS INC SOLE 250 SUNGARD DATA SYSTEMS INC DEFINED 1000 SUNGARD DATA SYSTEMS INC OTHER 3650 SUNTRUST BANKS INC SOLE 14774 SUNTRUST BANKS INC OTHER 5822 SYMANTEC CORP SOLE 62475 SYMANTEC CORP SOLE 530 SYMANTEC CORP OTHER 10825 SYNOVUS FINL CORP SOLE 142792 SYNOVUS FINL CORP OTHER 49177 SYSTEMAX INC SOLE 88100 TECO ENERGY INC SOLE 29800 TECO ENERGY INC OTHER 6535 TECH DATA CORP SOLE 41500 TECH DATA CORP OTHER 8500 TELLABS, INC SOLE 15989 TELLABS, INC OTHER 6750 TENN VALLEY AUTHORITY SOLE 83750 TENN VALLEY AUTHORITY DEFINED 1000 TEXACO INC SOLE 10038 TEXACO INC SOLE 200 TEXACO INC DEFINED 160 TEXACO INC OTHER 5500 TEXACO INC DEF/OTH 100 TEXAS INSTRUMENT INC SOLE 501 TEXAS INSTRUMENT INC SOLE 1600 TEXAS INSTRUMENT INC DEFINED 300 TEXAS INSTRUMENT INC OTHER 7670 3COM CORP OTHER 24000 TOSCO CORP SOLE 103505 TOSCO CORP SOLE 600 TOSCO CORP DEFINED 1000 TOSCO CORP OTHER 3950 TOSCO CORP OTHER 100 TOWER AUTOMOTIVE INC SOLE 205543 TOWER AUTOMOTIVE INC SOLE 100 TOWER AUTOMOTIVE INC OTHER 1000 TRANSWITCH CORP OTHER 11700 TRI CONTL CORP SOLE 304034 TRI CONTL CORP OTHER 30852 TRICON GLOBAL RESTAURANTS SOLE 29570 TRICON GLOBAL RESTAURANTS OTHER 2910 OAK VALUE FD OTHER 1792 OAK VALUE FD OTHER 17295 TYCO INTERNATIONAL LTD SOLE 179245 TYCO INTERNATIONAL LTD SOLE 485 TYCO INTERNATIONAL LTD DEFINED 2220 TYCO INTERNATIONAL LTD OTHER 15440 USA NETWORKS INC SOLE 27398 USA NETWORKS INC OTHER 600 UNILEVER N V NEW YORK SHS SOLE 160 UNILEVER N V NEW YORK SHS OTHER 3650 UNITED SOLE 18330 UNITED TECHNOLOGIES CORP SOLE 58458 UNITED TECHNOLOGIES CORP SOLE 585 UNITED TECHNOLOGIES CORP DEFINED 1250 UNITED TECHNOLOGIES CORP OTHER 2600 UNITEDHEALTH GROUP INC SOLE 20780 UNITEDHEALTH GROUP INC SOLE 600 UNITEDHEALTH GROUP INC OTHER 4800 UNITEDHEALTH GROUP INC DEF/OTH 298 UNIVERSAL HEALTH SVCS INC SOLE 600 UNIVERSAL HEALTH SVCS INC OTHER 18200 VANGUARD SOLE 43882 VANGUARD OTHER 2002 VANGUARD OTHER 4100 VANGUARD SOLE 27775 VANGUARD OTHER 77810 VANGUARD SOLE 593412 VANGUARD SOLE 8025 VANGUARD OTHER 438 VANGUARD SOLE 26715 VANGUARD SOLE 22490 VANGUARD OTHER 10050 VANGUARD OTHER 2410 VANGUARD SOLE 6398 VANGUARD OTHER 4805 VANGUARD SOLE 10160 VERIZON COMMUNICATIONS SOLE 53594 VERIZON COMMUNICATIONS SOLE 344 VERIZON COMMUNICATIONS DEFINED 323 VERIZON COMMUNICATIONS OTHER 18875 VIACOM INC SOLE 4487 VIACOM INC OTHER 908 VIVENDI SOLE 5000 VODAFONE GROUP PLC SOLE 9049 VODAFONE GROUP PLC OTHER 4410 VODAFONE GROUP PLC DEF/OTH 315 WACHOVIA CORP SOLE 14131 WACHOVIA CORP OTHER 18025 WACHOVIA SOLE 67550 WAL-MART STORES SOLE 16027 WAL-MART STORES SOLE 300 WAL-MART STORES DEFINED 300 WAL-MART STORES OTHER 5200 WALGREEN CO SOLE 34780 WALGREEN CO SOLE 100 WALGREEN CO DEFINED 1000 WALGREEN CO OTHER 4200 WASHINGTON MUTUAL INC SOLE 107728 WASHINGTON MUTUAL INC SOLE 100 WASHINGTON MUTUAL INC OTHER 3710 WATSON PHARMACEUTICAL INC SOLE 105970 WATSON PHARMACEUTICAL INC SOLE 1250 WATSON PHARMACEUTICAL INC DEFINED 1350 WATSON PHARMACEUTICAL INC OTHER 4050 WELLS FARGO COMPANY SOLE 1535 WELLS FARGO COMPANY OTHER 26560 WEST MARINE INC SOLE 42675 WEST MARINE INC OTHER 10675 WORLDCOM INC SOLE 143523 WORLDCOM INC SOLE 200 WORLDCOM INC DEFINED 1525 WORLDCOM INC OTHER 9372 WORLDCOM INC DEF/OTH 300 XILINX INC SOLE 1200 XILINX INC DEFINED 200 XILINX INC OTHER 13200 XEROX CORPORATION SOLE 14400 XEROX CORPORATION OTHER 1500 SAP AG PREF SHS VORZUG SOLE 600 SAP AG PREF SHS VORZUG OTHER 6750 ROCHE HOLDING SOLE 280 PRANA BIOTECHNOLOGY LTD OTHER 14000 SHADOWLINE INCORPORATED, COMMON SOLE 3375 MEDICAL PRODUCTS SEARCH, INC. SOLE 15000 ELECTRIC SUPPLY CO. OF NC, INC. OTHER 37228 ANDCARE, INC SOLE 61144 ZLIN AEROSPACE INC. DEFINED 450000 DESCO, INC SOLE 8720 FLEXTRONICS INTERNATIONAL, LTD SOLE 15458 FLEXTRONICS INTERNATIONAL, LTD OTHER 800