-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, MeZzLSE8Johm8TCR14MCG7pOXrAtqQM2qpR1Q3uMTEukpcexHFaEv4hQy1M52o8P mW3QAgfpalVyJp62tlehoA== 0000101844-02-000013.txt : 20020729 0000101844-02-000013.hdr.sgml : 20020729 20020729123029 ACCESSION NUMBER: 0000101844-02-000013 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20020630 FILED AS OF DATE: 20020729 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NATIONAL COMMERCE FINANCIAL CORP CENTRAL INDEX KEY: 0000101844 STANDARD INDUSTRIAL CLASSIFICATION: NATIONAL COMMERCIAL BANKS [6021] IRS NUMBER: 620784645 STATE OF INCORPORATION: TN FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-01918 FILM NUMBER: 02712890 BUSINESS ADDRESS: STREET 1: ONE COMMERCE SQ CITY: MEMPHIS STATE: TN ZIP: 38150 BUSINESS PHONE: 9014156416 MAIL ADDRESS: STREET 1: ONE COMMERCE SQ CITY: MEMPHIS STATE: TN ZIP: 38150 FORMER COMPANY: FORMER CONFORMED NAME: UNITED TENNESSEE BANSHARES CORP DATE OF NAME CHANGE: 19780525 FORMER COMPANY: FORMER CONFORMED NAME: UNITED TENNESSEE BANCSHARES CORP DATE OF NAME CHANGE: 19780820 FORMER COMPANY: FORMER CONFORMED NAME: NATIONAL COMMERCE BANCORPORATION DATE OF NAME CHANGE: 19950822 13F-HR 1 n13f063002.txt NATIONAL COMMERCE FINANCIAL CORP UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: 06/30/2002 Check here if Amendment [ ] Amendment Number: This Amendment [ ] is a restatement [ ] adds new holding entries Institutional Investment Manager Filing this Report: Name: NATIONAL COMMERCE FINANCIAL CORP Address: ONE COMMERCE SQUARE MEMPHIS, TN 38150 13F File Number: 28-01918 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 J REYNOLDS Title: ASSISTANT VICE PRESIDENT Phone: 919-683-7242 Signature, Place, and Date of Signing: 1 DURHAM, NC 07/24/2002 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: 535 Form 13F Information Table Value Total: $806,359 List of Other Included Managers: NONE FORM 13F INFORMATION TABLE TITLE VALUE SHARES SHS SH PUT NAME OF ISSUER OF CLASS CUSIP ( X $1000) PRN AMT PRN CALL SECURITY NAME SUBCLASS AFLAC INC COMMON STOCKS 001055102 1,802 56,307SH AFLAC INC COMMON STOCKS 001055102 625 19,530SH AOL TIME WARNER COMMON STOCKS 00184A105 1,223 83,117SH AOL TIME WARNER COMMON STOCKS 00184A105 301 20,450SH AT&T CORP COMMON STOCKS 001957109 316 29,511SH AT&T CORP COMMON STOCKS 001957109 40 3,757SH AT&T WIRELESS SERVICES COMMON STOCKS 00209A106 52 8,901SH AT&T WIRELESS SERVICES COMMON STOCKS 00209A106 7 1,155SH ABBOTT LABORATORIES COMMON STOCKS 002824100 5,008 133,020SH ABBOTT LABORATORIES COMMON STOCKS 002824100 1,234 32,776SH ACTIVE POWER INC COMMON STOCKS 00504W100 148 40,980SH AEGON N V COMMON STOCKS 007924103 2,307 113,357SH AIR PRODS & CHEMS INC COMMON STOCKS 009158106 181 3,589SH AIR PRODS & CHEMS INC COMMON STOCKS 009158106 24 470SH ALBERTSONS INC COMMON STOCKS 013104104 706 23,184SH ALCOA INC COMMON STOCKS 013817101 1,423 42,954SH ALCOA INC COMMON STOCKS 013817101 148 4,446SH ALLEGHANY CORP COMMON STOCKS 017175100 267 1,396SH ALLEGHENY ENERGY INC COMMON STOCKS 017361106 263 10,215SH ALLEGHENY ENERGY INC COMMON STOCKS 017361106 49 1,900SH ALLEN TELECOM INC COMMON STOCKS 018091108 47 11,000SH ALLETE CORP COMMON STOCKS 018522102 1,423 52,509SH ALLETE CORP COMMON STOCKS 018522102 232 8,573SH ALLSTATE CORPORATION COMMON STOCKS 020002101 250 6,770SH ALLSTATE CORPORATION COMMON STOCKS 020002101 220 5,959SH ALLTEL CORP COMMON STOCKS 020039103 449 9,550SH ALLTEL CORP COMMON STOCKS 020039103 51 1,075SH ALTERA CORP COMMON STOCKS 021441100 54 4,000SH ALTERA CORP COMMON STOCKS 021441100 147 10,800SH AMBAC FINANCIAL GROUP, INC COMMON STOCKS 023139108 1,464 21,792SH AMBAC FINANCIAL GROUP, INC COMMON STOCKS 023139108 158 2,350SH AMERADA HESS CORP COMMON STOCKS 023551104 1,542 18,690SH AMERADA HESS CORP COMMON STOCKS 023551104 305 3,700SH AMERICAN ELEC PWR INC COMMON STOCKS 025537101 354 8,847SH AMERICAN ELEC PWR INC COMMON STOCKS 025537101 32 791SH AMERICAN EXPRESS CO COMMON STOCKS 025816109 2,150 59,181SH AMERICAN EXPRESS CO COMMON STOCKS 025816109 397 10,925SH AMERICAN INTL GROUP INC COMMON STOCKS 026874107 11,280 165,325SH AMERICAN INTL GROUP INC COMMON STOCKS 026874107 1,335 19,562SH AMETEK INC COMMON STOCKS 031100100 1,777 47,695SH AMETEK INC COMMON STOCKS 031100100 223 5,975SH AMGEN INC COMMON STOCKS 031162100 6,060 144,696SH AMGEN INC COMMON STOCKS 031162100 465 11,100SH ANADARKO PETE CORP COMMON STOCKS 032511107 1,351 27,411SH ANADARKO PETE CORP COMMON STOCKS 032511107 190 3,850SH ANHEUSER BUSCH COS INC COMMON STOCKS 035229103 1,451 29,023SH ANHEUSER BUSCH COS INC COMMON STOCKS 035229103 675 13,500SH APPLIED MATERIALS INC COMMON STOCKS 038222105 6,503 341,868SH APPLIED MATERIALS INC COMMON STOCKS 038222105 1,681 52,300SH APTARGROUP INC COMMON STOCKS 038336103 1,534 49,895SH APTARGROUP INC COMMON STOCKS 038336103 158 5,150SH ATLANTIS PLASTICS INC - CL A COMMON STOCKS 049156102 110 27,000SH AURA SYSTEMS INC COMMON STOCKS 051526101 2 13,600SH AUTODESK INC. COMMON STOCKS 052769106 1,513 114,215SH AUTODESK INC. COMMON STOCKS 052769106 287 21,650SH AUTOMATIC DATA PROCESSING INC COMMON STOCKS 053015103 4,329 99,406SH AUTOMATIC DATA PROCESSING INC COMMON STOCKS 053015103 179 4,100SH AUTOZONE INC COMMON STOCKS 053332102 450 5,820SH AUTOZONE INC COMMON STOCKS 053332102 329 4,250SH AVERY DENNISON CORP COMMON STOCKS 053611109 9 150SH AVERY DENNISON CORP COMMON STOCKS 053611109 251 4,000SH AXCELIS TECHNOLOGIES COMMON STOCKS 054540109 130 11,528SH AXCELIS TECHNOLOGIES COMMON STOCKS 054540109 100 8,837SH BB & T CORPORATION COMMON STOCKS 054937107 3,162 81,909SH BB & T CORPORATION COMMON STOCKS 054937107 50 1,300SH BP AMOCO PLC COMMON STOCKS 055622104 4,732 93,719SH BP AMOCO PLC COMMON STOCKS 055622104 738 14,616SH BANK OF AMERICA CORP COMMON STOCKS 060505104 3,335 47,396SH BANK OF AMERICA CORP COMMON STOCKS 060505104 1,898 26,977SH BANK OF NEW YORK INC COMMON STOCKS 064057102 168 4,971SH BANK OF NEW YORK INC COMMON STOCKS 064057102 790 23,400SH BANK ONE CORP COMMON STOCKS 06423A103 273 7,094SH BANK ONE CORP COMMON STOCKS 06423A103 19 486SH BAXTER INTL INC COMMON STOCKS 071813109 712 16,016SH BAXTER INTL INC COMMON STOCKS 071813109 142 3,200SH BAYER A G COMMON STOCKS 072730302 917 28,550SH BAYER A G COMMON STOCKS 072730302 29 900SH BECKMAN COULTER, INC. COMMON STOCKS 075811109 2,453 49,155SH BECKMAN COULTER, INC. COMMON STOCKS 075811109 379 7,605SH BELLSOUTH CORP COMMON STOCKS 079860102 3,950 125,388SH BELLSOUTH CORP COMMON STOCKS 079860102 688 21,820SH BERKSHIRE HATHAWAY INC COMMON STOCKS 084670108 10,020 150SH BERKSHIRE HATHAWAY INC COMMON STOCKS 084670207 617 276SH BERKSHIRE HATHAWAY INC COMMON STOCKS 084670207 49 22SH BIOGEN INC COMMON STOCKS 090597105 875 21,126SH BIOGEN INC COMMON STOCKS 090597105 237 5,725SH BLACK BOX CORP COMMON STOCKS 091826107 3,113 76,430SH BLACK BOX CORP COMMON STOCKS 091826107 493 12,100SH BLACK HILLS CORP COMMON STOCKS 092113109 2,166 62,560SH BLACK HILLS CORP COMMON STOCKS 092113109 183 5,275SH BLOCK H & R INC COMMON STOCKS 093671105 446 9,665SH BOEING CO COMMON STOCKS 097023105 734 16,320SH BOEING CO COMMON STOCKS 097023105 587 13,052SH BRIGGS & STRATTON CORP COMMON STOCKS 109043109 406 10,600SH BRIGGS & STRATTON CORP COMMON STOCKS 109043109 46 1,200SH BRISTOL MYERS SQUIBB CO COMMON STOCKS 110122108 3,015 117,310SH BRISTOL MYERS SQUIBB CO COMMON STOCKS 110122108 369 14,387SH BUCKEYE TECHNOLOGIES INC COMMON STOCKS 118255108 120 12,200SH CMS ENERGY CORP COMMON STOCKS 125896100 258 23,520SH CMS ENERGY CORP COMMON STOCKS 125896100 97 8,850SH CSX CORP COMMON STOCKS 126408103 407 11,615SH CALPINE CORPORATION COMMON STOCKS 131347106 496 70,510SH CALPINE CORPORATION COMMON STOCKS 131347106 9 1,300SH CAMBRIDGE ENERGY CORP COMMON STOCKS 13219L103 3 70,000SH CAMPBELL SOUP COMPANY COMMON STOCKS 134429109 248 8,963SH CAMPBELL SOUP COMPANY COMMON STOCKS 134429109 151 5,443SH CAP ONE FINANCIAL CORP COMMON STOCKS 14040H105 5,015 82,151SH CAP ONE FINANCIAL CORP COMMON STOCKS 14040H105 263 4,300SH CANADA LIFE FINANCIAL CORP COMMON STOCKS 135113108 510 20,744SH CARDINAL HEALTH INC COMMON STOCKS 14149Y108 1,380 22,466SH CARDINAL HEALTH INC COMMON STOCKS 14149Y108 40 650SH CASCADE CORP COMMON STOCKS 147195101 257 16,600SH CENTURYTEL INC COMMON STOCKS 156700106 634 21,488SH CHEVRONTEXACO CORP COMMON STOCKS 166764100 4,205 47,512SH CHEVRONTEXACO CORP COMMON STOCKS 166764100 801 9,044SH CISCO SYSTEMS COMMON STOCKS 17275R102 5,913 423,840SH CISCO SYSTEMS COMMON STOCKS 17275R102 724 51,909SH CITIGROUP INC COMMON STOCKS 172967101 5,297 136,673SH CITIGROUP INC COMMON STOCKS 172967101 1,591 41,058SH CITRIX SYSTEMS INC COMMON STOCKS 177376100 79 13,100SH CLAYTON HOMES INC COMMON STOCKS 184190106 331 20,975SH CLAYTON HOMES INC COMMON STOCKS 184190106 12 750SH CLEAR CHANNEL COMMUNICATIONS COMMON STOCKS 184502102 777 24,265SH CLEAR CHANNEL COMMUNICATIONS COMMON STOCKS 184502102 293 9,150SH COCA COLA CO COMMON STOCKS 191216100 6,259 111,770SH COCA COLA CO COMMON STOCKS 191216100 698 12,458SH COLGATE PALMOLIVE CO COMMON STOCKS 194162103 645 12,885SH COLGATE PALMOLIVE CO COMMON STOCKS 194162103 327 6,540SH COMCAST CORP COMMON STOCKS 200300200 941 39,469SH COMCAST CORP COMMON STOCKS 200300200 36 1,500SH COMMSCOPE INC COMMON STOCKS 203372107 4,071 325,665SH COMMSCOPE INC COMMON STOCKS 203372107 298 23,850SH COMPUTER SCIENCES CORP COMMON STOCKS 205363104 86 1,800SH COMPUTER SCIENCES CORP COMMON STOCKS 205363104 284 5,950SH CONAGRA INC COMMON STOCKS 205887102 653 23,619SH CONAGRA INC COMMON STOCKS 205887102 91 3,300SH CONCORD EFS INC COMMON STOCKS 206197105 295 9,790SH CONE MILLS CORP COMMON STOCKS 206814105 19 7,000SH CONE MILLS CORP COMMON STOCKS 206814105 94 34,942SH CONSTELLATION BRANDS INC-A COMMON STOCKS 21036P108 2,066 64,560SH CONSTELLATION BRANDS INC-A COMMON STOCKS 21036P108 598 18,700SH COSTCO WHOLESALE CORP COMMON STOCKS 22160K105 1,633 42,282SH COSTCO WHOLESALE CORP COMMON STOCKS 22160K105 297 7,690SH DANAHER CORP COMMON STOCKS 235851102 96 1,447SH DANAHER CORP COMMON STOCKS 235851102 600 9,041SH DARDEN RESTAURANTS INC COMMON STOCKS 237194105 2,034 82,347SH DARDEN RESTAURANTS INC COMMON STOCKS 237194105 121 4,899SH DENTSPLY INTERNATIONAL INC COMMON STOCKS 249030107 1,071 29,024SH DIEBOLD INC COMMON STOCKS 253651103 1,434 38,517SH DIEBOLD INC COMMON STOCKS 253651103 129 3,470SH THE WALT DISNEY COMPANY COMMON STOCKS 254687106 1,517 80,243SH THE WALT DISNEY COMPANY COMMON STOCKS 254687106 173 9,150SH DOMINION RESOURCES COMMON STOCKS 25746U109 256 3,867SH DOMINION RESOURCES COMMON STOCKS 25746U109 66 1,000SH DOW CHEM CO COMMON STOCKS 260543103 1,587 46,155SH DOW CHEM CO COMMON STOCKS 260543103 537 15,628SH DU PONT E I DE NEMOURS & CO COMMON STOCKS 263534109 1,865 42,021SH DU PONT E I DE NEMOURS & CO COMMON STOCKS 263534109 917 20,665SH DUKE ENERGY CORP COMMON STOCKS 264399106 4,401 141,510SH DUKE ENERGY CORP COMMON STOCKS 264399106 734 23,597SH DUKE ENERGY CORP PREFERRED STOCK 264399585 3,358 149,225SH DUKE ENERGY CORP PREFERRED STOCK 264399585 395 17,550SH EMC CORP COMMON STOCKS 268648102 3,565 472,228SH EMC CORP COMMON STOCKS 268648102 578 76,578SH EASTMAN KODAK CO COMMON STOCKS 277461109 116 3,975SH EASTMAN KODAK CO COMMON STOCKS 277461109 118 4,050SH EATON CORP COMMON STOCKS 278058102 162 2,225SH EATON CORP COMMON STOCKS 278058102 553 7,600SH EL PASO CORP COMMON STOCKS 28336L109 1,160 56,289SH EL PASO CORP COMMON STOCKS 28336L109 281 13,625SH ELECTRONIC DATA SYSTEMS CORP COMMON STOCKS 285661104 1,988 53,511SH ELECTRONIC DATA SYSTEMS CORP COMMON STOCKS 285661104 190 5,107SH ELECTRONICS FOR IMAGING COMMON STOCKS 286082102 234 14,700SH EMERSON ELECTRIC CO COMMON STOCKS 291011104 226 4,225SH EMERSON ELECTRIC CO COMMON STOCKS 291011104 349 6,526SH ENERGIZER HOLDINGS COMMON STOCKS 29266R108 910 33,176SH ENERGIZER HOLDINGS COMMON STOCKS 29266R108 82 3,000SH ENRON CORP COMMON STOCKS 293561106 1 12,900SH ENTREMED INC COMMON STOCKS 29382F103 64 20,804SH EQUITABLE RES INC COMMON STOCKS 294549100 446 13,000SH EQUITY INCOME FD COMMON STOCKS 294700703 1,454 17,045SH EQUITY INCOME FD COMMON STOCKS 294700703 331 3,875SH DELHAIZE 'LE LION' COMMON STOCKS 29759W101 213 4,580SH DELHAIZE 'LE LION' COMMON STOCKS 29759W101 6 133SH EXELON CORPORATION COMMON STOCKS 30161N101 237 4,540SH EXELON CORPORATION COMMON STOCKS 30161N101 60 1,150SH EXXON MOBIL CORP COMMON STOCKS 30231G102 17,273 422,098SH EXXON MOBIL CORP COMMON STOCKS 30231G102 5,428 132,649SH FAMILY DLR STORES INC COMMON STOCKS 307000109 956 27,130SH FEDERAL HOME LOAN MORTGAGE CORP COMMON STOCKS 313400301 2,538 41,478SH FEDERAL HOME LOAN MORTGAGE CORP COMMON STOCKS 313400301 407 6,643SH FEDERAL NATIONAL MORTGAGE ASSN COMMON STOCKS 313586109 7,888 106,965SH FEDERAL NATIONAL MORTGAGE ASSN COMMON STOCKS 313586109 464 6,292SH FEDEX CORP COMMON STOCKS 31428X106 2,216 41,490SH FEDEX CORP COMMON STOCKS 31428X106 824 15,425SH FIDELITY NATIONAL FINL INC COMMON STOCKS 316326107 401 12,689SH FIRST CITIZENS BCSHS COMMON STOCKS 31946M103 420 3,800SH FIRST DATA CORPORATION COMMON STOCKS 319963104 269 7,237SH FIRST TENNESSEE COMMON STOCKS 337162101 4,992 130,327SH FIRST TENNESSEE COMMON STOCKS 337162101 517 13,500SH FIRST ENERGY COMMON STOCKS 337932107 261 7,808SH FIRST ENERGY COMMON STOCKS 337932107 148 4,438SH FLEET BOSTON FINANCIAL CORP COMMON STOCKS 339030108 234 7,220SH FLEET BOSTON FINANCIAL CORP COMMON STOCKS 339030108 6 200SH FLEMING COS INC COMMON STOCKS 339130106 1,529 84,220SH FLEMING COS INC COMMON STOCKS 339130106 495 27,300SH FORD MOTOR COMPANY COMMON STOCKS 345370860 1,487 92,966SH FORD MOTOR COMPANY COMMON STOCKS 345370860 178 11,107SH FORTUNE BRANDS INC COMMON STOCKS 349631101 971 17,337SH FORTUNE BRANDS INC COMMON STOCKS 349631101 689 12,300SH GAINSCO INC COMMON STOCKS 363127101 3 30,000SH GALLAHER GROUP PLC ADR COMMON STOCKS 363595109 296 7,930SH GANNETT INC COMMON STOCKS 364730101 163 2,150SH GANNETT INC COMMON STOCKS 364730101 83 1,100SH GAP INC COMMON STOCKS 364760108 329 23,170SH GAP INC COMMON STOCKS 364760108 126 8,852SH GENERAL ELEC CO COMMON STOCKS 369604103 20,756 714,481SH GENERAL ELEC CO COMMON STOCKS 369604103 4,779 164,512SH GENERAL MILLS INC COMMON STOCKS 370334104 551 12,500SH GENERAL MILLS INC COMMON STOCKS 370334104 212 4,800SH GENERAL MTRS CORP COMMON STOCKS 370442105 350 6,547SH GENERAL MTRS CORP COMMON STOCKS 370442105 19 350SH GENERAL MTRS CORP COMMON STOCKS 370442832 85 8,154SH GENERAL MTRS CORP COMMON STOCKS 370442832 227 21,809SH GENTEX CORP COMMON STOCKS 371901109 6,770 246,456SH GENTEX CORP COMMON STOCKS 371901109 205 7,450SH GENLYTE GROUP INC COMMON STOCKS 372302109 1,894 46,625SH GENLYTE GROUP INC COMMON STOCKS 372302109 288 7,100SH GENUINE PARTS CO COMMON STOCKS 372460105 629 18,025SH GENUINE PARTS CO COMMON STOCKS 372460105 191 5,467SH GERBER SCIENTIFIC INC COMMON STOCKS 373730100 27 7,775SH GERBER SCIENTIFIC INC COMMON STOCKS 373730100 40 11,350SH GILLETTE CO COMMON STOCKS 375766102 2,241 66,179SH GILLETTE CO COMMON STOCKS 375766102 513 15,154SH GLAXOSMITHKLINE PLC-ADR COMMON STOCKS 37733W105 436 10,103SH GLAXOSMITHKLINE PLC-ADR COMMON STOCKS 37733W105 121 2,810SH HARRIS CORP COMMON STOCKS 413875105 1,493 41,210SH HARRIS CORP COMMON STOCKS 413875105 387 10,675SH HEALTHSOUTH REHABILITATION CORP COMMON STOCKS 421924101 502 39,243SH HEALTH NET INC COMMON STOCKS 42222G108 566 21,130SH HEILIG MEYERS CO COMMON STOCKS 422893107 0 13,000SH HEINZ H J CO COMMON STOCKS 423074103 1,717 41,771SH HEINZ H J CO COMMON STOCKS 423074103 284 6,900SH HEWLETT PACKARD CO COMMON STOCKS 428236103 1,826 119,514SH HEWLETT PACKARD CO COMMON STOCKS 428236103 372 24,300SH HOME DEPOT INC COMMON STOCKS 437076102 3,173 86,394SH HOME DEPOT INC COMMON STOCKS 437076102 445 12,125SH HONEYWELL INTERNATIONAL (NEW) COMMON STOCKS 438516106 3,171 90,002SH HONEYWELL INTERNATIONAL (NEW) COMMON STOCKS 438516106 829 23,524SH HOUSEHOLD INTL INC COMMON STOCKS 441815107 3,992 80,317SH HOUSEHOLD INTL INC COMMON STOCKS 441815107 184 3,700SH HUBBELL HARVEY INC COMMON STOCKS 443510201 667 19,537SH HUBBELL HARVEY INC COMMON STOCKS 443510201 87 2,552SH IHOP CORP COMMON STOCKS 449623107 1,891 64,215SH IHOP CORP COMMON STOCKS 449623107 361 12,250SH INTEL CORP COMMON STOCKS 458140100 6,334 346,689SH INTEL CORP COMMON STOCKS 458140100 3,545 194,064SH IBM CORP COMMON STOCKS 459200101 7,963 110,593SH IBM CORP COMMON STOCKS 459200101 1,819 25,257SH INTERNATIONAL PAPER CO COMMON STOCKS 460146103 1,716 39,365SH INTERNATIONAL PAPER CO COMMON STOCKS 460146103 692 15,863SH INTERPUBLIC GROUP COMMON STOCKS 460690100 4,102 165,666SH INTERPUBLIC GROUP COMMON STOCKS 460690100 273 11,005SH INVESTORS TITLE INS CO COMMON STOCKS 461804106 272 14,000SH INVESTORS TITLE INS CO COMMON STOCKS 461804106 152 7,812SH JDS UNIPHASE CORP COMMON STOCKS 46612J101 4 1,575SH JDS UNIPHASE CORP COMMON STOCKS 46612J101 94 35,066SH JP MORGAN CHASE & CO COMMON STOCKS 46625H100 3,136 92,461SH JP MORGAN CHASE & CO COMMON STOCKS 46625H100 617 18,191SH JEFFERSON PILOT CORP COMMON STOCKS 475070108 5,823 123,890SH JEFFERSON PILOT CORP COMMON STOCKS 475070108 2,621 55,757SH JOHNSON & JOHNSON COMMON STOCKS 478160104 5,312 101,651SH JOHNSON & JOHNSON COMMON STOCKS 478160104 1,753 33,544SH JOHNSON CONTROLS COMMON STOCKS 478366107 1,098 13,460SH JOHNSON CONTROLS COMMON STOCKS 478366107 3 35SH KANSAS CITY SOUTHN INDS INC COMMON STOCKS 485170302 29 1,700SH KANSAS CITY SOUTHN INDS INC COMMON STOCKS 485170302 167 9,850SH KELLOGG CO COMMON STOCKS 487836108 327 9,130SH KEYCORP NEW COMMON STOCKS 493267108 380 13,918SH KEYCORP NEW COMMON STOCKS 493267108 19 700SH KIMBERLY CLARK CORP COMMON STOCKS 494368103 1,321 21,316SH KIMBERLY CLARK CORP COMMON STOCKS 494368103 166 2,675SH KOHLS CORPORATION COMMON STOCKS 500255104 1,285 18,345SH KOHLS CORPORATION COMMON STOCKS 500255104 202 2,875SH LEHMAN BROTHERS HLDGS INC COMMON STOCKS 524908100 730 11,675SH LEHMAN BROTHERS HLDGS INC COMMON STOCKS 524908100 50 800SH LEXMARK INTL GROUP INC CL A COMMON STOCKS 529771107 6,214 114,231SH LEXMARK INTL GROUP INC CL A COMMON STOCKS 529771107 386 7,100SH ELI LILLY COMMON STOCKS 532457108 4,353 77,171SH ELI LILLY COMMON STOCKS 532457108 293 5,200SH LIMITED INC COMMON STOCKS 532716107 1,503 70,552SH LIMITED INC COMMON STOCKS 532716107 426 20,020SH LINCARE HLD INC COMMON STOCKS 532791100 313 9,700SH LINCOLN ELECTRIC HOLDINGS COMMON STOCKS 533900106 470 17,485SH LINCOLN ELECTRIC HOLDINGS COMMON STOCKS 533900106 307 11,425SH LINEAR TECHNOLOGY CORP COMMON STOCKS 535678106 190 6,045SH LINEAR TECHNOLOGY CORP COMMON STOCKS 535678106 14 450SH LINEN 'N THINGS COMMON STOCKS 535679104 328 10,004SH LIZ CLAIBORNE INC COMMON STOCKS 539320101 497 15,641SH LOCKHEED MARTIN CORP COMMON STOCKS 539830109 1,136 16,350SH LOWES COMPANIES INC COMMON STOCKS 548661107 11,148 245,558SH LOWES COMPANIES INC COMMON STOCKS 548661107 529 11,650SH LUCENT TECHNOLOGIES INC COMMON STOCKS 549463107 38 23,073SH LUCENT TECHNOLOGIES INC COMMON STOCKS 549463107 13 7,792SH MFS CLOSED END FUND 55273C107 3,828 534,665PRN MFS CLOSED END FUND 55273C107 34 4,744PRN MGIC INVESTMENT COMMON STOCKS 552848103 1,388 20,465SH MGIC INVESTMENT COMMON STOCKS 552848103 429 6,325SH MTS SYS CORP COMMON STOCKS 553777103 59 4,500SH MTS SYS CORP COMMON STOCKS 553777103 118 9,000SH MANULIFE FINANCIAL CORP COMMON STOCKS 56501R106 1,589 55,559SH MARRIOTT INTERNATIONAL INC COMMON STOCKS 571903202 890 23,400SH MARRIOTT INTERNATIONAL INC COMMON STOCKS 571903202 229 6,025SH MARSH & MCLENNAN COMMON STOCKS 571748102 212 2,198SH MARTIN MARIETTA MATERIALS, INC. COMMON STOCKS 573284106 5,123 131,353SH MARTIN MARIETTA MATERIALS, INC. COMMON STOCKS 573284106 440 11,300SH MASCO CORPORATION COMMON STOCKS 574599106 1,001 36,896SH MASCO CORPORATION COMMON STOCKS 574599106 203 7,500SH MAST OPTICAL SYSTEMS INC COMMON STOCKS 576311104 0 10,000SH MAXIM INTEGRATED PRODUCTS COMMON STOCKS 57772K101 89 2,318SH MAXIM INTEGRATED PRODUCTS COMMON STOCKS 57772K101 209 5,464SH MCCORMICK & CO COMMON STOCKS 579780206 505 19,596SH MCDONALDS CORP COMMON STOCKS 580135101 887 31,160SH MCDONALDS CORP COMMON STOCKS 580135101 24 850SH MCGRAW HILL INC COMMON STOCKS 580645109 3,952 66,204SH MCGRAW HILL INC COMMON STOCKS 580645109 463 7,750SH MEDIMMUNE INC COMMON STOCKS 584699102 4,403 166,772SH MEDIMMUNE INC COMMON STOCKS 584699102 226 8,575SH MEDTRONIC INC COMMON STOCKS 585055106 15,669 365,667SH MEDTRONIC INC COMMON STOCKS 585055106 6,076 141,809SH MERCK & CO INC COMMON STOCKS 589331107 7,835 154,724SH MERCK & CO INC COMMON STOCKS 589331107 2,047 40,428SH MERRILL LYNCH & CO INC COMMON STOCKS 590188108 1,447 35,740SH MERRILL LYNCH & CO INC COMMON STOCKS 590188108 343 8,470SH METLIFE INC COMMON STOCKS 59156R108 397 13,780SH MICROSOFT CORP COMMON STOCKS 594918104 10,167 185,865SH MICROSOFT CORP COMMON STOCKS 594918104 1,450 26,503SH MID AMERICA APARTMENT CMNTY COMMON STOCKS 59522J103 659 24,644SH MILLIPORE CORP COMMON STOCKS 601073109 2,666 83,365SH MILLIPORE CORP COMMON STOCKS 601073109 112 3,500SH MIRANT CORP COMMON STOCKS 604675108 311 42,658SH MIRANT CORP COMMON STOCKS 604675108 0 99SH MOLEX INC COMMON STOCKS 608554200 5,500 200,510SH MOLEX INC COMMON STOCKS 608554200 445 16,207SH MORGAN ST DEAN WITTER COMMON STOCKS 617446448 737 17,119SH MORGAN ST DEAN WITTER COMMON STOCKS 617446448 60 1,400SH MORGAN STANLEY DEAN WITTER CLOSED END FUND 61745P106 226 25,000PRN MOTOROLA INC COMMON STOCKS 620076109 990 67,878SH MOTOROLA INC COMMON STOCKS 620076109 315 21,583SH MYKROLIS CORPORATION COMMON STOCKS 62852P103 404 34,219SH MYKROLIS CORPORATION COMMON STOCKS 62852P103 6 470SH NACCO INDUSTRIES COMMON STOCKS 629579103 195 3,358SH NACCO INDUSTRIES COMMON STOCKS 629579103 12 207SH NASDAQ-100 SHARES COMMON STOCKS 631100104 308 11,790SH NASDAQ-100 SHARES COMMON STOCKS 631100104 203 7,780SH NATL COMMERCE FINANCIAL CORP COMMON STOCKS 63545P104 98,6503,750,93SH NATL COMMERCE FINANCIAL CORP COMMON STOCKS 63545P104 13,483 512,655SH NATIONAL-OILWELL INC COMMON STOCKS 637071101 3,765 178,841SH NATIONAL-OILWELL INC COMMON STOCKS 637071101 151 7,150SH NATIONWIDE FINANCIAL SERV -A COMMON STOCKS 638612101 246 6,240SH NATIONWIDE FINANCIAL SERV -A COMMON STOCKS 638612101 4 100SH NORFOLK SOUTHERN CORP COMMON STOCKS 655844108 1,181 50,485SH NORFOLK SOUTHERN CORP COMMON STOCKS 655844108 346 14,786SH OLD REP INTL CORP COMMON STOCKS 680223104 585 18,573SH ORACLE SYSTEMS COMMON STOCKS 68389X105 3,161 333,843SH ORACLE SYSTEMS COMMON STOCKS 68389X105 324 34,220SH PNC BANK CORP COMMON STOCKS 693475105 538 10,296SH PNC BANK CORP COMMON STOCKS 693475105 26 500SH PALM INC COMMON STOCKS 696642107 63 35,591SH PAYCHEX INC COMMON STOCKS 704326107 360 11,492SH PAYCHEX INC COMMON STOCKS 704326107 14 450SH PAYLESS SHOE SOURCE COMMON STOCKS 704379106 848 14,715SH PAYLESS SHOE SOURCE COMMON STOCKS 704379106 302 5,230SH PEPSICO INC COMMON STOCKS 713448108 3,109 64,493SH PEPSICO INC COMMON STOCKS 713448108 1,668 34,600SH PERKINELMER INC COMMON STOCKS 714046109 265 24,000SH PERKINELMER INC COMMON STOCKS 714046109 254 23,000SH PETROLEUM & RES CORP COMMON STOCKS 716549100 2,104 92,420SH PETROLEUM & RES CORP COMMON STOCKS 716549100 904 39,696SH PFIZER INC COMMON STOCKS 717081103 16,220 463,404SH PFIZER INC COMMON STOCKS 717081103 3,582 102,338SH PHARMACIA CORPORATION COMMON STOCKS 71713U102 3,098 82,726SH PHARMACIA CORPORATION COMMON STOCKS 71713U102 58 1,542SH PHILIP MORRIS COS INC COMMON STOCKS 718154107 1,669 38,208SH PHILIP MORRIS COS INC COMMON STOCKS 718154107 849 19,450SH PHILLIPS PETROLEUM CO COMMON STOCKS 718507106 6,080 103,246SH PHILLIPS PETROLEUM CO COMMON STOCKS 718507106 445 7,570SH PIEDMONT NAT GAS INC COMMON STOCKS 720186105 371 10,036SH PIEDMONT NAT GAS INC COMMON STOCKS 720186105 7 200SH PLANTRONICS INC COMMON STOCKS 727493108 57 3,000SH PLANTRONICS INC COMMON STOCKS 727493108 513 27,000SH POTASH CORP COMMON STOCKS 73755L107 1,064 15,950SH POTASH CORP COMMON STOCKS 73755L107 53 800SH PRECISION CASTPARTS CORP COMMON STOCKS 740189105 1,289 39,050SH PRECISION CASTPARTS CORP COMMON STOCKS 740189105 332 10,075SH T ROWE PRICE GROUP INC COMMON STOCKS 74144T108 366 11,141SH PRINCIPAL FINANCIAL GROUP COMMON STOCKS 74251V102 200 6,437SH PRINCIPAL FINANCIAL GROUP COMMON STOCKS 74251V102 17 540SH PROCTER & GAMBLE CO COMMON STOCKS 742718109 3,559 39,862SH PROCTER & GAMBLE CO COMMON STOCKS 742718109 188 2,100SH PROGRESS ENERGY COMMON STOCKS 743263105 4,361 83,857SH PROGRESS ENERGY COMMON STOCKS 743263105 125 2,398SH PROVIDIAN FINANCIAL CORP COMMON STOCKS 74406A102 1,066 181,238SH PUBLIC STORAGE INC COMMON STOCKS 74460D109 866 23,355SH PUTNAM CLOSED END FUND 746909100 84 13,484PRN QUINTILES TRANSNATIONAL CORP COMMON STOCKS 748767100 467 37,385SH QUINTILES TRANSNATIONAL CORP COMMON STOCKS 748767100 20 1,600SH QWEST COMMUNICATIONS INTL COMMON STOCKS 749121109 35 12,419SH QWEST COMMUNICATIONS INTL COMMON STOCKS 749121109 15 5,329SH RFS HOTEL COMMON STOCKS 74955J108 521 38,500SH RFS HOTEL COMMON STOCKS 74955J108 135 10,000SH RF MICRO DEVICES COMMON STOCKS 749941100 0 114SH RF MICRO DEVICES COMMON STOCKS 749941100 202 26,500SH ROSS STORES INC COMMON STOCKS 778296103 2,383 58,475SH ROSS STORES INC COMMON STOCKS 778296103 411 10,075SH ROYAL BANK OF CANADA COMMON STOCKS 780087102 1,237 35,540SH ROYAL BANK OF CANADA COMMON STOCKS 780087102 1,046 30,060SH ROYAL DUTCH PETE CO COMMON STOCKS 780257804 1,020 18,445SH ROYAL DUTCH PETE CO COMMON STOCKS 780257804 273 4,940SH RYANS FAMILY STEAK HOUSES INC COMMON STOCKS 783519101 1,043 78,957SH RYANS FAMILY STEAK HOUSES INC COMMON STOCKS 783519101 416 31,508SH SBC COMMUNICATIONS INC COMMON STOCKS 78387G103 4,966 162,810SH SBC COMMUNICATIONS INC COMMON STOCKS 78387G103 717 23,505SH S&P 500 DEPOSITORY RECEIPT COMMON STOCKS 78462F103 2,915 29,450SH S&P 500 DEPOSITORY RECEIPT COMMON STOCKS 78462F103 876 8,846SH SAFECO CORP COMMON STOCKS 786429100 251 8,120SH SAFEGUARD SCIENTIFICS INC COMMON STOCKS 786449108 61 30,525SH ST PAUL COS INC COMMON STOCKS 792860108 166 4,260SH ST PAUL COS INC COMMON STOCKS 792860108 39 1,000SH SARA LEE CORP COMMON STOCKS 803111103 119 5,787SH SARA LEE CORP COMMON STOCKS 803111103 83 4,000SH SCANA CORP COMMON STOCKS 80589M102 2,705 87,615SH SCANA CORP COMMON STOCKS 80589M102 472 15,317SH SCHERING PLOUGH CORP COMMON STOCKS 806605101 8,854 359,920SH SCHERING PLOUGH CORP COMMON STOCKS 806605101 354 14,400SH SCHLUMBERGER LTD COMMON STOCKS 806857108 2,802 60,255SH SCHLUMBERGER LTD COMMON STOCKS 806857108 456 9,818SH SCHWAB (CHARLES) CORP COMMON STOCKS 808513105 214 19,121SH SCHWAB (CHARLES) CORP COMMON STOCKS 808513105 407 36,365SH SEALED AIR CORP COMMON STOCKS 81211K100 505 12,550SH SEALED AIR CORP COMMON STOCKS 81211K100 24 600SH SEARS ROEBUCK & CO COMMON STOCKS 812387108 1,175 21,643SH SEARS ROEBUCK & CO COMMON STOCKS 812387108 371 6,840SH SONOCO PRODS CO COMMON STOCKS 835495102 111 3,936SH SONOCO PRODS CO COMMON STOCKS 835495102 89 3,156SH SOUTHERN CO COMMON STOCKS 842587107 391 14,288SH SOUTHERN CO COMMON STOCKS 842587107 34 1,249SH SOUTHTRUST CORP COMMON STOCKS 844730101 842 32,217SH SOUTHTRUST CORP COMMON STOCKS 844730101 8 300SH SOUTHWEST AIRLS CO COMMON STOCKS 844741108 586 36,271SH SOUTHWEST AIRLS CO COMMON STOCKS 844741108 156 9,623SH SPORT-HALEY INC COMMON STOCKS 848925103 149 40,000SH SPRINT CORP COMMON STOCKS 852061100 319 30,086SH SPRINT CORP COMMON STOCKS 852061100 85 8,000SH STATE STREET CORP COMMON STOCKS 857477103 35 780SH STATE STREET CORP COMMON STOCKS 857477103 536 12,000SH STILWELL FINANCIAL COMMON STOCKS 860831106 126 6,932SH STILWELL FINANCIAL COMMON STOCKS 860831106 709 38,965SH STRYKER CORP COMMON STOCKS 863667101 860 16,072SH STRYKER CORP COMMON STOCKS 863667101 4,695 87,740SH SUN LIFE FINANCIAL SERVICES COMMON STOCKS 866796105 730 33,410SH SUN MICROSYSTEMS INC COMMON STOCKS 866810104 522 104,287SH SUN MICROSYSTEMS INC COMMON STOCKS 866810104 33 6,400SH SUNGARD DATA SYSTEMS INC COMMON STOCKS 867363103 7,987 301,633SH SUNGARD DATA SYSTEMS INC COMMON STOCKS 867363103 643 24,300SH SUNRISE ASSISTED LIVING INC COMMON STOCKS 86768K106 954 35,590SH SUNRISE ASSISTED LIVING INC COMMON STOCKS 86768K106 389 14,525SH SUNTRUST BANKS INC COMMON STOCKS 867914103 2,190 32,335SH SUNTRUST BANKS INC COMMON STOCKS 867914103 547 8,080SH SYMANTEC CORP COMMON STOCKS 871503108 1,718 52,310SH SYMANTEC CORP COMMON STOCKS 871503108 571 17,395SH SYNOVUS FINL CORP COMMON STOCKS 87161C105 4,713 171,264SH SYNOVUS FINL CORP COMMON STOCKS 87161C105 1,230 44,702SH TECO ENERGY INC COMMON STOCKS 872375100 434 17,540SH TECO ENERGY INC COMMON STOCKS 872375100 121 4,900SH TJX COS INC COMMON STOCKS 872540109 214 10,925SH TJX COS INC COMMON STOCKS 872540109 27 1,400SH TMP WORLDWIDE INC COMMON STOCKS 872941109 676 31,450SH TMP WORLDWIDE INC COMMON STOCKS 872941109 224 10,400SH TECH DATA CORP COMMON STOCKS 878237106 531 14,035SH TECH DATA CORP COMMON STOCKS 878237106 213 5,635SH TENET HEALTHCARE CORP COMMON STOCKS 88033G100 1,010 14,111SH TEVA PHARMACEUTICAL-SP ADR COMMON STOCKS 881624209 3,371 50,485SH TEVA PHARMACEUTICAL-SP ADR COMMON STOCKS 881624209 40 600SH TEXAS INSTRUMENT INC COMMON STOCKS 882508104 40 1,703SH TEXAS INSTRUMENT INC COMMON STOCKS 882508104 182 7,670SH 3COM CORP COMMON STOCKS 885535104 106 24,000SH 3M CO COMMON STOCKS 88579Y101 746 6,063SH 3M CO COMMON STOCKS 88579Y101 135 1,100SH TRANSWITCH CORP COMMON STOCKS 894065101 7 11,700SH TRI-CONTINENTAL CORPORATION CLOSED END FUND 895436103 3,029 188,130PRN TRI-CONTINENTAL CORPORATION CLOSED END FUND 895436103 292 18,167PRN TYCO INTERNATIONAL LTD COMMON STOCKS 902124106 3,309 244,933SH TYCO INTERNATIONAL LTD COMMON STOCKS 902124106 277 20,510SH USA NETWORKS INC COMMON STOCKS 902984103 643 27,400SH USA NETWORKS INC COMMON STOCKS 902984103 26 1,100SH UNION PLANTERS COMMON STOCKS 908068109 304 9,386SH UNION PLANTERS COMMON STOCKS 908068109 850 26,256SH UNITED PARCEL SERVICE - CL B COMMON STOCKS 911312106 661 10,705SH UNITED PARCEL SERVICE - CL B COMMON STOCKS 911312106 46 750SH UNITED TECHNOLOGIES CORP COMMON STOCKS 913017109 8,605 126,728SH UNITED TECHNOLOGIES CORP COMMON STOCKS 913017109 795 11,700SH UNITEDHEALTH GROUP INC COMMON STOCKS 91324P102 1,945 21,245SH UNITEDHEALTH GROUP INC COMMON STOCKS 91324P102 385 4,200SH UNIVERSAL HEALTH SVCS INC COMMON STOCKS 913903100 59 1,200SH UNIVERSAL HEALTH SVCS INC COMMON STOCKS 913903100 1,784 36,400SH VALERO ENERGY CORP COMMON STOCKS 91913Y100 1,304 34,850SH VALERO ENERGY CORP COMMON STOCKS 91913Y100 353 9,445SH VERIZON COMMUNICATIONS COMMON STOCKS 92343V104 4,221 105,117SH VERIZON COMMUNICATIONS COMMON STOCKS 92343V104 871 21,705SH VODAFONE GROUP PLC COMMON STOCKS 92857W100 246 18,000SH VODAFONE GROUP PLC COMMON STOCKS 92857W100 55 4,030SH WACHOVIA CORP COMMON STOCKS 929903102 2,502 65,527SH WACHOVIA CORP COMMON STOCKS 929903102 1,307 34,235SH WAL-MART STORES COMMON STOCKS 931142103 2,388 43,411SH WAL-MART STORES COMMON STOCKS 931142103 405 7,360SH WALGREEN CO COMMON STOCKS 931422109 2,993 77,469SH WALGREEN CO COMMON STOCKS 931422109 224 5,800SH WASHINGTON MUTUAL INC COMMON STOCKS 939322103 14,042 378,397SH WASHINGTON MUTUAL INC COMMON STOCKS 939322103 1,395 37,604SH WELLS FARGO COMPANY COMMON STOCKS 949746101 299 5,979SH WELLS FARGO COMPANY COMMON STOCKS 949746101 379 7,570SH WORLDCOM INC COMMON STOCKS 98157D106 22 26,649SH WORLDCOM INC COMMON STOCKS 98157D106 0 1,100SH WRIGLEY (WM) JR CO COMMON STOCKS 982526105 742 13,400SH WYETH COMMON STOCKS 983024100 7,557 147,597SH WYETH COMMON STOCKS 983024100 2,854 55,741SH XILINX INC COMMON STOCKS 983919101 29 1,285SH XILINX INC COMMON STOCKS 983919101 296 13,200SH YUM! BRANDS INC COMMON STOCKS 988498101 1,688 57,702SH YUM! BRANDS INC COMMON STOCKS 988498101 328 11,222SH INGERSOLL-RAND CO COMMON STOCKS G4776G101 934 20,465SH INGERSOLL-RAND CO COMMON STOCKS G4776G101 493 10,794SH FLEXTRONICS INTERNATIONAL, LTD COMMON STOCKS Y2573F102 355 49,780SH FLEXTRONICS INTERNATIONAL, LTD COMMON STOCKS Y2573F102 11 1,500SH NAME OF ISSUER INVSTMT OTHER VOTING AUTHORITY SECURITY NAME DISCRTN MANAGERS SOLE SHARED NONE AFLAC INC DEFINED 56,082 AFLAC INC DEFINED 225 AFLAC INC DEF/OTH 17,350 AFLAC INC DEF/OTH 2,180 AOL TIME WARNER DEFINED 83,117 AOL TIME WARNER DEF/OTH 19,050 AOL TIME WARNER DEF/OTH 1,400 AT&T CORP DEFINED 29,311 AT&T CORP DEFINED 200 AT&T CORP DEF/OTH 3,757 AT&T WIRELESS SERVICES DEFINED 8,901 AT&T WIRELESS SERVICES DEF/OTH 1,155 ABBOTT LABORATORIES DEFINED 132,591 ABBOTT LABORATORIES DEFINED 429 ABBOTT LABORATORIES DEF/OTH 23,861 ABBOTT LABORATORIES DEF/OTH 8,915 ACTIVE POWER INC DEFINED 40,980 AEGON N V DEFINED 98,303 AEGON N V DEFINED 15,054 AIR PRODS & CHEMS INC DEFINED 3,589 AIR PRODS & CHEMS INC DEF/OTH 470 ALBERTSONS INC DEF/OTH 23,184 ALCOA INC DEFINED 42,724 ALCOA INC DEFINED 230 ALCOA INC DEF/OTH 3,746 ALCOA INC DEF/OTH 700 ALLEGHANY CORP DEF/OTH 1,396 ALLEGHENY ENERGY INC DEFINED 10,215 ALLEGHENY ENERGY INC DEF/OTH 1,900 ALLETE CORP DEFINED 52,509 ALLETE CORP DEF/OTH 8,483 ALLETE CORP DEF/OTH 90 ALLEN TELECOM INC DEFINED 11,000 ALLSTATE CORPORATION DEFINED 6,770 ALLSTATE CORPORATION DEF/OTH 5,959 ALLTEL CORP DEFINED 9,400 ALLTEL CORP DEFINED 150 ALLTEL CORP DEF/OTH 1,075 ALTERA CORP DEFINED 4,000 ALTERA CORP DEF/OTH 10,800 AMBAC FINANCIAL GROUP, INC DEFINED 21,792 AMBAC FINANCIAL GROUP, INC DEF/OTH 2,350 AMERADA HESS CORP DEFINED 18,690 AMERADA HESS CORP DEF/OTH 3,700 AMERICAN ELEC PWR INC DEFINED 8,847 AMERICAN ELEC PWR INC DEF/OTH 791 AMERICAN EXPRESS CO DEFINED 58,981 AMERICAN EXPRESS CO DEFINED 200 AMERICAN EXPRESS CO DEF/OTH 10,925 AMERICAN INTL GROUP INC DEFINED 164,879 AMERICAN INTL GROUP INC DEFINED 446 AMERICAN INTL GROUP INC DEF/OTH 17,188 AMERICAN INTL GROUP INC DEF/OTH 2,374 AMETEK INC DEFINED 47,695 AMETEK INC DEF/OTH 5,975 AMGEN INC DEFINED 143,371 AMGEN INC DEFINED 1,325 AMGEN INC DEF/OTH 11,100 ANADARKO PETE CORP DEFINED 26,726 ANADARKO PETE CORP DEFINED 685 ANADARKO PETE CORP DEF/OTH 3,850 ANHEUSER BUSCH COS INC DEFINED 27,220 ANHEUSER BUSCH COS INC DEFINED 1,803 ANHEUSER BUSCH COS INC DEF/OTH 13,500 APPLIED MATERIALS INC DEFINED 341,268 APPLIED MATERIALS INC DEFINED 600 APPLIED MATERIALS INC DEF/OTH 52,300 APTARGROUP INC DEFINED 49,895 APTARGROUP INC DEF/OTH 5,150 ATLANTIS PLASTICS INC - CL A DEFINED 27,000 AURA SYSTEMS INC DEFINED 13,600 AUTODESK INC. DEFINED 114,215 AUTODESK INC. DEF/OTH 21,650 AUTOMATIC DATA PROCESSING INC DEFINED 99,256 AUTOMATIC DATA PROCESSING INC DEFINED 150 AUTOMATIC DATA PROCESSING INC DEF/OTH 3,400 AUTOMATIC DATA PROCESSING INC DEF/OTH 700 AUTOZONE INC DEFINED 5,820 AUTOZONE INC DEF/OTH 4,250 AVERY DENNISON CORP DEFINED 150 AVERY DENNISON CORP DEF/OTH 4,000 AXCELIS TECHNOLOGIES DEFINED 11,528 AXCELIS TECHNOLOGIES DEF/OTH 8,837 BB & T CORPORATION DEFINED 70,659 BB & T CORPORATION DEFINED 11,250 BB & T CORPORATION DEF/OTH 400 BB & T CORPORATION DEF/OTH 900 BP AMOCO PLC DEFINED 93,191 BP AMOCO PLC DEFINED 528 BP AMOCO PLC DEF/OTH 13,616 BP AMOCO PLC DEF/OTH 1,000 BANK OF AMERICA CORP DEFINED 46,566 BANK OF AMERICA CORP DEFINED 830 BANK OF AMERICA CORP DEF/OTH 18,241 BANK OF AMERICA CORP DEF/OTH 8,736 BANK OF NEW YORK INC DEFINED 4,971 BANK OF NEW YORK INC DEF/OTH 22,400 BANK OF NEW YORK INC DEF/OTH 1,000 BANK ONE CORP DEFINED 7,094 BANK ONE CORP DEF/OTH 486 BAXTER INTL INC DEFINED 16,016 BAXTER INTL INC DEF/OTH 3,200 BAYER A G DEFINED 28,450 BAYER A G DEFINED 100 BAYER A G DEF/OTH 900 BECKMAN COULTER, INC. DEFINED 49,155 BECKMAN COULTER, INC. DEF/OTH 7,000 BECKMAN COULTER, INC. DEF/OTH 605 BELLSOUTH CORP DEFINED 122,953 BELLSOUTH CORP DEFINED 2,435 BELLSOUTH CORP DEF/OTH 21,820 BERKSHIRE HATHAWAY INC DEF/OTH 150 BERKSHIRE HATHAWAY INC DEFINED 276 BERKSHIRE HATHAWAY INC DEF/OTH 22 BIOGEN INC DEFINED 21,126 BIOGEN INC DEF/OTH 5,725 BLACK BOX CORP DEFINED 76,130 BLACK BOX CORP DEFINED 300 BLACK BOX CORP DEF/OTH 12,100 BLACK HILLS CORP DEFINED 62,060 BLACK HILLS CORP DEFINED 500 BLACK HILLS CORP DEF/OTH 5,275 BLOCK H & R INC DEFINED 8,000 BLOCK H & R INC DEFINED 1,665 BOEING CO DEFINED 15,055 BOEING CO DEFINED 1,265 BOEING CO DEF/OTH 13,052 BRIGGS & STRATTON CORP DEFINED 10,600 BRIGGS & STRATTON CORP DEF/OTH 1,200 BRISTOL MYERS SQUIBB CO DEFINED 116,370 BRISTOL MYERS SQUIBB CO DEFINED 940 BRISTOL MYERS SQUIBB CO DEF/OTH 14,308 BRISTOL MYERS SQUIBB CO DEF/OTH 79 BUCKEYE TECHNOLOGIES INC DEFINED 12,200 CMS ENERGY CORP DEFINED 23,520 CMS ENERGY CORP DEF/OTH 8,850 CSX CORP DEFINED 11,615 CALPINE CORPORATION DEFINED 70,250 CALPINE CORPORATION DEFINED 260 CALPINE CORPORATION DEF/OTH 1,300 CAMBRIDGE ENERGY CORP DEFINED 70,000 CAMPBELL SOUP COMPANY DEFINED 8,963 CAMPBELL SOUP COMPANY DEF/OTH 5,443 CANADA LIFE FINANCIAL CORP DEFINED 20,744 CAP ONE FINANCIAL CORP DEFINED 81,951 CAP ONE FINANCIAL CORP DEFINED 200 CAP ONE FINANCIAL CORP DEF/OTH 2,600 CAP ONE FINANCIAL CORP DEF/OTH 1,700 CARDINAL HEALTH INC DEFINED 20,838 CARDINAL HEALTH INC DEFINED 1,628 CARDINAL HEALTH INC DEF/OTH 650 CASCADE CORP DEFINED 4,000 CASCADE CORP DEFINED 12,600 CENTURYTEL INC DEFINED 21,488 CHEVRONTEXACO CORP DEFINED 47,412 CHEVRONTEXACO CORP DEFINED 100 CHEVRONTEXACO CORP DEF/OTH 4,364 CHEVRONTEXACO CORP DEF/OTH 4,680 CISCO SYSTEMS DEFINED 421,565 CISCO SYSTEMS DEFINED 2,275 CISCO SYSTEMS DEF/OTH 42,184 CISCO SYSTEMS DEF/OTH 9,725 CITIGROUP INC DEFINED 134,814 CITIGROUP INC DEFINED 1,859 CITIGROUP INC DEF/OTH 21,227 CITIGROUP INC DEF/OTH 19,831 CITRIX SYSTEMS INC DEFINED 13,100 CLAYTON HOMES INC DEFINED 20,875 CLAYTON HOMES INC DEFINED 100 CLAYTON HOMES INC DEF/OTH 750 CLEAR CHANNEL COMMUNICATIONS DEFINED 24,265 CLEAR CHANNEL COMMUNICATIONS DEF/OTH 9,150 COCA COLA CO DEFINED 111,770 COCA COLA CO DEF/OTH 12,458 COLGATE PALMOLIVE CO DEFINED 12,735 COLGATE PALMOLIVE CO DEFINED 150 COLGATE PALMOLIVE CO DEF/OTH 5,340 COLGATE PALMOLIVE CO DEF/OTH 1,200 COMCAST CORP DEFINED 38,752 COMCAST CORP DEFINED 717 COMCAST CORP DEF/OTH 1,500 COMMSCOPE INC DEFINED 325,465 COMMSCOPE INC DEFINED 200 COMMSCOPE INC DEF/OTH 23,850 COMPUTER SCIENCES CORP DEFINED 1,800 COMPUTER SCIENCES CORP DEF/OTH 5,950 CONAGRA INC DEFINED 23,619 CONAGRA INC DEF/OTH 3,200 CONAGRA INC DEF/OTH 100 CONCORD EFS INC DEFINED 9,790 CONE MILLS CORP DEFINED 7,000 CONE MILLS CORP DEF/OTH 34,942 CONSTELLATION BRANDS INC-A DEFINED 64,560 CONSTELLATION BRANDS INC-A DEF/OTH 18,700 COSTCO WHOLESALE CORP DEFINED 41,657 COSTCO WHOLESALE CORP DEFINED 625 COSTCO WHOLESALE CORP DEF/OTH 6,690 COSTCO WHOLESALE CORP DEF/OTH 1,000 DANAHER CORP DEFINED 1,447 DANAHER CORP DEF/OTH 9,041 DARDEN RESTAURANTS INC DEFINED 81,822 DARDEN RESTAURANTS INC DEFINED 525 DARDEN RESTAURANTS INC DEF/OTH 4,899 DENTSPLY INTERNATIONAL INC DEFINED 29,024 DIEBOLD INC DEFINED 38,517 DIEBOLD INC DEF/OTH 2,650 DIEBOLD INC DEF/OTH 820 THE WALT DISNEY COMPANY DEFINED 80,143 THE WALT DISNEY COMPANY DEFINED 100 THE WALT DISNEY COMPANY DEF/OTH 9,150 DOMINION RESOURCES DEFINED 2,887 DOMINION RESOURCES DEFINED 980 DOMINION RESOURCES DEF/OTH 1,000 DOW CHEM CO DEFINED 45,655 DOW CHEM CO DEFINED 500 DOW CHEM CO DEF/OTH 15,628 DU PONT E I DE NEMOURS & CO DEFINED 41,921 DU PONT E I DE NEMOURS & CO DEFINED 100 DU PONT E I DE NEMOURS & CO DEF/OTH 15,865 DU PONT E I DE NEMOURS & CO DEF/OTH 4,800 DUKE ENERGY CORP DEFINED 141,510 DUKE ENERGY CORP DEF/OTH 22,997 DUKE ENERGY CORP DEF/OTH 600 DUKE ENERGY CORP DEFINED 149,225 DUKE ENERGY CORP DEF/OTH 17,550 EMC CORP DEFINED 471,578 EMC CORP DEFINED 650 EMC CORP DEF/OTH 76,578 EASTMAN KODAK CO DEFINED 3,975 EASTMAN KODAK CO DEF/OTH 4,050 EATON CORP DEFINED 2,225 EATON CORP DEF/OTH 7,600 EL PASO CORP DEFINED 56,289 EL PASO CORP DEF/OTH 13,465 EL PASO CORP DEF/OTH 160 ELECTRONIC DATA SYSTEMS CORP DEFINED 52,301 ELECTRONIC DATA SYSTEMS CORP DEFINED 1,210 ELECTRONIC DATA SYSTEMS CORP DEF/OTH 4,582 ELECTRONIC DATA SYSTEMS CORP DEF/OTH 525 ELECTRONICS FOR IMAGING DEFINED 14,700 EMERSON ELECTRIC CO DEFINED 4,225 EMERSON ELECTRIC CO DEF/OTH 3,426 EMERSON ELECTRIC CO DEF/OTH 3,100 ENERGIZER HOLDINGS DEFINED 33,176 ENERGIZER HOLDINGS DEF/OTH 3,000 ENRON CORP DEFINED 12,900 ENTREMED INC DEFINED 20,500 ENTREMED INC DEFINED 304 EQUITABLE RES INC DEF/OTH 13,000 EQUITY INCOME FD DEFINED 17,045 EQUITY INCOME FD DEF/OTH 3,875 DELHAIZE 'LE LION' DEFINED 4,580 DELHAIZE 'LE LION' DEF/OTH 133 EXELON CORPORATION DEFINED 3,430 EXELON CORPORATION DEFINED 1,110 EXELON CORPORATION DEF/OTH 1,150 EXXON MOBIL CORP DEFINED 419,963 EXXON MOBIL CORP DEFINED 2,135 EXXON MOBIL CORP DEF/OTH 129,953 EXXON MOBIL CORP DEF/OTH 2,696 FAMILY DLR STORES INC DEFINED 27,130 FEDERAL HOME LOAN MORTGAGE CORP DEFINED 40,995 FEDERAL HOME LOAN MORTGAGE CORP DEFINED 483 FEDERAL HOME LOAN MORTGAGE CORP DEF/OTH 5,455 FEDERAL HOME LOAN MORTGAGE CORP DEF/OTH 1,188 FEDERAL NATIONAL MORTGAGE ASSN DEFINED 105,790 FEDERAL NATIONAL MORTGAGE ASSN DEFINED 1,175 FEDERAL NATIONAL MORTGAGE ASSN DEF/OTH 6,257 FEDERAL NATIONAL MORTGAGE ASSN DEF/OTH 35 FEDEX CORP DEFINED 41,490 FEDEX CORP DEF/OTH 14,075 FEDEX CORP DEF/OTH 1,350 FIDELITY NATIONAL FINL INC DEF/OTH 12,689 FIRST CITIZENS BCSHS DEFINED 3,800 FIRST DATA CORPORATION DEFINED 7,237 FIRST TENNESSEE NATL CORP DEFINED 128,427 FIRST TENNESSEE NATL CORP DEFINED 1,900 FIRST TENNESSEE NATL CORP DEF/OTH 12,500 FIRST TENNESSEE NATL CORP DEF/OTH 1,000 FIRST ENERGY DEFINED 7,808 FIRST ENERGY DEF/OTH 4,438 FLEET BOSTON FINANCIAL CORP DEFINED 7,220 FLEET BOSTON FINANCIAL CORP DEF/OTH 200 FLEMING COS INC DEFINED 84,220 FLEMING COS INC DEF/OTH 27,300 FORD MOTOR COMPANY DEFINED 92,866 FORD MOTOR COMPANY DEFINED 100 FORD MOTOR COMPANY DEF/OTH 11,107 FORTUNE BRANDS INC DEFINED 17,337 FORTUNE BRANDS INC DEF/OTH 12,300 GAINSCO INC DEFINED 30,000 GALLAHER GROUP PLC ADR DEFINED 7,930 GANNETT INC DEFINED 2,150 GANNETT INC DEF/OTH 1,100 GAP INC DEFINED 23,170 GAP INC DEF/OTH 8,852 GENERAL ELEC CO DEFINED 711,856 GENERAL ELEC CO DEFINED 2,625 GENERAL ELEC CO DEF/OTH 143,812 GENERAL ELEC CO DEF/OTH 20,700 GENERAL MILLS INC DEFINED 12,500 GENERAL MILLS INC DEF/OTH 4,800 GENERAL MTRS CORP DEFINED 6,547 GENERAL MTRS CORP DEF/OTH 350 GENERAL MTRS CORP DEFINED 8,154 GENERAL MTRS CORP DEF/OTH 21,809 GENTEX CORP DEFINED 246,181 GENTEX CORP DEFINED 275 GENTEX CORP DEF/OTH 7,450 GENLYTE GROUP INC DEFINED 46,625 GENLYTE GROUP INC DEF/OTH 7,100 GENUINE PARTS CO DEFINED 17,775 GENUINE PARTS CO DEFINED 250 GENUINE PARTS CO DEF/OTH 5,467 GERBER SCIENTIFIC INC DEFINED 7,775 GERBER SCIENTIFIC INC DEF/OTH 11,350 GILLETTE CO DEFINED 65,694 GILLETTE CO DEFINED 485 GILLETTE CO DEF/OTH 14,154 GILLETTE CO DEF/OTH 1,000 GLAXOSMITHKLINE PLC-ADR DEFINED 10,103 GLAXOSMITHKLINE PLC-ADR DEF/OTH 2,810 HARRIS CORP DEFINED 41,210 HARRIS CORP DEF/OTH 10,675 HEALTHSOUTH REHABILITATION CORP DEFINED 38,543 HEALTHSOUTH REHABILITATION CORP DEFINED 700 HEALTH NET INC DEFINED 21,130 HEILIG MEYERS CO DEFINED 13,000 HEINZ H J CO DEFINED 41,771 HEINZ H J CO DEF/OTH 6,900 HEWLETT PACKARD CO DEFINED 115,400 HEWLETT PACKARD CO DEFINED 4,114 HEWLETT PACKARD CO DEF/OTH 24,300 HOME DEPOT INC DEFINED 86,394 HOME DEPOT INC DEF/OTH 11,225 HOME DEPOT INC DEF/OTH 900 HONEYWELL INTERNATIONAL (NEW) DEFINED 89,902 HONEYWELL INTERNATIONAL (NEW) DEFINED 100 HONEYWELL INTERNATIONAL (NEW) DEF/OTH 23,524 HOUSEHOLD INTL INC DEFINED 80,217 HOUSEHOLD INTL INC DEFINED 100 HOUSEHOLD INTL INC DEF/OTH 3,700 HUBBELL HARVEY INC DEFINED 19,537 HUBBELL HARVEY INC DEF/OTH 2,552 IHOP CORP DEFINED 64,215 IHOP CORP DEF/OTH 12,150 IHOP CORP DEF/OTH 100 INTEL CORP DEFINED 345,165 INTEL CORP DEFINED 1,524 INTEL CORP DEF/OTH 163,963 INTEL CORP DEF/OTH 30,101 IBM CORP DEFINED 110,543 IBM CORP DEFINED 50 IBM CORP DEF/OTH 24,607 IBM CORP DEF/OTH 650 INTERNATIONAL PAPER CO DEFINED 38,865 INTERNATIONAL PAPER CO DEFINED 500 INTERNATIONAL PAPER CO DEF/OTH 15,863 INTERPUBLIC GROUP DEFINED 165,516 INTERPUBLIC GROUP DEFINED 150 INTERPUBLIC GROUP DEF/OTH 10,465 INTERPUBLIC GROUP DEF/OTH 540 INVESTORS TITLE INS CO DEFINED 14,000 INVESTORS TITLE INS CO DEF/OTH 7,812 JDS UNIPHASE CORP DEFINED 1,575 JDS UNIPHASE CORP DEF/OTH 35,066 JP MORGAN CHASE & CO DEFINED 92,111 JP MORGAN CHASE & CO DEFINED 350 JP MORGAN CHASE & CO DEF/OTH 11,141 JP MORGAN CHASE & CO DEF/OTH 7,050 JEFFERSON PILOT CORP DEFINED 123,890 JEFFERSON PILOT CORP DEF/OTH 54,817 JEFFERSON PILOT CORP DEF/OTH 940 JOHNSON & JOHNSON DEFINED 100,511 JOHNSON & JOHNSON DEFINED 1,140 JOHNSON & JOHNSON DEF/OTH 21,294 JOHNSON & JOHNSON DEF/OTH 12,250 JOHNSON CONTROLS DEFINED 13,460 JOHNSON CONTROLS DEF/OTH 35 KANSAS CITY SOUTHN INDS INC DEFINED 1,700 KANSAS CITY SOUTHN INDS INC DEF/OTH 9,850 KELLOGG CO DEFINED 9,130 KEYCORP NEW DEFINED 13,918 KEYCORP NEW DEF/OTH 700 KIMBERLY CLARK CORP DEFINED 19,881 KIMBERLY CLARK CORP DEFINED 1,435 KIMBERLY CLARK CORP DEF/OTH 2,675 KOHLS CORPORATION DEFINED 18,170 KOHLS CORPORATION DEFINED 175 KOHLS CORPORATION DEF/OTH 2,875 LEHMAN BROTHERS HLDGS INC DEFINED 10,475 LEHMAN BROTHERS HLDGS INC DEFINED 1,200 LEHMAN BROTHERS HLDGS INC DEF/OTH 800 LEXMARK INTL GROUP INC CL A DEFINED 114,131 LEXMARK INTL GROUP INC CL A DEFINED 100 LEXMARK INTL GROUP INC CL A DEF/OTH 7,100 ELI LILLY DEFINED 77,146 ELI LILLY DEFINED 25 ELI LILLY DEF/OTH 5,200 LIMITED INC DEFINED 70,552 LIMITED INC DEF/OTH 20,020 LINCARE HLD INC DEFINED 9,700 LINCOLN ELECTRIC HOLDINGS DEFINED 17,485 LINCOLN ELECTRIC HOLDINGS DEF/OTH 11,325 LINCOLN ELECTRIC HOLDINGS DEF/OTH 100 LINEAR TECHOLOGY CORP DEFINED 5,920 LINEAR TECHOLOGY CORP DEFINED 125 LINEAR TECHOLOGY CORP DEF/OTH 450 LINEN 'N THINGS DEFINED 10,004 LIZ CLAIBORNE INC DEFINED 15,641 LOCKHEED MARTIN CORP DEFINED 16,350 LOWES COMPANIES INC DEFINED 245,358 LOWES COMPANIES INC DEFINED 200 LOWES COMPANIES INC DEF/OTH 11,650 LUCENT TECHNOLOGIES INC DEFINED 23,073 LUCENT TECHNOLOGIES INC DEF/OTH 7,792 MFS DEFINED 534,665 MFS DEF/OTH 4,744 MGIC INVESTMENT DEFINED 19,500 MGIC INVESTMENT DEFINED 965 MGIC INVESTMENT DEF/OTH 6,275 MGIC INVESTMENT DEF/OTH 50 MTS SYS CORP DEFINED 4,500 MTS SYS CORP DEF/OTH 9,000 MANULIFE FINANCIAL CORP DEFINED 55,559 MARRIOTT INTERNATIONAL INC DEFINED 23,400 MARRIOTT INTERNATIONAL INC DEF/OTH 6,025 MARSH & MCLENNAN DEFINED 2,100 MARSH & MCLENNAN DEFINED 98 MARTIN MARIETTA MATERIALS, INC. DEFINED 131,043 MARTIN MARIETTA MATERIALS, INC. DEFINED 310 MARTIN MARIETTA MATERIALS, INC. DEF/OTH 11,300 MASCO CORPORATION DEFINED 36,896 MASCO CORPORATION DEF/OTH 7,500 MAST OPTICAL SYSTEMS INC DEFINED 10,000 MAXIM INTEGRATED PRODUCTS DEFINED 2,318 MAXIM INTEGRATED PRODUCTS DEF/OTH 5,464 MCCORMICK & CO DEFINED 19,596 MCDONALDS CORP DEFINED 31,160 MCDONALDS CORP DEF/OTH 850 MCGRAW HILL INC DEFINED 66,154 MCGRAW HILL INC DEFINED 50 MCGRAW HILL INC DEF/OTH 7,300 MCGRAW HILL INC DEF/OTH 450 MEDIMMUNE INC DEFINED 165,802 MEDIMMUNE INC DEFINED 970 MEDIMMUNE INC DEF/OTH 8,575 MEDTRONIC INC DEFINED 365,467 MEDTRONIC INC DEFINED 200 MEDTRONIC INC DEF/OTH 141,809 MERCK & CO INC DEFINED 153,434 MERCK & CO INC DEFINED 1,290 MERCK & CO INC DEF/OTH 36,428 MERCK & CO INC DEF/OTH 4,000 MERRILL LYNCH & CO INC DEFINED 34,625 MERRILL LYNCH & CO INC DEFINED 1,115 MERRILL LYNCH & CO INC DEF/OTH 8,470 METLIFE INC DEFINED 13,780 MICROSOFT CORP DEFINED 184,950 MICROSOFT CORP DEFINED 915 MICROSOFT CORP DEF/OTH 22,198 MICROSOFT CORP DEF/OTH 4,305 MID AMERICA APARTMENT CMNTY DEFINED 24,544 MID AMERICA APARTMENT CMNTY DEFINED 100 MILLIPORE CORP DEFINED 83,365 MILLIPORE CORP DEF/OTH 3,500 MIRANT CORP DEFINED 42,658 MIRANT CORP DEF/OTH 99 MOLEX INC DEFINED 200,510 MOLEX INC DEF/OTH 16,207 MORGAN ST DEAN WITTER DEFINED 16,319 MORGAN ST DEAN WITTER DEFINED 800 MORGAN ST DEAN WITTER DEF/OTH 1,400 MORGAN STANLEY DEAN WITTER DEFINED 25,000 MOTOROLA INC DEFINED 67,198 MOTOROLA INC DEFINED 680 MOTOROLA INC DEF/OTH 17,173 MOTOROLA INC DEF/OTH 4,410 MYKROLIS CORPORATION DEFINED 34,219 MYKROLIS CORPORATION DEF/OTH 470 NACCO INDUSTRIES DEFINED 3,358 NACCO INDUSTRIES DEF/OTH 207 NASDAQ-100 SHARES DEFINED 11,790 NASDAQ-100 SHARES DEF/OTH 7,780 NATL COMMERCE FINANCIAL CORP DEFINED 2,738,760 NATL COMMERCE FINANCIAL CORP DEFINED 1,012,171 NATL COMMERCE FINANCIAL CORP DEF/OTH 512,175 NATL COMMERCE FINANCIAL CORP DEF/OTH 480 NATIONAL-OILWELL INC DEFINED 178,441 NATIONAL-OILWELL INC DEFINED 400 NATIONAL-OILWELL INC DEF/OTH 7,150 NATIONWIDE FINANCIAL SERV -A DEFINED 6,240 NATIONWIDE FINANCIAL SERV -A DEF/OTH 100 NORFOLK SOUTHERN CORP DEFINED 50,485 NORFOLK SOUTHERN CORP DEF/OTH 14,786 OLD REP INTL CORP DEFINED 16,348 OLD REP INTL CORP DEFINED 2,225 ORACLE SYSTEMS DEFINED 332,643 ORACLE SYSTEMS DEFINED 1,200 ORACLE SYSTEMS DEF/OTH 33,200 ORACLE SYSTEMS DEF/OTH 1,020 PNC BANK CORP DEFINED 10,296 PNC BANK CORP DEF/OTH 500 PALM INC DEF/OTH 35,591 PAYCHEX INC DEFINED 11,492 PAYCHEX INC DEF/OTH 450 PAYLESS SHOE SOURCE DEFINED 14,715 PAYLESS SHOE SOURCE DEF/OTH 5,200 PAYLESS SHOE SOURCE DEF/OTH 30 PEPSICO INC DEFINED 64,493 PEPSICO INC DEF/OTH 25,400 PEPSICO INC DEF/OTH 9,200 PERKINELMER INC DEFINED 24,000 PERKINELMER INC DEF/OTH 23,000 PETROLEUM & RES CORP DEFINED 92,420 PETROLEUM & RES CORP DEF/OTH 39,696 PFIZER INC DEFINED 461,609 PFIZER INC DEFINED 1,795 PFIZER INC DEF/OTH 89,576 PFIZER INC DEF/OTH 12,762 PHARMACIA CORPORATION DEFINED 82,501 PHARMACIA CORPORATION DEFINED 225 PHARMACIA CORPORATION DEF/OTH 1,542 PHILIP MORRIS COS INC DEFINED 37,054 PHILIP MORRIS COS INC DEFINED 1,154 PHILIP MORRIS COS INC DEF/OTH 17,350 PHILIP MORRIS COS INC DEF/OTH 2,100 PHILLIPS PETROLEUM CO DEFINED 102,886 PHILLIPS PETROLEUM CO DEFINED 360 PHILLIPS PETROLEUM CO DEF/OTH 7,368 PHILLIPS PETROLEUM CO DEF/OTH 202 PIEDMONT NAT GAS INC DEFINED 10,036 PIEDMONT NAT GAS INC DEF/OTH 200 PLANTRONICS INC DEFINED 3,000 PLANTRONICS INC DEF/OTH 27,000 POTASH CORP DEFINED 15,950 POTASH CORP DEF/OTH 800 PRECISION CASTPARTS CORP DEFINED 39,050 PRECISION CASTPARTS CORP DEF/OTH 10,075 T ROWE PRICE GROUP INC DEFINED 11,141 PRINCIPAL FINANCIAL GROUP DEFINED 6,437 PRINCIPAL FINANCIAL GROUP DEF/OTH 540 PROCTER & GAMBLE CO DEFINED 39,092 PROCTER & GAMBLE CO DEFINED 770 PROCTER & GAMBLE CO DEF/OTH 500 PROCTER & GAMBLE CO DEF/OTH 1,600 PROGRESS ENERGY DEFINED 83,857 PROGRESS ENERGY DEF/OTH 2,398 PROVIDIAN FINANCIAL CORP DEFINED 171,638 PROVIDIAN FINANCIAL CORP DEFINED 9,600 PUBLIC STORAGE INC DEFINED 23,255 PUBLIC STORAGE INC DEFINED 100 PUTNAM DEFINED 13,484 QUINTILES TRANSNATIONAL CORP DEFINED 37,385 QUINTILES TRANSNATIONAL CORP DEF/OTH 1,600 QWEST COMMUNICATIONS INTL DEFINED 12,419 QWEST COMMUNICATIONS INTL DEF/OTH 1,729 QWEST COMMUNICATIONS INTL DEF/OTH 3,600 RF MICRO DEVICES DEFINED 114 RF MICRO DEVICES DEF/OTH 26,500 RFS HOTEL INVESTORS INC DEFINED 36,500 RFS HOTEL INVESTORS INC DEFINED 2,000 RFS HOTEL INVESTORS INC DEF/OTH 10,000 ROSS STORES INC DEFINED 58,475 ROSS STORES INC DEF/OTH 10,000 ROSS STORES INC DEF/OTH 75 ROYAL BANK OF CANADA DEFINED 33,617 ROYAL BANK OF CANADA DEFINED 1,923 ROYAL BANK OF CANADA DEF/OTH 30,060 ROYAL DUTCH PETE CO DEFINED 18,445 ROYAL DUTCH PETE CO DEF/OTH 1,340 ROYAL DUTCH PETE CO DEF/OTH 3,600 RYANS FAMILY STEAK HOUSES INC DEFINED 78,957 RYANS FAMILY STEAK HOUSES INC DEF/OTH 31,333 RYANS FAMILY STEAK HOUSES INC DEF/OTH 175 SBC COMMUNICATIONS INC DEFINED 160,612 SBC COMMUNICATIONS INC DEFINED 2,198 SBC COMMUNICATIONS INC DEF/OTH 21,605 SBC COMMUNICATIONS INC DEF/OTH 1,900 S&P 500 DEPOSITORY RECEIPT DEFINED 28,910 S&P 500 DEPOSITORY RECEIPT DEFINED 540 S&P 500 DEPOSITORY RECEIPT DEF/OTH 8,346 S&P 500 DEPOSITORY RECEIPT DEF/OTH 500 SAFECO CORP DEFINED 8,120 SAFEGUARD SCIENTIFICS INC DEFINED 30,525 ST PAUL COS INC DEFINED 4,260 ST PAUL COS INC DEF/OTH 1,000 SARA LEE CORP DEFINED 5,787 SARA LEE CORP DEF/OTH 4,000 SCANA CORP DEFINED 86,177 SCANA CORP DEFINED 1,438 SCANA CORP DEF/OTH 15,055 SCANA CORP DEF/OTH 262 SCHERING PLOUGH CORP DEFINED 359,047 SCHERING PLOUGH CORP DEFINED 873 SCHERING PLOUGH CORP DEF/OTH 12,000 SCHERING PLOUGH CORP DEF/OTH 2,400 SCHLUMBERGER LTD DEFINED 59,880 SCHLUMBERGER LTD DEFINED 375 SCHLUMBERGER LTD DEF/OTH 4,393 SCHLUMBERGER LTD DEF/OTH 5,425 SCHWAB (CHARLES) CORP DEFINED 19,121 SCHWAB (CHARLES) CORP DEF/OTH 36,365 SEALED AIR CORP DEFINED 12,550 SEALED AIR CORP DEF/OTH 600 SEARS ROEBUCK & CO DEFINED 21,643 SEARS ROEBUCK & CO DEF/OTH 6,800 SEARS ROEBUCK & CO DEF/OTH 40 SONOCO PRODS CO DEFINED 3,936 SONOCO PRODS CO DEF/OTH 3,156 SOUTHERN CO DEFINED 14,288 SOUTHERN CO DEF/OTH 1,249 SOUTHTRUST CORP DEFINED 32,217 SOUTHTRUST CORP DEF/OTH 200 SOUTHTRUST CORP DEF/OTH 100 SOUTHWEST AIRLS CO DEFINED 34,971 SOUTHWEST AIRLS CO DEFINED 1,300 SOUTHWEST AIRLS CO DEF/OTH 8,173 SOUTHWEST AIRLS CO DEF/OTH 1,450 SPORT-HALEY INC DEFINED 40,000 SPRINT CORP DEFINED 30,086 SPRINT CORP DEF/OTH 2,800 SPRINT CORP DEF/OTH 5,200 STATE STREET CORP DEFINED 780 STATE STREET CORP DEF/OTH 12,000 STILWELL FINANCIAL DEFINED 6,932 STILWELL FINANCIAL DEF/OTH 38,965 STRYKER CORP DEFINED 16,072 STRYKER CORP DEF/OTH 87,740 SUN LIFE FINANCIAL SERVICES DEFINED 33,410 SUN MICROSYSTEMS INC DEFINED 103,512 SUN MICROSYSTEMS INC DEFINED 775 SUN MICROSYSTEMS INC DEF/OTH 3,700 SUN MICROSYSTEMS INC DEF/OTH 2,700 SUNGARD DATA SYSTEMS INC DEFINED 301,133 SUNGARD DATA SYSTEMS INC DEFINED 500 SUNGARD DATA SYSTEMS INC DEF/OTH 24,300 SUNRISE ASSISTED LIVING INC DEFINED 35,590 SUNRISE ASSISTED LIVING INC DEF/OTH 14,525 SUNTRUST BANKS INC DEFINED 32,335 SUNTRUST BANKS INC DEF/OTH 4,035 SUNTRUST BANKS INC DEF/OTH 4,045 SYMANTEC CORP DEFINED 50,420 SYMANTEC CORP DEFINED 1,890 SYMANTEC CORP DEF/OTH 17,320 SYMANTEC CORP DEF/OTH 75 SYNOVUS FINL CORP DEFINED 171,189 SYNOVUS FINL CORP DEFINED 75 SYNOVUS FINL CORP DEF/OTH 44,602 SYNOVUS FINL CORP DEF/OTH 100 TECO ENERGY INC DEFINED 17,540 TECO ENERGY INC DEF/OTH 4,900 TJX COS INC DEFINED 10,925 TJX COS INC DEF/OTH 1,400 TMP WORLDWIDE INC DEFINED 31,450 TMP WORLDWIDE INC DEF/OTH 10,400 TECH DATA CORP DEFINED 14,035 TECH DATA CORP DEF/OTH 5,635 TENET HEALTHCARE DEFINED 14,111 TEVA PHARMACEUTICAL-SP ADR DEFINED 50,335 TEVA PHARMACEUTICAL-SP ADR DEFINED 150 TEVA PHARMACEUTICAL-SP ADR DEF/OTH 600 TEXAS INSTRUMENT INC DEFINED 1,703 TEXAS INSTRUMENT INC DEF/OTH 2,870 TEXAS INSTRUMENT INC DEF/OTH 4,800 3COM CORP DEF/OTH 24,000 3M CO DEFINED 5,483 3M CO DEFINED 580 3M CO DEF/OTH 800 3M CO DEF/OTH 300 TRANSWITCH CORP DEF/OTH 11,700 TRI-CONTINENTAL CORPORATION DEFINED 188,130 TRI-CONTINENTAL CORPORATION DEF/OTH 18,167 TYCO INTERNATIONAL LTD DEFINED 244,168 TYCO INTERNATIONAL LTD DEFINED 765 TYCO INTERNATIONAL LTD DEF/OTH 20,510 USA NETWORKS INC DEFINED 27,300 USA NETWORKS INC DEFINED 100 USA NETWORKS INC DEF/OTH 1,100 UNION PLANTERS DEFINED 9,386 UNION PLANTERS DEF/OTH 25,506 UNION PLANTERS DEF/OTH 750 UNITED PARCEL SERVICE - CL B DEFINED 10,405 UNITED PARCEL SERVICE - CL B DEFINED 300 UNITED PARCEL SERVICE - CL B DEF/OTH 750 UNITED TECHNOLOGIES CORP DEFINED 125,253 UNITED TECHNOLOGIES CORP DEFINED 1,475 UNITED TECHNOLOGIES CORP DEF/OTH 11,700 UNITEDHEALTH GROUP INC DEFINED 20,345 UNITEDHEALTH GROUP INC DEFINED 900 UNITEDHEALTH GROUP INC DEF/OTH 4,200 UNIVERSAL HEALTH SVCS INC DEFINED 1,200 UNIVERSAL HEALTH SVCS INC DEF/OTH 36,400 VALERO ENERGY CORP DEFINED 34,850 VALERO ENERGY CORP DEF/OTH 9,385 VALERO ENERGY CORP DEF/OTH 60 VERIZON COMMUNICATIONS DEFINED 104,617 VERIZON COMMUNICATIONS DEFINED 500 VERIZON COMMUNICATIONS DEF/OTH 18,639 VERIZON COMMUNICATIONS DEF/OTH 3,066 VODAFONE GROUP PLC DEFINED 18,000 VODAFONE GROUP PLC DEF/OTH 2,830 VODAFONE GROUP PLC DEF/OTH 1,200 WACHOVIA CORP DEFINED 65,527 WACHOVIA CORP DEF/OTH 30,605 WACHOVIA CORP DEF/OTH 3,630 WAL-MART STORES DEFINED 42,576 WAL-MART STORES DEFINED 835 WAL-MART STORES DEF/OTH 5,300 WAL-MART STORES DEF/OTH 2,060 WALGREEN CO DEFINED 77,369 WALGREEN CO DEFINED 100 WALGREEN CO DEF/OTH 5,800 WASHINGTON MUTUAL INC DEFINED 375,341 WASHINGTON MUTUAL INC DEFINED 3,056 WASHINGTON MUTUAL INC DEF/OTH 37,246 WASHINGTON MUTUAL INC DEF/OTH 358 WELLS FARGO COMPANY DEFINED 5,979 WELLS FARGO COMPANY DEF/OTH 7,570 WORLDCOM INC DEFINED 25,274 WORLDCOM INC DEFINED 1,375 WORLDCOM INC DEF/OTH 200 WORLDCOM INC DEF/OTH 900 WRIGLEY (WM) JR CO DEF/OTH 13,400 WYETH DEFINED 147,497 WYETH DEFINED 100 WYETH DEF/OTH 54,691 WYETH DEF/OTH 1,050 XILINX INC DEFINED 1,285 XILINX INC DEF/OTH 13,200 YUM! BRANDS INC DEFINED 56,840 YUM! BRANDS INC DEFINED 862 YUM! BRANDS INC DEF/OTH 9,782 YUM! BRANDS INC DEF/OTH 1,440 INGERSOLL-RAND CO DEFINED 20,465 INGERSOLL-RAND CO DEF/OTH 10,794 FLEXTRONICS INTERNATIONAL, LTD DEFINED 49,205 FLEXTRONICS INTERNATIONAL, LTD DEFINED 575 FLEXTRONICS INTERNATIONAL, LTD DEF/OTH 1,500
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